Research LAB


IIM Coach Academy - Research LAB

BBA/MBA/M.com Projects:

We providing live and Capstone Design projects for B.B.A, M.B.A. and M.Com with Paper Publications for Specified Domains (Marketing/ HR/ Finance/Digital Marketing/Business Analytics) and Sectoral specialisation (Banking, Health care, Pharma, Insurance, information technology, Foreign Trade). We train the students with +15-years experienced faculty with a perfect understanding of the needs of the industry along with skills honed by experience. Academic Live Projects is to provide pragmatic & industry-based training to professionals, students and faculties to achieve their goals.

Research Consultancy

We offer top-notch research consulting services for research scholars/doctoral candidates in India. Services include mentoring and guidance on research design, data analysis, review/editing of reports and assistance with software implementation.
Research consulting is provided by a team of subject matter experts, statisticians, software developers and academic writers. The team engages in regular interaction with the scholars and guides on various aspect during the course of research.

We Conduct Certification workshops in Various Fields in present trending areas

Project title

Does boardroom gender diversity affect the risk profile of acquiring banks?

A look at corporate control: the case of Hertz Global Holdings

Risk shifting elimination and risk sharing exposure in equity-based financing – a theoretical exposition

Stock liquidity and free float: evidence from the UK

Do the S&P 500 index revisions affect corporate bonds and earnings performance?

The effects of liquidity trading on insider trade timing when an underlying option is present

Is the “sell in May and go away” adage the result of an election-year effect?

US cross-listings and director compensation: a cross-country analysis

A three-stage dynamic model of financial distress

Investors’ herding practice: do IFRS and national economic culture matter?

Conflict-induced forced CEO turnover and firm performance

Involuntary delisting in the Japanese stock market

How Moroccan institutional investors view dividend policy

Exploring the decline in trade credit investment

IPO overvaluation and returns prior to lockup expiration

Saving motives, gender, and the use of financial advisory services

Proximity to urban centers in mergers and acquisitions

Board structure and institutional ownership at the time of IPO

The new capital raised in IPOs

Corporate social responsibility and payout decisions

Fewer reasons to sin: a five-factor investigation of vice stock returns

Red flags for IPO downfalls in New Zealand

Market states and mutual fund risk shifting

Determinants of bank margins in a dual banking system

Dividend policy and corporate valuation

SPACs: post-merger survival

Uncorporates: changes in master limited partnerships

Corporate social responsibility, gender, and CEO turnover



Corporate hedging, firm focus and firm size: the case of REITs

Working capital management practices in India: survey evidence

Performance evaluation of equity unit trusts in South Africa

A survey of litigation in corporate finance

Securities class actions and operating performance

Female business leaders and the incidence of fraud litigation

The litigation of tax benefit preservation plans

What determines firms’ zero-leverage policy in India?

Value of employee satisfaction during the financial crisis

The impact of employer-delayed deposits on plan participant wealth

A study on the rationality of expensing of Taiwan employee stock bonuses

The impact of uncertainty on payout policy

Flash of green: are environmentally driven stock returns sustainable?

Liquidity transformation: an examination of US life insurers

Is there a role for Islamic bonds in global diversification strategies?

Mortgage credit and bankruptcy chapter choice: a case of US counties

Stock acquisitions, investor recognition, and announcement returns

Personality, risk tolerance and social network use: an exploratory study

Reducing asymmetric information in venture capital backed IPOs

Institutional investors and the cost of bank loans

Governance and performance in China’s real estate sector

An appropriate risk addendum for risky projects

Leveraged ETF option strategies

Cyclical comovements of the world equity indexes

A review of studies on citations and journal ranking in finance

Ranking of finance journals: a stochastic dominance analysis

A research portfolio approach to evaluating finance journal quality

Journal features and impact factor

Journal influence in corporate research

Dividend initiators, winners during 2008 financial crisis

How Moroccan managers view dividend policy

On the moving average buy-sell trading rule

Determinants of acquirer-target distance in M & A

International stock market liquidity: a review

Determinants of mutual fund flows

CEO-shareholder incentive alignment around SEOs

Property rights institutions and bank performance across countries

Lender evaluations of start-up business prospects

Corporate dividend policy revisited

Market power and dividend policy

Dividend yields and stock returns in Hong Kong

Dividend policy in India: new survey evidence

Corporate boards and acquirer returns: international evidence

Impact of firm characteristics on capital structure choice of Turkish SMEs

Debt seniority and mergers

The selection of popular trading strategies

An assessment of the risk and return of residential real estate

Firm external financing decisions: explaining the role of risks

Testing the monthly anomaly with stochastic dominance

Why are CFO insider trades more informative?

Determinants of corporate foreign exchange risk hedging

The effect on the performance of listed family and non-family firms

Yield differences between coupon and principal STRIPS

Monitoring CEOs: can insider-dominated boards do a good job?

Investigating the nature of nonlinearity in Indian Exchange Traded Funds (ETFs)

The wealth effects of accelerated stock repurchases

Do farmers exhibit disposition effect? Evidence from grain markets

After a market panic: cash is king

The timing of seasoned equity offerings: a duration analysis

Risk management practices adopted by financial firms in Malta

International diversification among Islamic investments: is there any benefit

Dynamic effect of Tobin's Q on price-to-earnings ratio

Board structure: an empirical study of firms in Anglo-American governance environments

Modeling asset allocation and liability composition for Indian banks

Analytical redefinition of DOL and managerial investment decisions

Is there a period of listing effect or a post‐listing performance puzzle?

Hedging instrument in post liquidity crisis: a case of interest rate swaps

How does information asymmetry affect the division of gains in mergers?

Market perception of firm strategy

Corporate risk and corporate governance: another view



Board compensation, holdings and mutual fund expense ratios

Value versus growth in dynamic equity investing

Using the Rasch model to rank firms by managerial ability

Warrants, ownership concentration, and market liquidity

The FX exposure puzzle: insights from SEC disclosures

Product market advertising effects on the method of payment in M&A

High‐frequency analysis of exchange traded funds' pricing deviation

An examination of the long‐term performance of reacquired carve‐outs

How can economic stochasticity promote or prevent corporate defaults?

The absolute returns of hedge funds

Foreign institutional industrial herding in Taiwan stock market

An analysis of global credit risk spreads during crises

The information content of Morningstar StockInvestor: the Tortoise vs the Hare

Thought Contagions in the Stock Market

A New Paradigm for Asset Pricing

Overreactions, Momentum, Liquidity, and Price Bubbles in Laboratory and Field Asset Markets

Measuring Bubble Expectations and Investor Confidence

Investor Overreaction: Evidence That Its Basis Is Psychological

A Cat Bond Premium Puzzle?

When Cultures Collide: Social Security and the Market

Market Bubbles and Investor Psychology

Imagery, Affect, and Financial Judgment

Catastrophic Risk and Securities Design

Risk Behavior of East and West Germans in Handling Personal Finances

Beyond Behavioral Finance

Thought Contagion and Financial Economics: The Dividend Puzzle as a Case Study

On Hersh Shefrin's Beyond Greed and Fear: Understanding Behavioral Finance and the Psychology of Investing

The Old Psychology Behind "New Metrics"

Cash Flow Is King? Cognitive Errors by Investors

Home Bias in International Stock Return Expectations

The New Economy Creed: A Case of Thought Contagion

Market Efficiency or Behavioral Finance: The Nature of the Debate

Risk Aversion and the Investment Horizon: A New Perspective on the Time Diversification Debate

The Real Year 2000 Problem: Investor Psychology

The Effects of Subject Pool and Design Experience on Rationality in Experimental Asset Markets

The Influence of Gender on the Perception and Response to Investment Risk: The Case of Professional Investors

The Psychology of Financial Decision-Making: Applications to Trading, Dealing, and Investment Analysis

Professor Burrell's Proposal for a Behavioral Finance: Some Reflections

Possibility of an Experimental Approach to Investment Studies

On Paul Slovic's The Perception of Risk

The Role of Psychology in Analysts' Estimates

Training Novice Investors to Become More Expert: The Role of Information Accessing Strategy

Financial Bubbles: Excess Cash, Momentum, and Incomplete Information

Investing in Frankenfirms: Predicting Socially Unacceptable Risks

Research Elsewhere

Book Reviews

Unconscious Herding Behavior as the Psychological Basis of Financial Market Trends and Patterns

A Report on the March 2001 Investor Sentiment Survey

A Behavioral Model of Stock Market Investors' Impact on Consumption

On Ignorance, Intuition, and Investing: A Bear Market Test of the Recognition Heuristic

Behavioral Finance as Science: Implications From the Research of Paul Slovic

Psychological Study of Human Judgment: Implications for Investment Decision Making

Research Elsewhere

A Review of The Seven Sins of Memory: How the Mind Forgets and Remembers

Do Investors Expect Higher Returns From Safer Stocks Than From Riskier Stocks?

Toward an Understanding of the Risky Choice Behavior of Professional Financial Analysts

Momentum, Rational Agents and Efficient Markets

Visibility, Institutional Preferences and Agency Considerations

Are Malaysian Investors Rational?

An Experimental Study of the Disposition Effect: Evidence From Macau

Stock Analysts: Experts on Whose Behalf?

The Perception of Dividends By Management

Buy on the Rumor: Anticipatory Affect and Investor Behavior

Hindsight Bias and Individual Risk Attitude within the Context of Experimental Asset Markets

Mad Cows, Mad Corn, & Mad Money: Applying What We Know About the Perceived Risk of Technologies to the Perceived Risk of Securities

The Foundations of Experimental Economics and Applications to Behavioral Finance: The Contributions of Nobel Laureate Vernon Smith

Stock Market Bubbles in the Laboratory

Market Underreaction to Large Stock Price Declines: The Case of ADRs

Preference for Risk in Investing as a Function of Trait Optimism and Gender

Economic Data, Conventions, and Replication in Laboratory Asset Markets

The Contributions of Daniel Kahneman and Amos Tversky

Does Analyst Optimism About Future Earnings Distort Stock Prices?

Anchoring and Psychological Barriers in Foreign Exchange Markets

A Behavioral Decision-Making Modeling Approach Toward Hedging Services

Portfolio Composition Choice: A Behavioral Approach

The Effects of Attraction on Investment Decisions

Categorical Thinking in Stock Portfolio Management: A Puzzle?

What Goes Up Must Come Down-How Charts Influence Decisions to Buy and Sell Stocks

Profit Warnings and the Pricing Behavior of ADRs

On Characteristics Momentum

Short-Term Overreaction in the Hong Kong Stock Market: Can a Contrarian Trading Strategy Beat the Market?

Financial Analysts, Firm Quality, and Social Responsibility

Bubble Jr.

