Risk factors explaining returns anomaly in emerging market banks – study on Indian banking system Sabyasachi MohapatraArun Kumar MisraMarimuthu Murali Kannan OriginalPaper 15 July 2019 Pages: 417 - 433
Firm size proxies and the value relevance of predictive stock return models Gulraze Wakil OriginalPaper 31 August 2019 Pages: 434 - 457
Stock returns and investor sentiment: textual analysis and social media Zachary McGurkAdam NowakJoshua C. Hall OriginalPaper 03 September 2019 Pages: 458 - 485
U.S. Small Business Administration loans and U.S. state-level employment Paul E. Orzechowski OriginalPaper 15 October 2019 Pages: 486 - 505
Managerial optimism, CEO retention, and corporate performance: evidence from bankruptcy-filing firms Mao-Wei HungWen-Hsin Tsai OriginalPaper 18 November 2019 Pages: 506 - 527
Long-run memory in ethical and conventional investments. Novel evidence from a VAR(1)-FIEGARCH model Athanasios KoulakiotisVassilios BabalosMaria I. Kyriakou OriginalPaper 02 December 2019 Pages: 563 - 569
Real activities manipulation in stock-for-stock mergers Olukemi FasipeHuey-Lian Sun OriginalPaper 09 January 2020 Pages: 570 - 586
Market fragmentation and post-earnings announcement drift Justin Cox OriginalPaper 20 February 2020 Pages: 587 - 610
Efficiency in the madness? examining the betting market for the ncaa men’s basketball tournament Daniel C. Hickman OriginalPaper 07 March 2020 Pages: 611 - 626