Assessing models of individual equity option prices Gurdip BakshiCharles CaoZhaodong (Ken) Zhong Original Research 04 January 2021 Pages: 1 - 28
Why do bank holding companies purchase bank-owned life insurance? Rebel A. ColeTravis DavidsonHongxia Wang Original Research 08 October 2020 Pages: 29 - 59
Testing for efficiency in the Saudi stock market: does corporate governance change matter? Mamdouh Abdulaziz Saleh Al-FaryanEverton Dockery Original Research Open access 27 October 2020 Pages: 61 - 90
Time-varying information share and autoregressive loading factors: evidence from S&P 500 cash and E-mini futures markets Yang HouSteven LiFenghua Wen Original Research 28 October 2020 Pages: 91 - 110
Corporate political transparency and the cost of debt D. G. DeBoskeyYutao LiYan Luo Original Research 16 October 2020 Pages: 111 - 145
Testing stock market contagion properties between large and small stock markets EnDer Su Original Research 07 November 2020 Pages: 147 - 202
Stock price reactivity to earnings announcements: the role of the Cammer/Krogman factors O. Miguel VillanuevaSteven Feinstein Original Research 22 October 2020 Pages: 203 - 234
R&D investment intensity and jump volatility of stock price Cheng JiangKose JohnDavid Larsen Original Research 19 November 2020 Pages: 235 - 277
Does firm payout policy affect shareholders’ dissatisfaction with directors? Paul TanyiDavid B. SmithXiaoyan Cheng Original Research 03 January 2021 Pages: 279 - 320
Institutional cross-ownership, heterogeneous incentives, and negative premium mergers Erin OldfordIsaac Otchere Original Research 02 January 2021 Pages: 321 - 351
Bank regulation and systemic risk: cross country evidence Lei ChenHui LiYue Zhou Original Research Open access 07 December 2020 Pages: 353 - 387
Institutional underperformance: Should managers listen to the sell-side before trading? Jeffrey HobbsVivek SinghMadhumita Chakraborty Original Research 02 January 2021 Pages: 389 - 410