Riding the Wave of Sentiment: An Analysis of Return Consistency as a Predictor of Future Returns

Investor Confidence and Returns Following Large One-Day Price Changes

Derivation of Asset Price Equations Through Statistical Inference

Simple and Complex Market Inefficiencies: Integrating Efficient Markets, Behavioral Finance, and Complexity

Regression to the Mean: One of the Most Neglected but Important Concepts in the Stock Market

Editorial Commentary: Trust, Complexity and the 1990s Market Bubble

Day Traders and the Disposition Effect

Measuring the Impact of Behavioral Traders on the Market for Closed-End Country Funds

Commissions Matter: The Trading Behavior of Institutional and Individual Active Traders

Herding in the Italian Stock Market: A Case of Behavioral Finance

Editorial Commentary: Corporate Governance: Incentive, Conflict of Interest and Bias

Individual Investor Preferences: A Segmentation Analysis

Switching Investments Can Be a Bad Idea When Parrondo's Paradox Applies

Numerical Information Format and Investment Decisions: Implications for the Disposition Effect and the Status Quo Bias

Self is Never Neutral: Why Economic Agents Behave Irrationally

The Timing Ability of Newly Listed NYSE Firms, 1926-1962

Asset Allocation and Information Overload: The Influence of Information Display, Asset Choice, and Investor Experience

Limit Order Trading Behavior and Individual Investor Performance

Framing Effects, Selective Information, and Market Behavior: An Experimental Analysis

Bidding and Overconfidence in Experimental Financial Markets

The Perception of Control and the Level of Overconfidence: Evidence from Analyst Earnings Estimates and Price Targets

Development and Validation of a Model and Measure of Financial Risk-Taking

Social Mood and Financial Economics

Risk Aversion and Personality Type

Gender Stereotypes in Advisors' Clinical Judgments of Financial Risk Tolerance: Objects in the Mirror Are Closer than They Appear

Orientation Toward Finances: Development of a Measurement Scale

A Behavioral Approach To Efficient Portfolio Formation

Prediction Markets and the Financial "Wisdom of Crowds"

The Demographics of Overconfidence

Subject Perceptions of Confidence and Predictive Validity in Financial Information Cues

Growth Optimization with Downside Protection: A New Paradigm for Portfolio Selection

The Platonic Foundations of Finance and the Interpretation of Finance Models

Behavioral Finance: Back on the Road Again

Searching for Rational Investors in a Perfect Storm: A Behavioral Perspective

Disentangling Cognitive Bias in the Assessment of Investment Decisions: Derivation of Generalized Conditional Risk Attribution

Money Attitude Typology and Stock Investment

Expanding the Range of Behavioral Factors in Economic Simulations

The Disposition Effect and Individual Investor Decisions: The Roles of Regret and Counterfactual Alternatives

Did Investor Sentiment Foretell the Fall of ENRON?

The Impact of U.S. Individual and Institutional Investor Sentiment on Foreign Stock Markets

Evidence of the Endowment Effect in Stock Market Order Placement

Firm Image and Individual Investment Decisions

The Characteristics of Online Investors

Exuberant Irrationality: Judging Financial Books by their Covers

A Literature Review of Social Mood

Status Quo Bias and the Number of Alternatives: An Empirical Illustration from the Mutual Fund Industry

Recall of Financial Information for Investment Decisions: The Impact of Encoding Specificity and Mental Imagery

Mimicking Behavior in Repurchase Decisions

Research Elsewhere

Book Reviews

Yes, Wall Street, There Is A January Effect! Evidence from Laboratory Auctions

Motivational and Cognitive Determinants of Buy-Side and Sell-Side Analyst Earnings Forecasts: An Experimental Study

Prior Performance and Risk-Taking of Mutual Fund Managers: A Dynamic Bayesian Network Approach

Volatility in Returns from Trading

Some Determinants of the Socially Responsible Investment Decision: A Cross-Country Study

The Trader Interaction Effect on the Impact of Overconfidence on Trading Performance: An Empirical Study

Affect and Financial Decision-Making: How Neuroscience Can Inform Market Participants

Mental Liquidity

The Financial/Economic Dichotomy in Social Behavioral Dynamics: The Socionomic Perspective

“New Economy” Firms and Momentum

Quantifying the Information Content of Investment Decisions in a Multiple Partial Moment Framework: Formal Definition and Applications of Generalized Conditional Risk Attribution

The Behavior of Japanese Individual Investors During Bull and Bear Markets

Reporting Frequency and Sample Size: Effects on Prediction, Confidence Levels, and Confidence Intervals

Answering Financial Anomalies: Sentiment-Based Stock Pricing

“Investing” versus “Investing for a Reason”: Context Effects in Investment Decisions

The Geography of S&P 500 Stock Returns

The Hot Stock Tip from Debbie: Implications for Market Efficiency

Earnings per Share: Stylized Facts and New Paradigms

Information-Adjusted Noise Model: Evidence of Inefficiency on the Australian Stock Market

Managerial Overoptimism and the Choice Between Debt and Equity Financing

Cognitive Dissonance: The Problem Facing Behavioral Finance

Bursting Bubbles: Linking Experimental Financial Market Results to Field Market Data

Giving Credit Where Credit is Due: The Psychology of Credit Ratings

Ambiguity Aversion and Illusion of Control: Experimental Evidence in an Emerging Market

Dividend and Taxes, Redux, … Again

A Detailed Prospect Theory Explanation of the Disposition Effect

Moving from an Efficient to a Behavioral Market Hypothesis

Biases in Individual Forecasts: Experimental Evidence

The Stock Market Bubble, Shareholders' Attribution Bias and Excessive Top CEO Pay

Testing Intentional Herding in Familiar Stocks: An Experiment in an International Context

Interactions of Individuals' Company-Related Attitudes and Their Buying of Companies' Stocks and Products

Is Satisficing Absorbable? An Experimental Study

A Face Can Launch a Thousand Shares—And an 0.80% Abnormal Return

The Impact of Investor Status on Investors' Evaluation of Negative and Positive, Separate and Combined Information

Risk Preference Discrepancy: A Prospect Relativity Account of the Discrepancy Between Risk Preferences in Laboratory Gambles and Real World Investments

Portfolio Selection of German Investors: On the Causes of Home-biased Investment Decisions

Are Pension Fund Managers Overconfident?

An Analysis of Financial Analysts' Optimism in Long-term Growth Forecasts

Predicting Relative Performance in Economic Competition

An Intimate Portrait of the Individual Investor

The Role of Psychic Distance in Contagion: A Gravity Model for Contagious Financial Crises

Why Do Bond and Stock Prices and Trading Volume Change around Credit Rating Announcements?

The Relationship Between Investor Attachment Style and Financial Advisor Loyalty

Effects of Managerial Discretion in Fair Value Accounting Regulation and Motivational Incentives to “Go Along” with Management on Analysts' Expectations and Judgments

Investing in the Unknown and the Unknowable—Behavioral Finance in Frontier Markets

The Hedonic Editing Hypothesis: Evidence from the Finnish Stock Market

Behavioral Capital Structure: Is the Neoclassical Paradigm Threatened? Evidence from the Field

Attitudes to Economic Risk Taking, Sensation Seeking and Values of Business Students Specializing in Finance

Behavioral Finance Meets Experimental Macroeconomics: On the Determinants of Currency Trade Decisions

Illusion of Control as a Source of Poor Diversification: Experimental Evidence

Overconfidence and Active Management: An Empirical Study across Swiss Pension Plans

Investors' Decision to Trade Stocks – An Experimental Study

Affective Equilibria in the Endowment Effect

Impact of Analyst Upgrades and Downgrades of Sectors on Sector Valuations

Managing a 401(k) Account: An Experiment on Asset Allocation

A Better Mousetrap: Economics, Psychology, Blind Spots and Reform

Are Equally Likely Outcomes Perceived as Equally Likely?

Does the Consciousness of the Disposition Effect Increase the Equity Premium?

Disposition Effect and Flippers in the Bursa Malaysia

Dimensionality of Risk Perception: Factors Affecting Consumer Understanding and Evaluation of Financial Risk

Time Variation in Analyst Optimism: An Investor Sentiment Explanation

Do Investors React Differently to Range and Point Management Earnings Forecasts?

Interplay of Investors' Financial Knowledge and Risk Taking

Analysts Get SAD Too: The Effect of Seasonal Affective Disorder on Stock Analysts' Earnings Estimates

Investor Sentiment and Time-Varying Market Risk in Market-Neutral Hedge Funds

Departures from Rational Expectations and Asset Pricing Anomalies

Overly Optimistic? Investor Sophistication and the Role of Affective Reactions to Financial Information in Investors' Stock Price Judgments

Effects of Visual Priming on Improving Web Disclosure to Investors

Investment Decision Making: Do Experienced Decision Makers Fall Prey to the Paradox of Choice?

Financial Engineering and Rationality: Experimental Evidence Based on the Monty Hall Problem

The Availability Heuristic and Investors' Reaction to Company-Specific Events

Comparing the Traits of Stock Market Investors and Gamblers

Psychological and Cultural Factors in the Choice of Mortgage Products: A Behavioral Investigation

Improving Financial Decision Making With Unconscious Thought: A Transcendent Model

The Role of Company Affect in Stock Investments: Towards Blind, Undemanding, Noncomparative and Committed Love

Payday Effects: An Examination of Trader Behavior within Evaluation Periods

Detecting Anchoring in Financial Markets

An Experimental Examination of Heuristic-Based Decision Making in a Financial Setting

Investor Extrapolation and Expected Returns

Mitigating Investor Risk-Seeking Behavior in a Down Real Estate Market

The Influence of Affective Reactions on Investment Decisions

Risk Perception of Employees with Respect to Equity Shares

Using an Eye Tracker to Examine Behavioral Biases in Investment Tasks: An Experimental Study

What Is Wrong with this Picture? A Problem with Comparative Return Plots on Finance Websites and a Bias Against Income-Generating Assets

A More Predictive Index of Market Sentiment

Does Mr. Market Suffer from Bipolar Disorder?

Prior Perceptions, Personality Characteristics and Portfolio Preferences among Fund Managers: An Experimental Analysis

Are Multiple Analyst Earnings Forecasts Better Than the Single Forecast?

The Less You Know, the More You Are Afraid of—A Survey on Risk Perceptions of Investment Products

Price Patterns in Experimental Asset Markets with Long Horizon

Prospect Theory and Risk-Seeking Behavior by Troubled Firms

Dollar-Cost Averaging and Prospect Theory Investors: An Explanation for a Popular Investment Strategy

Are Investors Rational and Does it Matter? Determining the Expected Utility Function for a Group of Investors

Fair Value (U.S. GAAP) and Entity-Specific (IFRS) Measurements for Performance Obligations: The Potential Mitigating Effect of Benchmarks on Earnings Management

Individuals’ Affect-Based Motivations to Invest in Stocks: Beyond Expected Financial Returns and Risks

Barron's Red Flags: Do They Actually Work?

