Information Quality and the Expected Rate of Return: A Structural Equation Modelling Approach Max SchrederPawel Bilinski Original Research 22 October 2021 Pages: 139 - 170
Comparing Dynamic and Static Performance Indexes in the Stock Market: Evidence From Japan Jiro HodoshimaToshiyuki Yamawake Original Research 09 June 2021 Pages: 171 - 193
Liquidity and Volatility of Stocks Moved from the Main Market to the Alternative Investment Market (AIM) Mona Mortazian Original Research Open access 10 July 2021 Pages: 195 - 220
Corporate Social Responsibility: Is Too Much Bad?—Evidence from India Ved Dilip BeloskarS. V. D. Nageswara Rao Original Research 02 September 2021 Pages: 221 - 252
Optimal Pair–Trade Execution with Generalized Cross–Impact Masamitsu OhnishiMakoto Shimoshimizu Original Research 03 September 2021 Pages: 253 - 289
Shareholder Disputes and Commonality in Liquidity: Evidence from the Equity Markets in China Mu-Shun Wang Original Research 29 September 2021 Pages: 291 - 325
Examining the Performance of Islamic and Conventional Stock Indices: A Comparative Analysis Mehmet AsutayYumeng WangAlija Avdukic Original Research Open access 24 September 2021 Pages: 327 - 355
Both Sensitive Value Measure and its Applications Yoshio Miyahara Original Research 30 September 2021 Pages: 357 - 379