One size fits all? High frequency trading, tick size changes and the implications for exchanges: market quality and market structure considerations Thanos VerousisPietro PerottiGeorgios Sermpinis Original Research Open access 28 March 2017 Pages: 353 - 392
The holdings markup behavior of mutual funds: evidence from an emerging market Ching-Chang WangJerry Yu Original Research 30 March 2017 Pages: 393 - 414
An analysis of closed-end funds discounts viewed from a lack of redemption perspective Jullavut KittiakarasakunLalatendu MisraSinan Yildirim Original Research 17 April 2017 Pages: 415 - 440
Industry expertise on corporate boards Olubunmi FaleyeRani HoitashUdi Hoitash Original Research 02 May 2017 Pages: 441 - 479
Forestalling capital regulation or masking financial weakness? Evidence from loss reserve management in the property–liability insurance industry Yi-hsun LaiWen-chang LinLiang-wei Kuo Original Research 02 May 2017 Pages: 481 - 518
Suppliers’/customers’ production efficiency uncertainty and firm credit risk Tsung-Kang ChenHsien-Hsing Liao Original Research 12 May 2017 Pages: 519 - 560
The extent of virgin olive-oil prices’ distribution revealing the behavior of market speculators Fathi AbidBilel Kaffel Original Research 12 May 2017 Pages: 561 - 590
Credit default swap spreads and annual report readability Nan HuLing LiuLu Zhu Original Research 12 May 2017 Pages: 591 - 621
Corporate responses to the repatriation incentives and domestic production activities deduction Michael KinneyHarrison Liu Original Research 13 May 2017 Pages: 623 - 651
Measuring the effect of watch-preceded and direct rating changes: a note on credit markets Florian KieselSascha Kolaric Original Research 18 May 2017 Pages: 653 - 672