The Role of Expectations in Value and Glamour Stock Returns

Know Your Subject: A Gendered Perspective on Investor Information Search

Stock Market Mispricing, Executive Compensation and Corporate Investment: Evidence from Australia

Does Prospect Theory Explain the Disposition Effect?

Investor Optimism, False Hopes and the January Effect

Explaining What Leads Up to Stock Market Crashes: A Phase Transition Model and Scalability Dynamics

Reverse Disposition Effect of Foreign Investors

Retirement Investor Risk Tolerance in Tranquil and Crisis Periods: Experimental Survey Evidence

Testing Alternative Theories of Financial Decision Making: A Survey Study With Lottery Bonds

The Impact of Venture Capital Investments on Public Firm Stock Performance

Estimating the Loss from the Disposition Effect: A Simulation Study

Investor Rationality and Financial Decisions

Mental Accounting and False Reference Points in Real Estate Investment Decision Making

Money Illusion and Nominal Inertia in Experimental Asset Markets

Can Diversification be Learned?

Automated Finance: The Assumptions and Behavioral Aspects of Algorithmic Trading

Psychological and Social Forces Behind Aggregate Financial Market Behavior

Behavioral Aspects of Covered Call Writing: An Empirical Investigation

How the Shift to Quality Distinguished Winners from Losers During the Financial Crisis

A New Pseudo-Bayesian Model with Implications for Financial Anomalies and Investors’ Behavior

Why Do Investors Buy Bad Financial Products? Probability Misestimation and Preferences in Financial Investment Decision

Understanding the Risk Anatomy of Experienced Mutual Fund Investors

Influencing Financial Behavior: From Changing Minds to Changing Contexts

Investors’ Exposure Rating and Stock Returns

Earnings Management, Managerial Optimism, and IPO Valuation

Social Learning Among Rational Analysts

Impact of Heterogeneous Confidences on Investment Style

The Impact and Source of Mental Frames in Socially Responsible Investing

Impact of Biased Pecking Order Preferences on Firm Success in Real Business Cycles

Disposition Effect Among Contrarian and Momentum Investors

Forward and Falsely Induced Reverse Information Cascades

What Determines Investors’ Purchases and Redemptions?

Framed Field Experiment with Stock Market Professionals

Importance of Catering Incentives for Growth Dynamics

Analyst Recommendations, Earnings Forecasts and Corporate Bankruptcy: Recent Evidence

Analyst Recommendations, Earnings Forecasts and Corporate Bankruptcy: Recent Evidence

The Role of Financial Education in the Management of Retirement Savings

Trust: The Underappreciated Investment Risk Attribute

What Determines Investors’ Purchases and Redemptions?

Framed Field Experiment with Stock Market Professionals

Does Sentiment Matter for Stock Market Returns? Evidence from a Small European Market

Does Presenting Investment Results Asset by Asset Lower Risk Taking?

Seasonal Anomalies in Pension Plans

Are Investors Rational? Evidence on the Impact of Industrial Framing Reclassification on Stock Market Reaction

Risk Preferences, Investor Sentiment and Lottery Stocks: A Stochastic Dominance Approach

Familiarity Bias and Perceived Future Home Price Movements

DOSPERT's Gambling Risk-Taking Propensity Scale Predicts Excessive Stock Trading

Greed and Fear in Financial Markets: The Case of Stock Spam E-Mails

An Exploratory Inquiry into the Psychological Biases in Financial Investment Behavior

The Behavior of Institutional and Retail Investors in Bursa Malaysia during the Bulls and Bears

Institutional Reinvestments in Private Equity Funds as a Double-Edged Sword: The Role of the Status Quo Bias

Does Sentiment Matter for Stock Market Returns? Evidence from a Small European Market

Latin Hypercube Sampling and the Identification of the Foreclosure Contagion Threshold

Does Presenting Investment Results Asset by Asset Lower Risk Taking?

Seasonal Anomalies in Pension Plans

Throwing Good Money After Bad? The Impact of the Escalation of Commitment of Mutual Fund Managers on Fund Performance

Excessive Volatility is Also a Feature of Individual Level Forecasts

Exploring Ambiguity and Familiarity Effects in The “Earnings Game” Between Managers and Investors

The Effects of Earnings Guidance on Investors’ Perceptions of Firm Credibility in a Two-Firm Setting

Do Institutional and Individual Investors Differ in Their Preference for Financial Skewness?

The Credit Crisis and De Nova Mimicking in Security Analysis

On the Internal Consistency of Stock Market Forecasts

The Use of Word Lists in Textual Analysis

Impact of Information Disclosure on Prices, Volume, and Market Volatility: An Experimental Approach

Investor Sentiment and Stock Market Liquidity

How Investor Perceptions Drive Actual Trading and Risk-Taking Behavior

Investor Sentiment and Short-Term Returns for Size-Adjusted Value and Growth Portfolios

Risk Information and Retirement Investment Choice Mistakes Under Prospect Theory

Trading Behavior of Institutional Investors and Stock Index Futures Returns in Taiwan

Misvaluation and Behavioral Bias in Financial Markets

Analyst Herding Behavior and Analyst Affiliation: Evidence from Business Groups

The Role of Industry Effects in Simultaneous Reversal and Momentum Patterns in One-Month Stock Returns

Predicting Equity Markets with Digital Online Media Sentiment: Evidence from Markov-switching Models

The Role of Industry Effects in Simultaneous Reversal and Momentum Patterns in One-Month Stock Returns

Career Risk

A Study of Social Network Effects on the Stock Market

When and Where Are Informed Traders? What Is Their Relationship with Analysts in the Price Discovery Process?

Impact of Information Disclosure on Prices, Volume, and Market Volatility: An Experimental Approach

Information Transmission Through Rumors in Stock Markets: A New Evidence

Culture in Preferences for Income Equality and Safety Nets

Information Transmission Through Rumors in Stock Markets: A New Evidence

When and Where Are Informed Traders? What Is Their Relationship with Analysts in the Price Discovery Process?

Culture in Preferences for Income Equality and Safety Nets

Investment Professionals' Ability to Detect Deception: Accuracy, Bias and Metacognitive Realism

Belief in Mean Reversion and the Disposition Effect: An Experimental Test

Diversification Bias and the Law of One Price: An Experiment on Index Mutual Funds

The Neural Inhibition of Learning Increases Asset Market Bubbles: Experimental Evidence

Information Sharing within the Networks of Delegated Portfolio Managers: Evidence from Plan Sponsors and Their Subadvisers

Trading Behavior and Monetary Policy News

Family Governance Signals and Heterogeneous Preferences of Investors

Stock Returns and the Tone of Marketplace Information: Does Context Matter?

Informed and Uninformed Trading With Correlated Assets: An Experimental Study

Aggregate Investor Confidence in the Stock Market

The Effect of Advanced Age and Equity Values on Risk Preferences

Is CAPM a Behavioral Model? Estimating Sentiments from Rationalism

A New Method of Measuring Financial Risk Aversion Using Hypothetical Investment Preferences: What Does It Say in the Case of Gender Differences?

Relative Value Hedge Funds: A Behavioral Modeling of Hedge Fund Risk and Return Factors

Herding Behavior among Exchange-Traded Funds

Anchoring-Adjusted Capital Asset Pricing Model

The Paradoxical Behavioral Effects of a Directional Goal on Investors' Risk Perceptions and Valuation Judgments

Merger Speculation in Financial Media: The Valuation of Investigative Reporting

How (Over) Confident Are Financial Analysts?

Value Functions for Prospect Theory Investors: An Empirical Evaluation for U.S. Style Portfolios

Behavioral Factors in Equity Allocation Decisions: A Large-Scale Experimental Study With Context

The Effect of Confidence in Valuation Estimates on Arbitrager Behavior and Market Prices

Do Energy Prices Affect U.S. Investor Sentiment?

Global and Extreme Dependence Between Investor Sentiment and Stock Returns in European Markets

The Availability Heuristic and Reversals Following Large Stock Price Changes

Impatience and Inconsistency in Intertemporal Choice: An Experimental Analysis

Bank-Affiliated Mutual Fund Managers' Trading Patterns of Parent Banks' Stocks: International Evidence

Exploring factors on customers’ restaurant choice: an analysis of restaurant attributes

Antecedents of farmers’ willingness to participate in short food supply chains

Drivers and barriers to food waste reduction

Causal relationship between material price fluctuation and project’s outturn costs

A systematic approach to develop risk registry frameworks for complex projects



Project delivery attributes influencing green building project outcomes: A review and future research directions

Systematic approach for asset management of urban water pipeline infrastructure systems

Simulation techniques for cost management and performance in construction projects in Malaysia

A framework for adopting green leasing in developing countries: the case of Sri Lanka

Derivative financial instruments, tax aggressiveness and firm market value

Application of “R” principles to enhance the efficiency of water usage in construction sites

Production of green concrete using recycled waste aggregate and byproducts

Payment mechanisms for contractors for better environmental hazard controlling in road construction projects

Making the mission visible: altmetrics and nontraditional publishing



PlumX: a tool to showcase academic profile and distinction

Legacies and lifecycles: digitizing oral histories at Rutgers University libraries

A survey of digital information literacy (DIL) among academic library and information professionals

Implementing an open source integrated library system (ILS) in a special focus institution

Evaluating social media presence: A practical application of big data and analytics in information organizations

Do real estate loans reflect regional banking and economic conditions?

Digital libraries: the systems analysis perspective machine erudition

Information doesn’t always want to be free: An overview of regulations affecting information security

Digital newspaper preservation through collaboration

Community connections, community collections: Building partner support for collaborative digitization projects

Opening up collaboration and partnership possibilities: Re-valuing library resources, skill sets, and expertise

Culture’s causes: the next challenge

Relationship of budget participation conflict and job performance of South Korean managers

Global psychology: implications for cross-cultural research and management

National context and organizational performance across three sectors

Antecedents of attitudes toward the website: The moderating role of long-term orientation and individualism

Attitudes to other ethnicities among New Zealand workers

Team performance in cross cultural project teams: The moderated mediation role of consensus, heterogeneity, faultlines and trust

The moderating role of Hofstede’s cultural dimensions in the customer-brand relationship in China and India

B2b inter‐organisational digitalisation strategies: Towards an interaction‐based approach

Consumers' willingness to knowingly purchase counterfeit products

Online shopping and moderating role of offline brand trust

Bank stock repurchase extent and measures of corporate governance

Earnings management by friendly takeover targets

The impact of television dependency on teleshopping adoption

The direct farmer's market: a tool for rural female empowerment

Tools vs toys: does your technology work for you or play with you?

