Improving (E)GARCH forecasts with robust realized range measures: Evidence from international markets Beatriz Vaz de Melo MendesVictor Bello Accioly OriginalPaper 25 January 2017 Pages: 631 - 658
Security issuance decisions, idiosyncratic risk, and macroeconomic dynamics Abdul Rashid OriginalPaper 12 September 2016 Pages: 659 - 678
Litigation risk and cash holdings James MalmSrinidhi Kanuri OriginalPaper 15 September 2016 Pages: 679 - 700
Liquidity, overpricing, and the tactics of informed traders Richard Borghesi OriginalPaper 05 October 2016 Pages: 701 - 713
Uninsured deposits and excess share insurance at US credit unions: the impact on risk and returns to members Shane A. Van Dalsem OriginalPaper 06 October 2016 Pages: 714 - 738
The role of HFTs in order flow toxicity and stock price variance, and predicting changes in HFTs’ liquidity provisions Bonnie F. Van NessRobert A. Van NessSerhat Yildiz OriginalPaper 12 October 2016 Pages: 739 - 762
Investing strategies as continuous rising (falling) share prices released Manhwa WuPaoyu HuangYensen Ni OriginalPaper 17 October 2016 Pages: 763 - 773
The effect of gold market speculation on REIT returns in South Africa: a behavioral perspective Omokolade AkinsomiMehmet BalcilarRangan Gupta OriginalPaper 08 November 2016 Pages: 774 - 793
Deposit dollarization in emerging markets: modelling the hysteresis effect Anna KrupkinaAlexey Ponomarenko OriginalPaper 15 November 2016 Pages: 794 - 805
Open market operations and associated movements of the federal funds rate during the week prior to target changes Yasuo Nishiyama OriginalPaper 26 November 2016 Pages: 806 - 828
Litigation risk and investment policy James MalmHari P. AdhikariNilesh Sah OriginalPaper 28 December 2016 Pages: 829 - 840