Social entrepreneurship and direct marketing

Characterization of online shoppers with navigation problems

The end of mass marketing: or, why all successful marketing is now direct marketing

Ethics and regulation in direct marketing

Does excellence have a gender?: A national research study on recruitment and selection procedures for professorial appointments in The Netherlands

Mentoring for gender equality and organisational change

Access to social support among homeless urban women and men in Tehran 

Modeling housing supply and demand using system dynamics

The support plan: Centrepiece of high‐quality service or missed opportunity?

Intermediate care service in extra care sheltered housing

Future need and demand for supported accommodation for people with learning disabilities in England

Independent living for disabled people: Making it happen

Extra care housing: Remodelling for the future

Coming of age: Meeting the challenge of older homelessness

Listening, learning and making change

Experience and expression of social isolation by inner-city high-rise residents

Trade policy and wage inequality: evidence from Indian manufacturing

Land acquisition and industrial growth

Sun safety education intervention for school and home

Public health information programmes: can partnerships reduce costs?

Transforming information, education and communication in Vietnam

Television entertainment and health education for children in Israel

Television entertainment and health education for children in Israel

Media coverage of tobacco diversification: tradeoffs for community health

Falls in the elderly: challenges and opportunities in the rural settings: the Whyalla case. Preliminary report

Elementary school students’ understanding of the common cold

Using focus groups to explore children’s perceptions of smoking: reflections on practice

Singing for health: an exploration of the issues

Child protection drama in primary school – an effective educational approach?

Perceptions of asthma: the views of young people

The effects of Investors in People and ISO 9002 in local authority leisure facilities

In search of quality: the quality management experience in Singapore

Conversation and Technology – From the Telephone to the Internet

Privatising Regulation: Whistleblowing and Bounty Hunting in the Financial Services Industries

Cyber‐Organised Crime — The Impact of Information Technology on Organised Crime

Unlocking the Supply Chain to Build Competitive Advantage

Shaming International Financial Centres

Fighting Public Officer and Corporate Crimes

An Evolving Series of Proceeds of Crime Models

Financial Services Regulation and Liability of Corporations

Well‐being: the next revolution in children's services?

Safeguarding and Promoting the Well‐being of Children, Families and Communities

Stakeholders in a hybrid market: the example of air business passenger travel

Maximum conformance rate‐based tolerance design

Design for customer satisfaction: an information modelling approach

Highly constrained multi‐facility warehouse management system using a GIS platform

An integrated approach to autonomous maintenance management

Will Corruption Ever Be Curbed in the Banking Industry?

The Impact of Modular Production on the Dynamics of Supply Chains

Banking supervision and nonperforming loans: a cross‐country analysis

Optimal monetary policy under heterogeneity in currency trade

Management of pension discount rate and financial health

An empirical analysis of bank concentration and monetary policy effectiveness

Financial exclusion and financial capabilities in Canada

Crisis facilitates policy change, not liberalization

Bank-based financial development and economic growth: A review of international literature

Bank branch location and stability during distress

Assessing sovereign risk: the case of rich countries

Market vs. administered Federal Reserve policy rates

Stock markets and the costs of banking crises

Current Researches and Future Development Trend of Intelligent Robot: A Review

IFSO 2018 23rd world congress

Dr. Chen-lu Tsou: a tireless advocate for advancement in the standards of scientific research in China

A Study on the Key Factors Influencing International Franchisors’ Choice of Entry Modes into China 

Annual Congress of the European Association of Nuclear Medicine 

Beneficiation of Antimony Oxide Ore: A Review1 

MINUTES OF THE 46th GENERAL ASSEMBLY OF THE EUROPEAN ASSOCIATION FOR THE STUDY OF DIABETES 

A review of the end-effector of large space manipulator with capabilities of misalignment tolerance and soft capture 

Regenerative medicine research in China: from basic research to clinical practice 

MINUTES OF THE 45th GENERAL ASSEMBLY OF THE EUROPEAN ASSOCIATION FOR THE STUDY OF DIABETES

MINUTES OF THE 45th GENERAL ASSEMBLY OF THE EUROPEAN ASSOCIATION FOR THE STUDY OF DIABETES

A review of heavy-duty legged robots 

MINUTES OF THE 47th GENERAL ASSEMBLY OF THE EUROPEAN ASSOCIATION FOR THE STUDY OF DIABETES 

16th International Diabetes Federation Congress 

Managing corporate reputation within the chinese context: Future research directions

Serum levels of perfluorinated compounds in the general  population in Shenzhen, China 

Monitoring the three-dimensional ionospheric electron density distribution using GPS observations over China

On the Guidance of Multiple UAV Using a Centralized Formation Control Scheme and Delaunay Triangulation

Effective Crowd Anomaly Detection Through Spatio-temporal Texture Analysis

44th Annual Meeting of International Society for Pediatric Neurosurgery, Kobe, Japan, Oct 23-27, 2016

21st ESICM Annual Congress – Lisbon, Portugal 

The Negative Influences of Exam-Oriented Education on Chinese High School Students: Backwash from Classroom to Child 

From time-based competition (TBC) to quick response manufacturing (QRM): the evolution of research aimed at lead time reduction

Overview of 5G Technology

Overseas Branches 

Multi-level ontology integration model for business collaboration

Study on Information Diffusion Analysis in Social Networks and Its Applications

Entry Mode Choice of Chinese Enterprises:  The Impacts of Country Risk, Cultural Distance and Their Interactions  

The 11th World Conference on Titanium 

Automation in construction scheduling: a review of the literature

Is editing the roadblock to the internationalization of Chinese academic journals?* 

Software for Small-scale Robotics: A Review

Oil production rate predictions for steam assisted gravity drainage based on high-pressure experiments 

An Analysis of Research Trends on Data Mining in Chinese Academic Libraries

XXXV Brazilian congress of Rheumatology

Ultrahigh performance concrete–properties, applications  and perspectives 

Transient stability probability of a power system incorporating  a wind farm 

Chinese character recognition: history, status and prospects 

Management Research on Reciprocity:  A Review of the Literature 

Experimental simulation of the relative contribution of volatile 

Modeling of rotational supercavitating evaporator and the geometrical characteristics of supercavity within 

MANKIND'S IMPACT ON CLIMATE: THE EVALUATION OF AWARENESS

Synthesis and Characterization of Lignin Grafting Modification-based Aliphatic Superplasticizer

Bayesian cognitive trust model based self-clustering algorithm for MANETs

Societal response to challenges of global change and human  sustainable development 

A Survey of the Research Status of Pedestrian Dead Reckoning Systems Based on Inertial Sensors

Location and the Multinational Enterprise: A Neglected Factor?

A Position and Torque Switching Control Method for Robot Collision Safety

  Experimental and Computational Investigations on Severe Slugging in A Catenary Riser 

Research on Flexural Behavior of Coral Aggregate Reinforced Concrete Beams 

Numerical Simulation on the Resistance Performance of Ice-Going Container Ship Under Brash Ice Conditions 

Research on the Effects of in-Line Oscillatory Flow on the Vortex-Induced Motions of A Deep Draft Semi-Submersible in Currents 

Axiomatic design method to design a screw drive in-pipe robot passing through varied curved pipes 

A 3D-printed Robot Hand with Three Linkage-driven Underactuated Fingers

Molecular-based conducting magnet 

Robust segmentation of raw point clouds into consistent surfaces 

Methods for promoting electrochemical properties of LiNil/3Col/3Mnl/3O2 for lithium-ion batteries 

COR-SUR for Windows Corrosion Data Software 

Screening possible solid electrolytes by calculating the conduction pathways using Bond Valence method 

Learning to Transform Service Instructions into Actions with Reinforcement Learning and Knowledge Base

Emergency Supply Chain Management Based on Rough Set – House of Quality

A Graph-based model for context-aware recommendation using implicit feedback data

Mathematical prototypes for collocating geostationary satellites 

A new depth-integrated non-hydrostatic model for free  surface flows 

Selection of the Approach for Producing a Weighting Scheme for the CSR Evaluation Framework

Twenty-five years of international collaboration in reference materials via ISO/REMCO

Bifurcations and chaos in indirect field-oriented control of induction motors 

A New TSMC Prototype Robust Nonlinear Task Space Control of a 6 DOF Parallel Robotic Manipulator 

Hierarchical Co3O4 Microstructures Decorated with Ag and Cu Oxides: Study of Photocatalytic and Electrochemical Properties 

Binomial lattice for pricing Asian options on yields 

Robust Observer-based Sensor Fault Reconstruction for Discrete-time Systems via a Descriptor System Approach 

Light Metals Processing 

THE 67TH ANNUAL ASSEMBLY OF INTERNATIONAL INSTITUTE OF WELDING

Pricing Credit Default Swap with Contagious Risk and Simulation

Numerical investigation of cavitation-vortex interaction in                             a mixed-flow waterjet pump

Region dependent fracture resistance behavior of human dentin based on numerical simulation∗

The international harmonization progress of china accounting standards

The impact of Internet finance on commercial banks’ risk taking: evidence from china

Promoting the innovation of urbanization system in Western China from the perspective of public finance and taxation

Value of big data to finance: observations on an internet credit Service Company in China 

A study on the basic path for producet services to promote industrial upgrading and the related finance ahd taxation measures

Consumer Finance and Social Indicators in China

GOVERNMENT POLICIES AND CORPORATE FINANCING DECISIONS IN CHINA: THEORY AND EVIDENCE 

Review of Managing the Risks of Offshore Banking and Its Implications for the China (Shanghai) Pilot Free Trade Zone

A Review of the national social security fund in china

Journal of Geodesy  The geodesist's handbook 2016

Financing strategies to improve essential public health equalization and its effects in China 

Lending for growth? A Granger causality analysis of China’s finance–growth nexus

Economics, fundamentals, technology, finance, speculation and geopolitics of crude oil prices

Law, finance, and the international mobility of corporate governance

Mainstreaming Environmental Finance into Financial Markets – Relevance, Potential and Obstacles 

Mainstreaming Environmental Finance Markets (I) – Small-Scale Energy Efficiency and Renewable Energy Finance 

Evaluating the enhancement and improvement of China’s technology and financial services platform innovation strategy

International Natural Gas Supply and Quantities Available to China

Risk identification, future value and credit capitalization: research on the theory and policy of poverty alleviation by Internet finance 

Harnessing internet finance with innovative cyber credit management

The Asian Infrastructure Investment Bank and Status-Seeking: China’s Foray into Global Economic Governance

Evaluating the Role of International Trade in the Growth of China’s CO2 Emissions∗

Macro finance early warning system

A review of promoting access to medicines in China - problems and recommendations 

ON LAUNCHING A NEW  PUBLIC FINANCE QUARTERLY

STABILIZATION GOALS AND THE APPROPRIATENESS OF FISCAL POLICY DURING THE EISENHOWER AND KENNEDY JOHNSON ADMINISTRATIONS

AGENDA FOR A CITY

MEASURING  EFFICIENCY IN EDUCATIONAL PRODUCTION

INTERREGIONAL FISCAL EQUITY AND BENEFIT TRANSFERS

THE ECONOMIC ORGANIZATION OF REFUSE COLLECTION

A BUDGET SIZE IN A DEMOCRCU

OPTIMAL POLICY WHEN EFFECTS ON DISTRIBUTION ARE UNCERTAIN

THE DETERMINATION OF EQULISED VALUTION

 THE DOMESTIC CONCEQUENCES OF ALTERNATIVE SYSTEMS OF CORPORATE TAXATION

THE ROLE OF INNOVATION IN THE PROVISION OF LOCAL PUBLIC GOODS

TAXATION AND INFLATION A SURVEY OF RECENT THEORY AND EMPIRICAL EVIDENCE

POST  - FISC DISTRIBUTION OF INCOME IN 1950,1961,AND 1970

AN ANALYSIS OF RESOURCES ALLOCATION IN PUBLIC SCHOOL DISTRICTS

METHODOLOGIES FOR ESTIMATING HOUSING SUBSIDY BENEFITS

THE INCIDENCE OF AUTO MOBILE POLLUTION CONTROL

APPROACHES TO THE ANALYSIS OF GOVERNMENT EXPENDIURE GROWTH

WAGNERS LAW PUBLIC SECTOR PATTERNS,AND GROWTH OF PUBLIC ENTERPRISES IN TAIWAN

WEALTH NEUTRAL GRANDS FOR PUBLIC EDUCATION

TAX REDUCTION WITH OUT SACRIFICE

THE DISTRIBUTIONAL IMPACT OF PUBLIC GOODS

DISTINGUISHING BETWWEN MONEY INCOME AND UTILITY INCOME ANALYSIS

ALL"NG"UP AN CLUBS?/ 

SENSITIVITY OF FEDERAL

EXPENDITURES TO UNEMPLOYMENT

IS INCOME FROM CAPITAL SUBJECT TO INDIVIDUAL TAXATION

ASSETS AND EMPLOYMENT

IN THE NONPROFIT SECTOR

THE DISTRIBUTIONAL IMPACT OF STATEWIDE PROPERTY TAX RELIEF: THE MICHIGAN CASE

VALUE-ADDED TAX AS A SOURCE OF SOCIAL SECURITY FINANCING

TAX PROGRESSIVITY AND THE DESIGN OF TAX INCENTIVES FOR INVESTMENT

STATE DISCRETION IN FTDERAL CATEGORICAL ASSISTANCE PROGRAMS: THE CASE OF MEDICAID

INTERTEMPORAL EFFECTS, INTERTEMPORAL SUITABILITY, AND THE ANALYSIS OF IN-KIND SUBSIDY PROGRAMS

STATE AND LOCAL GOVERNMENT FISCAL CONSTRAINTS: PUBLIC SECTOR AND PRIVATE SECTOR EFFECTS

TAX RATES AND TAX LOSSES:A PRELIMINARY ANALYSISUSING AGGREGATE DATA

IS THE CORPORATE TAX SHIFTED?EMPIRICAL EVIDENCE FROM ASEAN

FEDERALISM, HORIZONTAL EQUITY, AND THE OPTIMAL GRANT

TAXATION OF HOUSING, CAPITAL ACCUMULATION, AND WELFARE: A STUDY IN DYNAMIC TAX REFORM

ENVIRONMENTAL CONTROL COSTS AND U.S. EFFECTIVE RATES OF PROTECTION

SOCIAL SECURITY, EARNINGS TESTS, AND AGE AT RETIREMENT

TAXATION AND THE GROWTH OF NONWAGE COMPENSATION

IN-KIND REDISTRIBUTION AND DEMAND-ORIENTED HOUSING SUBSIDIES: SOME MICRO-SIMULATION RESULTS

EFFECTS OF SCALE AND MARKET STRUCTURE ON THE COSTS OF RESIDENTIAL SOLID WASTE COLLECTION IN CANADIAN CITIES 

THE INCIDENCE AND EFFECTS OF PUBLIC DEBT IN THE ABSENCE OF FISCAL ILLUSION

International project finance: review and implicationsfor international finance and international business

Comparison of Public Sector Finance measures from the National Accounts and Whole of Government Accounts

Lessons learned from studying public initiatives to supportenergy efficiency finance in Thailand from 1992 to 2014

Mainstreaming Framework Conditions forEnvironmental Finance – The Role of thePublic Sector

Public Finance Policy Strategies to Increase Access

to Preconception Care

Uncertainty in the Theory of Public Finance

Introduction to the special issue on public finance,public debt and global recovery

The extractive industries sector: essentials for economists, public

finance professionals and policy makers by Håvard Halland,

Martin Lökanc and Arvind Nair, with Sridar Padmanabhan

Promoting the innovation of urbanization

system in Western China from the

perspective of public finance and taxation

Productivity losses and public finance

burden attributable to breast cancer

in Poland,

Mainstreaming Environmental Finance Markets (I)

– Small-Scale Energy Efficiency and

Renewable Energy Finance

From Ecology to Finance (and Back?): A Review

on Entropy-Based Null Models for the Analysis

of Bipartite Networks

Indirect costs and public finance

consequences of heart failure in Poland

Profiling the EU lobby organizations in

Banking and Finance

Healthcare Finance in the Kingdom of Saudi Arabia:

A Qualitative Study of Householders’ Attitudes

An extended cost‑effectiveness

analysis of schizophrenia treatment in India

under universal public finance

Signalling credibility? The IMF and catalytic

finance

Commital Deniable Proofs and Electronic

Campaign Finance

Financing strategies to improve essential

public health equalization and its effects in

China

Finance Through Food and Commodity Value

Chains in a Globalized Economy*

Factors influencing access to finance by

SMEs in Mozambique: case of SMEs in

Maputo central business

A critical analysis of the review on

antimicrobial resistance report and the

infectious disease financing facility

The Potential of Structured Finance to Foster

Agricultural Lending in Developing Countries

Mainstreaming Environmental Finance into

Financial Markets – Relevance, Potential and

Obstacles

Health financing policies in Sub-Saharan

Africa: government ownership or donors’

influence? A scoping review of

policymaking processes

The Provision and Finance of Long-term Care

in the United Kingdom

A study on the basic path for producer services

to promote industrial upgrading and the related

finance and taxation measures

The Social Marginal Cost Curve and a Corner Solution

of the Second-Best Level of Public Good Provision:

A Review and an Extension

Population ageing and pension

finance: How best to secure

pension claims?

vALUE-ADDED TAX AS A SOURCE OF SOCIAL SECURITY FINANCING

Harnessing Internet finance with innovative cyber

credit management

Value of big data to finance: observations

on an internet credit Service Company

in China

Finance-Dominated Capitalism and Income

Distribution: A Kaleckian Perspective on the Case

Stochastic Finance.

An Introduction in

Discrete Time

Risk identification, future value and credit

capitalization: research on the theory and

policy of poverty alleviation by Internet

finance

A review of emerging trends in global PPP research:

analysis and visualization

Varieties of Capitalism in France: Interests,

Institutions, and Finance

Cross-country differences in the contribution of future

migration to old-age financing

annes Berger1 · Thomas Davoine2 ·

Philip Schuster3 · Ludwig Strohner1

New players in entrepreneurial finance and why they are there

Finance and

Mathematics:

Where is the

Ethical Malaise?

A comparative survey of artificial intelligence applications

in finance: artificial neural networks, expert system and hybrid

intelligent systems

The adoption and concerns of e-finance in Malaysia

Public Sector Finances September2011

Public Sector Finances October

2011

International organizations and development finance:

Introduction to the special issue

Entrepreneurship, finance and employment

Lessons from sexual and reproductive health

voucher program design and function: a

comprehensive review

On the Application of the Continuous-Time Theory of

Finance to Financial Intermediation and Insurance *

Is Ethical Finance the Answer to the Ills of the UK Financial

Market? A Post-Crisis Analysis

Venture capital and private equity finance as key

determinants of economic development

Big Data in the Finance and Insurance sectors

Public Sector Finances August

2011

The Impact of the Sarbanes-Oxley Act on the

Cost of Going Public

 Public Sector Finances August

2011

Abstracts from the 2017 Society

of General Internal Medicine

Annual Meeting

TAXATION AND THE GROWTH

OF NONWAGE COMPENSATION

Metadata, XBRL and regulatory disclosure – An interview with Gary Purnhagen, Principal of Gary Purnhagen Consulting

Integrating Delphi methodology to some classical concepts of the Boston consulting group framework: arctic maritime technology BCG Delphi foresight—a pilot study from Finland

The future of the digital supply chain — Interview with Skiff Wager of SEW Consulting

Interview with Peter Gallagher of Deloitte Consulting

The standardisation of due diligence questionnaires: Practical ambition or dream?

Abstracts from the 38th Annual Meeting of the Society of General Internal Medicine

Abstracts from the 37th Annual Meeting of the Society of General Internal Medicine

Abstracts from the 2016 Society of General Internal Medicine Annual Meeting

Constructing M&A valuation: how do merger evaluation methods differ as uncertainty and controversy vary?

Four dimensions to observe a Triple Helix: invention of ‘cored model’ and differentiation of institutional and functional spheres

The Evolving Structure of the American Economy and the Employment Challenge

The KINGS of Africa’s Digital Economy

Assessing economic impact of research and innovation originating from public research institutions and universities—case of Singapore PRIs

nternationalising Smart Specialisation: Assessment and Issues in the Case of EU New Member States

Towards a more inclusive future

Urban Growth, Transport Planning, Air Quality and Health: A Multi-Objective Spatial Analysis Framework for a Linear Monocentric City

Pensions design: Proposals for the 21st century

Multichannel customer management: The benefits and challenges

Financial literacy, financial advice, and financial behavior

The Hungarian Pensions Guarantee Fund

Introduction to Energy Systems Modelling

The economic value of Quebec’s water fluoridation program

Nothing Ventured — Nothing Gained? Empirical Evidence on Venture Capital Financing in Switzerland

The new two-way street of Chinese direct investment in the European Union

Summaries of articles published in volume 82, 1993, of the „Zeitschrift für die gesamte Versicherungswissenschaft“ (German Journal of Insurance - ZVersWiss)

Practitioners' Guide: Integrating Practice and Theory for Advancement

Future events and their impact on financial management in the US lodging industry: Delphi study to predict changes in 2007 and 2027

Proceedings of the 4th IPLeiria’s International Health Congress

The evolving role of the pension fund trustee

European systems and pensions

ECR 2018 - BOOK OF ABSTRACTS

Why marketing needs speech analytics

Correlation, price discovery and co-movement of asset-backed securities and equity

The Responsibilities of Accountants

The ‘new’ paternalism, consultation and consent: Expectations of UK participants in defined contribution and self-directed retirement savings schemes

21st Brazilian Diabetes Society Congress

Managing the automotive marketing and sales cycle through mail: Part 1

Utilization of community health workers for malaria treatment: results from a three-year panel study in the districts of Kaya and Zorgho, Burkina Faso

Employee benefits of corporate self-invested pension plans

Norwich Union

Transforming Turnaround Schools in China: Strategies, Achievements, and Challenges

Attitudes, savings choices, level of knowledge and investment preferences of employees toward pensions and retirement planning: Survey evidence from Barbados

P(r)ay for your pension – The end of the corporate sermon

The transfer of corruptive routines from old industrial regions to innovation clusters: a blind spot in innovation studies

Integrating DAM with DRM: Imperatives and opportunities for digital content lifecycles

Corruption practices in drug prescribing in Vietnam – an analysis based on qualitative interviews

Impact of information transfer on farmers’ uptake of innovative crop technologies: a structural equation model applied to survey data

Role of foreign direct investment on technology transfer and economic growth in Kenya: a case of the energy sector

The productivity of return migrants: the case of China’s “Sea Turtles”

Costs of saving for retirement in South Africa

Monitoring qualitative aspects of CRM implementation: The essential dimension of mangement responsibility for employee involvement and acceptance

A summary of thinking on measuring the value of marketing

Abstracts

Errare humanum est: Financial Literacy in European Consumer Credit Law

Pension plan governance and risk management: A Canadian perspective

Rights management and its role in social media markets — Interview with Bill Rosenblatt, President of GiantSteps Media Technology Strategies

Pension schemes for 21st century: Is there a third way?

Raise your glasses – the water's magic! Strategic IT at SA Water: a case study in alignment, outsourcing and governance

The service1st programme at Bank of Ireland

Four dimensions to observe a Triple Helix: invention of ‘cored model’ and differentiation of institutional and functional spheres

Measuring the effects of dating websites’ investments in user self-presentation and peer-interactivity on firm performance

So, what is asset management anyway?

Free mobility with the EU and immigration of North American brains to Switzerland: What consequences

Conquering chaos via smart content management — Interview with Seth Earley of Earley & Associates

Scenarios for the future of the European process industry - the case of the chemical industry

Stakeholder pension schemes: The current state of play

Legal update: ECJ rules on protection afforded by database right

Practical advice for investing in tourism and lodging projects in Mexico

Life Insurance in the UK: The Role of the Actuary and the Single Market

Abstracts of the 50th EASD Annual Meeting

Toward a relevant agenda for warehousing research: literature review and practitioners’ input

The current balance of power in North American hotel management contracts

Trade and investment liberalization and Asia’s noncommunicable disease epidemic: a synthesis of data and existing literature

Are market research and customer research the same thing? The implications for linking to external data

Letter from the Editor-in-Chief: JIBS status report – the first 18 months

Autocorrelation, bias and fat tails: Are hedge funds really attractive investments?

Brand management challenges in the next ten years

The role of networks in technological capability: a technology-based companies perspective

Proceedings of the 23rd Paediatric Rheumatology European Society Congress: part one

Hotel management contract trends in the Middle East

SBS Korea: A fully asset-management based digital news operation in action

Abstracts of the MASCC/ISOO 2016 Annual Meeting

Captive insurers as employee benefit risk funding vehicles

The role of venture capitalists in the regional innovation ecosystem: a comparison of networking patterns between private and publicly backed venture capital funds

Overcoming the legal hurdles involved in hedge fund investments

IMC — The Next Generation

Mobile Marketing

An economic analysis of a timeshare ownership

Beyond Branding

An interview with Cheryl McKinnon, Chief Marketing Officer of Nuxeo

The effect of retail customer loyalty schemes — Detailed measurement or transforming marketing?

Loyalty trends for the 21st century

What corporations do with foresight

Cross-selling in the financial sector: Customer profitability is key

Pension schemes and the internet — A survey

What stops most large ‘customer relationship managers’ optimising their customer communications programmes? Part 1

Changes in workplace tasks in Germany—evaluating skill and task measures

Biotechnology industry-physician interaction and OIG guidelines: Evidence from the stock market

I wouldn't start from here’: Finding a way in CRM projects

Development opportunities in the Canadian hotel market

A DYNAMIC APPROACH TO THE MODELING OF CORRELATION CREDIT DERIVATIVES USING MARKOV CHAIN

ALGORITHMIC TRADING OF CO-INTEGRATED ASSETS

ON THE HESTON MODEL WITH STOCHASTIC CORRELATION

COUNTERPARTY RISK PRICING: IMPACT OF CLOSEOUT AND FIRST-TO-DEFAULT TIMES

EXPLICIT BOND OPTION FORMULA IN HEATH JARROW MORTON ONE FACTOR MODEL

WHY THE RETURN NOTION MATTERS

AN ANALYSIS OF THE SUPPLY CURVE FOR LIQUIDITY RISK THROUGH BOOK DATA

ASYMMETRICAL INFORMATION AND INCOMPLETE MARKETS

ASYMMETRICAL INFORMATION AND INCOMPLETE MARKETS

ASYMMETRICAL INFORMATION AND INCOMPLETE MARKETS

FUNCTIONAL ANALYTIC (IR-)REGULARITY PROPERTIES OF SABR-TYPE PROCESSES

AUTOMATED OPTION PRICING: NUMERICAL METHODS

THE LARGE-MATURITY SMILE FOR THE SABR AND CEV-HESTON MODELS

IMPLIED VOLATILITY TREES AND PRICING PERFORMANCE: EVIDENCE FROM THE S&P 100 OPTIONS

FORWARD AND FUTURE IMPLIED VOLATILITY

PRICING COUNTERPARTY RISK INCLUDING COLLATERALIZATION, NETTING RULES, RE-HYPOTHECATION AND WRONG-WAY RISK

MARKET STATISTICS OF A PSYCHOLOGY-BASED HETEROGENEOUS AGENT MODEL

WRONG-WAY RISK CVA MODELS WITH ANALYTICAL EPE PROFILES UNDER GAUSSIAN EXPOSURE DYNAMICS

MONETARY VALUATION OF CASH FLOWS UNDER KNIGHTIAN UNCERTAINTY

TANGENT MODELS AS A MATHEMATICAL FRAMEWORK FOR DYNAMIC CALIBRATION

THE BLACK SCHOLES BARENBLATT EQUATION FOR OPTIONS WITH UNCERTAIN VOLATILITY AND ITS APPLICATION TO STATIC HEDGING

THE LARGE-MATURITY SMILE FOR THE SABR AND CEV-HESTON MODELS∗

MODELING TERM STRUCTURE DYNAMICS: AN INFINITE DIMENSIONAL APPROACH

BARRIER OPTION PRICING BY BRANCHING PROCESSES

RIDING WITH THE FOUR HORSEMEN AND THE MULTIVARIATE NORMAL TEMPERED STABLE MODEL

A HYBRID-FORM MODEL FOR THE PREPAYMENT-RISK-NEUTRAL VALUATION OF MORTGAGE-BACKED SECURITIES

THE BLACK SCHOLES BARENBLATT EQUATION FOR OPTIONS WITH UNCERTAIN VOLATILITY AND ITS APPLICATION TO STATIC HEDGING

THE BLACK SCHOLES BARENBLATT EQUATION FOR OPTIONS WITH UNCERTAIN VOLATILITY AND ITS APPLICATION TO STATIC HEDGING

INSTITUTIONAL INVESTORS AND THE DEPENDENCE STRUCTURE OF ASSET RETURNS

PRICING COUNTERPARTY RISK INCLUDING COLLATERALIZATION, NETTING RULES, RE-HYPOTHECATION AND WRONG-WAY RISK

TANGENT MODELS AS A MATHEMATICAL FRAMEWORK FOR DYNAMIC CALIBRATION

WRONG-WAY RISK CVA MODELS WITH ANALYTICAL EPE PROFILES UNDER GAUSSIAN EXPOSURE DYNAMICS

OPTIMAL MULTIPLE STOPPING AND VALUATION OF SWING OPTIONS IN L´EVY MODELS

ECONOPHYSICS: WHAT CAN PHYSICISTS CONTRIBUTE TO ECONOMICS

BREAK-DOWN OF SCALING AND CONVERGENCE TO GAUSSIAN DISTRIBUTION IN STOCK MARKET DATA

RECURRENCE PLOTS AND HURST EXPONENTS FOR FINANCIAL MARKETS AND FOREIGN-EXCHANGE DATA

TRADER DYNAMICS IN A MODEL MARKET

ECONOPHYSICS: WHAT CAN PHYSICISTS CONTRIBUTE TO ECONOMICS?

LEARNING AND PORTFOLIO DECISIONS FOR CRRA INVESTORS

A THRESHOLD MODEL FOR STOCK RETURN VOLATILITY AND TRADING VOLUME

THE DISTRIBUTION OF RETURNS OF STOCK PRICES

CONTINUOUSLY CONTROLLED OPTIONS: DERIVATIVES WITH ADDED FLEXIBILITY

DYNAMIC CONIC FINANCE: PRICING AND HEDGING IN MARKET MODELS WITH TRANSACTION COSTS VIA DYNAMIC COHERENT ACCEPTABILITY INDICES

CALIBRATED OPTION BOUNDS

THE EXPONENT EXPANSION: AN EFFECTIVE APPROXIMATION OF TRANSITION PROBABILITIES OF DIFFUSION PROCESSES AND PRICING KERNELS OF FINANCIAL DERIVATIVES

CLUSTER-BASED EXTENSION OF THE GENERALIZED POISSON LOSS DYNAMICS AND CONSISTENCY WITH SINGLE NAMES∗

DIVIDEND POLICY, TRADING CHARACTERISTICS AND SHARE PRICES: EMPIRICAL EVIDENCE FROM EGYPTIAN FIRMS

CALIBRATION OF MULTIFACTOR MODELS IN ELECTRICITY MARKETS

SET-VALUED SHORTFALL AND DIVERGENCE RISK MEASURES

ON PRICING CONTINGENT CLAIMS UNDER THE DOUBLE HESTON MODEL

COMPUTATION OF VOLATILITY IN STOCHASTIC VOLATILITY MODELS WITH HIGH FREQUENCY DATA

OPTIMAL MULTIPLE STOPPING AND VALUATION OF SWING OPTIONS IN L´EVY MODELS

ECONOPHYSICS: WHAT CAN PHYSICISTS CONTRIBUTE TO ECONOMICS?

BREAK-DOWN OF SCALING AND CONVERGENCE TO GAUSSIAN DISTRIBUTION IN STOCK MARKET DATA

RECURRENCE PLOTS AND HURST EXPONENTS FOR FINANCIAL MARKETS AND FOREIGN-EXCHANGE DATA

TRADER DYNAMICS IN A MODEL MARKET

LEARNING AND PORTFOLIO DECISIONS FOR CRRA INVESTOR

A THRESHOLD MODEL FOR STOCK RETURN VOLATILITY AND TRADING VOLUME

THE DISTRIBUTION OF RETURNS OF STOCK PRICES

DOUBLE CASCADE MODEL OF FINANCIAL CRISES

ASYMPTOTIC EQUIVALENCE IN LEE’S MOMENT FORMULAS FOR THE IMPLIED VOLATILITY, ASSET PRICE MODELS WITHOUT MOMENT EXPLOSIONS, AND PITERBARG’S CONJECTURE

REGULATORY CAPITAL MODELING FOR CREDIT RISK

CVA AND FVA TO DERIVATIVES TRADES COLLATERALIZED BY CASH

PROGRESSIVE FILTRATION EXPANSIONS VIA A PROCESS, WITH APPLICATIONS TO INSIDER TRADING

THE 3/2 MODEL AS A STOCHASTIC VOLATILITY APPROXIMATION FOR A LARGE-BASKET PRICE-WEIGHTED INDEX

ON THE ROLE OF SKEWNESS, KURTOSIS, AND THE LOCATION AND SCALE CONDITION IN A SHARPE RATIO PERFORMANCE EVALUATION SETTING

CALIBRATION OF STOCHASTIC VOLATILITY MODELS VIA SECOND-ORDER APPROXIMATION: THE HESTON CASE

OPTION PRICING FOR INCOMPLETE MARKETS VIA STOCHASTIC OPTIMIZATION: TRANSACTION COSTS, ADAPTIVE CONTROL AND FORECAST

RISK SEEKING, NONCONVEX REMUNERATION AND REGIME SWITCHING

PORTFOLIO RETURN DISTRIBUTIONS: SAMPLE STATISTICS WITH STOCHASTIC CORRELATIONS

A PARSIMONIOUS MULTI-ASSET HESTON MODEL: CALIBRATION AND DERIVATIVE PRICING

TIME-CHANGED FAST MEAN-REVERTING STOCHASTIC VOLATILITY MODELS

TRACKING ERRORS FROM DISCRETE HEDGING IN EXPONENTIAL L´EVY MODELS

STORAGE OPTIONS VALUATION USING MULTILEVEL TREES AND CALENDAR SPREADS

MODELING TERM STRUCTURE DYNAMICS: AN INFINITE DIMENSIONAL APPROACH

REPRESENTATION OF BSDE-BASED DYNAMIC RISK MEASURES AND DYNAMIC CAPITAL ALLOCATIONS

PRICING DOUBLE BARRIER PARISIAN OPTIONS USING LAPLACE TRANSFORMS

MODERN MONETARY CIRCUIT THEORY, STABILITY OF INTERCONNECTED BANKING NETWORK, AND BALANCE SHEET OPTIMIZATION FOR INDIVIDUAL BANKS

A GENERAL COMPUTATION SCHEME FOR A HIGH-ORDER ASYMPTOTIC EXPANSION METHOD

A GENERAL COMPUTATION SCHEME FOR A HIGH-ORDER ASYMPTOTIC EXPANSION METHOD

THE LIMITATIONS OF NO-ARBITRAGE ARGUMENTS FOR REAL OPTIONS

A COMPARISON OF PRICING KERNELS FOR GARCH OPTION PRICING WITH GENERALIZED HYPERBOLIC DISTRIBUTIONS

WHEN ARE SWING OPTIONS BANG-BANG?

FAST COMPUTATION OF VANILLA PRICES IN TIME-CHANGED MODELS AND IMPLIED VOLATILITIES USING RATIONAL APPROXIMATIONS

A CENTRAL LIMIT THEOREM FOR LATIN HYPERCUBE SAMPLING WITH DEPENDENCE AND APPLICATION TO EXOTIC BASKET OPTION PRICING

MEAN-VARIANCE HEDGING FOR PARTIALLY OBSERVED DRIFT PROCESSES

NOTE ON THE SMITH–WILSON INTEREST RATE CURVE

SIMPLIFIED HEDGE FOR PATH-DEPENDENT DERIVATIVES

ON OPTIMAL STRATEGIES FOR UTILITY MAXIMIZERS IN THE ARBITRAGE PRICING MODEL

ROBUST ASSET ALLOCATION FOR LONG-TERM TARGET-BASED INVESTING

AN EXPLICIT OPTION-BASED STRATEGY THAT OUTPERFORMS DOLLAR COST AVERAGING

METRIZATION OF STOCHASTIC DOMINANCE RULES

TAMING LARGE EVENTS: OPTIMAL PORTFOLIO THEORY FOR STRONGLY FLUCTUATING ASSETS

ESTIMATION IN CONTINUOUS-TIME STOCHASTIC VOLATILITY MODELS USING NONLINEAR FILTERS

THE LEAST COST SUPER REPLICATING PORTFOLIO IN THE BOYLE–VORST MODEL WITH TRANSACTION COSTS

AN EXTREME VALUE THEORY APPROACH TO THE ALLOCATION OF MULTIPLE ASSETS

ON THE VALIDITY OF THE RANDOM WALK HYPOTHESIS APPLIED TO THE DHAKA STOCK EXCHANGE

ABSOLUTELY CONTINUOUS COMPENSATORS

COLLATERALIZED CVA VALUATION WITH RATING TRIGGERS AND CREDIT MIGRATIONS

CLUSTER ANALYSIS FOR NON-GAUSSIAN LOCALLY STATIONARY PROCESSES

THE MIRAGE OF TRIANGULAR ARBITRAGE IN THE SPOT FOREIGN EXCHANGE MARKET

THE MIRAGE OF TRIANGULAR ARBITRAGE IN THE SPOT FOREIGN EXCHANGE MARKET

OPTIMAL EXERCISE OF AN EXECUTIVE STOCK OPTION BY AN INSIDER

The Incremental Informativeness of the Sentiment of Conference Calls for Internal Control Material Weaknesses

Using Evidential Reasoning Technology to Enhance the Audit Quality Assurance Inspection Process

Textual Analysis of Corporate Annual Disclosures: A Comparison between Bankrupt and Non-Bankrupt Companies

XBRL Mandate and Timeliness of Financial Reporting: Do XBRL Filings Take Longer?

Audit Sampling Using Benford's Law: A Review of the Literature with Some New Perspectives

Net Losses and the Relationship between Auditor Independence and Client Importance: Evidence from a Cubist Regression-Tree Model

Fraud Risk Assessment Using the Fraud Risk Model as a Decision Aid

Enterprise Content Risk Management: A Conceptual Framework for Digital Asset Risk Management

Information Traffic and Information Effectiveness

An Interpretive Structural Modeling Approach to Analyze the Interaction between Factors of the Fair Value Measurement Audit Process

ERP Systems and Earnings Quality: The Impact of Dominant Shareholdings in China

Designing Audit Apps for Armchair Auditors to Analyze Government Procurement Contracts

Securing Big Data Provenance for Auditors: The Big Data Provenance Black Box as Reliable Evidence

The Development of AudEx: An Audit Data Assessment System

Computer-Assisted Functions for Auditing XBRL-Related Documents

Text Mining to Uncover the Intensity of SEC Comment Letters and Its Association with the Probability of 10-K Restatement

Professional Role and Normative Pressure: The Case of Voluntary XBRL Adoption in Germany

Emerging Technologies Research in Accounting: JETA's First Decade

Antecedents and Consequences of Early Adoption of Emergent Technologies: The IT Revolution

Armchair Auditors: Crowdsourcing Analysis of Government Expenditures

Crowdsourcing Tags in Accounting and Finance: Review, Analysis, and Emerging Issues

Irregularities in Accounting Numbers and Earnings Management—A Novel Approach Based on SEC XBRL Filings

Going Cloud for Agility: Beyond Financial, System, and Control Motives

Does a Live Instructor Matter?

Managing Processes in the REA Framework

Lessons from the Literature on the Theory of Technology Dominance: Possibilities for an Extended Research Framework

Benford's Law: Analyzing a Decade of Financial Data

The Market Impact of Mandatory Interactive Data: Evidence from Bank Regulatory XBRL Filings

A Measurement Theory Perspective on Business Measurement

Construction and Use of Environmental Management Accounting Systems with the REA Business Ontology

Modeling the REA Enterprise Ontology with a Domain Specific Language

Detection of Financial Statement Fraud Using Evolutionary Algorithms

A Model to Detect Potentially Fraudulent/Abnormal Wires of an Insurance Company: An Unsupervised Rule-Based Approach

The Ten Most-Cited Papers in Journal of Emerging Technologies in Accounting: 2009 versus 2011

Understanding the Intention to Adopt XBRL: An Environmental Perspective

Extracting Key Phrases as Predictors of Corporate Bankruptcy: Empirical Analysis of Annual Reports by Text Mining

On the Use of Grounded Theory as a Basis for Research on Strategic and Emerging Technologies in Accounting

The Role of Text Analytics and Information Retrieval in the Accounting Domain

Measuring the Impact of Enterprise Resource Planning (ERP) Systems on Earnings Management

The Remote Audit

On the Number of ISI Citations to JETA, JIS, IJAIS,and ISAFM

The Ten Most-Cited Papers in Journal of Emerging Technologies in Accounting: The First Five Years

Exploring the Use of Online Corporate Reporting Information

The Impact of Gartner’s Maturity Curve, Adoption Curve, Strategic Technologies on Information Systems Research, with Applications to Artificial Intelligence, ERP, BPM, and RFID

Market Reaction to Verbal Components of Earnings Press Releases: Event Study Using a Predictive Algorithm

Automatic Classification of Financial Accounting Concepts

The Semantics of Change as Revealed Through an Examination of Financial Accounting Standards Amendments

Learning from WorldCom: Implications for Fraud Detection through Continuous Assurance

ACTVE: A Proposal for an Automated Continuous Transaction Verification Environment

XBRL: An Impacts Framework and Research Challenge

Ranking Accounting Scholars Publishing AIS and Technology Research in Accounting Education

The Lemonade Stand: An Elementary Case for Introducing Data Analytics

Beyond Excel: Software Tools and the Accounting Curriculum

Accounting Documentation Software: An Overview of Options and Results from a Lucidchart Software Evaluation

Using an Online Tutorial to Teach REA Data Modeling in Accounting Information Systems Courses

Introducing Students to Understanding Business Processes and Identifying Data Sources

Manual vs. Computerized Practice Set: Which Achieves Learning Objectives the Best?

Integrating Accounting Themes with Enterprise System Experiences: An Accounting Department's Journey

Understanding, Evaluating, and Monitoring Internal Control Systems: A Case and Spreadsheet Based Pedagogical Approach

SQL Injection: A Demonstration and Implications for Accounting Students

Purchasing Process Internal Control Assessment: A Comprenhensive Case Study Using Data Analytic Software

Merchandise Hardware: A Case Designed to Teach Students Generalized Audit Software Using Microsoft Access

Skills vs. Concepts: A Comparison of Practitioners' and Educators' Preferences for Accounting Information Systems Proficiencies

Assembly FG: An Education Case Study Using QuickBooks as the AIS for a Small Manufacturing Business

An Introduction to Access 2013

It's about Time! Introducing Students to the Concept of Billable Hours and Improving Their Excel Skills By Creating a Spreadsheet to Track Their Time

Use of Software and Collaboration Tools to Integrate AIS and MIS Curricula

Separating Cats from Dogs: A Case Designed to Enhance Students' Abilities to Identify Incompatible Duties and Employee Red Flags

Bellwether Garden Supply: Revising Purchase and Disbursement Processes and Controls in the Implementation of a New Accounting Application

The Importance of Accounting Information Systems in the Accounting Curricula: A CPA Perspective

The An Excel-Based, Multi-Year Accounting Cycle Project for either the First Intermediate Accounting Course or an AIS Course

Offering a ‘Menu’ of Software and Case Study Options for the Group Project for Students Enrolled in the Introductory AIS Course: An Experimental Application Study

What's Happening to Profits at Cazenovia Creations?

Step-by-Step Flowcharting: A Case to Teach Beginning Flowcharting Skills

Fee Assessment: The Audit Price Tag of Innovative IT Solutions

Integrating IT Frameworks into the AIS Course

Auditing the Systems Understanding Aid Project: An Integrative Assignment for Accounting Students

Modeling the Budgeting Process: Enriching the Learning Environment Using Monte Carlo Simulations

A Case to Provide Students Practice in Basic and Advanced Functions of IDEA Software

IFRS, U.S. GAAP, and XBRL Financial Statements: An Introduction and Case Study

A Look Back at the First Seven Years of the AIS Educator Journal

An Imaginative Exercise for Teaching Transaction Cycles in an AIS Course

Dexter Buys a Surfboard: An Exploratory Study of the Impact of a Classroom Activity and Reflection Paper on Student Perceptions of the First AIS Course

Student Response System Technology in Accounting Information Systems Courses

One Ticket to the Matinee Please: A Case Designed to Teach Students Accounting Software (Peachtree) Skills

Enriching AIS Courses With SOX Compliance Activities

Excel Competency for the Professional Accountant: Advanced Applications, Controls, and Audit Add-ins

Measuring AIS Course Outcomes: The Relationship Between Knowledge/Skills and Interest/Enjoyment

The Effect of ComputerBased Assisted Learning on Students' Performance and Attrition in Introductory Accounting Courses

The Influence of Training Environment on Trainee Expertise

Towards an Understanding of Accounting Information Systems as a Discipline: A Comparative Analysis of Topical Coverage in AIS and MIS Courses

The Expanded Risk Horizon of Accounting Networks Utilizing Wireless Technology

Implementing Generalized Audit Software in the Classroom

Should Informatics Be the Theoretical Paradigm of AIS? A Panel Discussion of AIS Researchers

Powering up your Grade book: A Spreadsheet Designed to Teach Students Excel© Skills and to Make Assigning Students' Grades Easier

A Segregation of Duties Case Study in the Purchase-to-Pay Process with an SAP Example

A REA Business Process Modeling and Relational Database Development Case: The Paws and Claws Veterinary

Accounting Processes and the Accountant's Role in AIS: An Instructional Resource

Data Extraction Techniques for Spreadsheet Records

The Lemonade Stand: A Teaching Case for Developing an Information System for the Revenue Process

A Method of Teaching the Underlying Theory of XBRL: An Application of Information Modeling and XML Programming with a Microsoft Excel Implementation

Using Spreadsheets to Teach Data Encryption Techniques

Assessing Internal Control Over Cash Receipts at NADCo Communications: An Instructional Case

Introducing XBRL Using an Instance Document Shell

An Econometric Analysis of Demographic, Computer Knowledge and Experience Factors Affecting Online Education Success: The Case of Online AIS/EDP Auditing

Financial Reporting & Assurance Standards (FRAS) Canada Corner

New Perspectives in Internal Audit Research: A Structured Literature Review

Barriers to Transferring Auditing Research to Standard Setters*

External Auditors' Judgment and Decision Making: An Audit Process Task Analysis

Antecedents and Consequences of Eco‐Control Deployment: Evidence from Canadian Manufacturing Firms

Ethnographic Accounting Research: Field Notes from the Frontier*

Home Capital Group—The High Cost of Dishonesty*

Current Trends within Social and Environmental Accounting Research: A Literature Review*

Financial Reporting & Assurance Standards (FRAS) Canada Corner

Environmental and Social Matters in Mandatory Corporate Reporting: An Academic Note*

Whither IPOs? Toward an Ecosystem Perspective on Corporate Financing: A Commentary*

Three Decades of IPO Markets in Canada: Evolution, Risk and Return*

Firms in Transition: A Review of the Venture Capital, IPO, and M&A Literature*

Financial Reporting & Assurance Standards (FRAS) Canada Corner

The Impact of IFRS Adoption on an Agribusiness Company's Financial Statements*

Bach Music Inc.: Impact of Price Pressure, Capacity Constraints, and a Special Order on Management Decision Making*

Productivity in Top‐10 Academic Accounting Journals by Researchers at Canadian Universities at the Start of the 21st Century*

From Plagiarism‐Plagued to Plagiarism‐Proof: Using Anonymized Case Assignments in Intermediate Accounting*

Do Restatements Improve the Persistence of Earnings and Its Components?*

Directors’ and Officers’ Liability Insurance and Aggressive Tax‐Reporting Activities: Evidence from Canada*

DuPont Analysis, Earnings Persistence, and Return on Equity: Evidence from Mandatory IFRS Adoption in Canada*

Information Asymmetry and Voluntary SFAS 157 Fair Value Disclosures by Bank Holding Companies During the 2007 Financial Crisis*

Attracting Prospective Professional Accountants Before and After the CPA Merger in Canada*

Merging the Profession: A Social Network Analysis of the Consolidation of the Accounting Profession in Canada*

Are Risk Management Disclosures Informative or Tautological? Evidence from the U.S. Banking Sector*

Collaborative Resource Solutions

Assembly FG: An Educational Case on MRP II Integrated within ERP*

The Credibility of Earnings Forecasts in IPO Prospectuses and Underpricing*

Assessing the Elite Publication Benefits of Academic Pedigree: A Joint Examination of PhD Institution and Employment Institution*

Accounting Students’ Planning, Writing, and Performance on a Time‐Constrained Case Analysis: Effects of Self‐Talk and Prior Achievement*

Managing Revenue and Costs to Implement Strategy: The Conference Organizer's Dilemma*

Examining the Ethical Behavior of Ontario Chartered Accountants: A Longitudinal Review of the Disciplinary Process*

Identifying and Managing Control System Benefits and Costs*

Chesapeake Energy Corporation*

Discretionary Loan Loss Provisions and Systemic Risk in the Banking Industry*

Artisan Flowers Inc.: A Framework‐Based Approach to IFRS Leasing Standards*

Homewonder Ltd: Shareholders Versus Other Stakeholders*

Cream‐Filled Cookies: An Assurance In‐Class Case*

The Use of Management Accounting Techniques by Small and Medium‐Sized Enterprises: A Field Study of Canadian and Australian Practice*

Corporate Social Responsibility, Tax Aggressiveness, and Firm Market Value*

Effects of Advice on Effectiveness and Efficiency of Tax Planning Tasks*

Boxing and Martial Arts Company, A Tax Case

Barbados Spirits Inc.

Commentary on Prospects for Global Financial Reporting*

Did the Mandatory Adoption of IFRS Affect the Earnings Quality of Canadian Firms?*

Different Conceptual Accounting Frameworks for Public and Private Enterprises: Commentary on Canada's IFRS Transition and Suggestions for International Empirical Work*

The Convergence of IFRS and U.S. GAAP: Evidence from the SEC's Removal of Form 20‐F Reconciliations

Introduction to Special Issue on IFRS

Earnings Quality: Evidence from Canadian Firms' Choice between IFRS and U.S. GAAP*

Do IFRS‐Based Earnings Announcements Have More Information Content than Canadian GAAP‐Based Earnings Announcements?*

IFRS Conversion: The Case of a Marine Defence Company

The Israeli XBRL Adoption Experience*

Value Relevance of Fair Values—Empirical Evidence of the Impact of Market Volatility*

Holliston Helping Hands

Judgment and Decision‐Making Research in Auditing and Accounting: Future Research Implications of Person, Task, and Environment Perspective

Bonbons Hansel et Gretel inc.*

CVS/Caremark: The Costs and Strategy of a Tobacco‐Free Pharmacy

Identifying Fraud in Online Auctions: A Case Study*

Accounting and Auditing Activities of the Ontario Securities Commission, 1960s to 2008 Part 3: The Fifth Chief Accountant, 1996–2008

Understanding the Restatement Process*

To Tip or Not to Tip, That Is the Question: Rewarding Customer Service Encounters*

Whistle While You Work: Whistleblowing in the Presence of Competing Incentives and Pressures

Fair Value Measurements of Control Premiums

Warning Lights on the Dashboard

Fair Trade Community Café Expansion

Depreciation in the Canadian Airline Industry

Investor Attention and Stock Mispricing

Developing Students' Technical Knowledge and Case‐Based Reasoning Skills: Three Short Cases in Financial Accounting*

Regroupements d'entreprises et IFRS: le cas de GlobeCom Corporation et Synthetics Inc.

Executive Turnover, Gender, And Earnings Management: An Exploratory Analysis*

The Impact of Better‐than‐Average Bias and Relative Performance Pay on Performance Outcome Satisfaction*

An Assessment of the Psychometric Properties of the Perceived Stress Scale‐10 (PSS10) with Business and Accounting Students*

A Conceptual Framework for Learning Management Accounting*

Applying the Principles of Soccer Training to the Design and Delivery of Classes in Introductory Accounting Courses*

An Empirical Investigation of the Influence of Qualitative Risk Factors on Canadian Auditors’ Determination of Performance Materiality*

Auditor Independence: A Nonparametric Test of Differences Across the Big‐5 Public Accounting Firms

A Balanced Scorecard for Maple Leaf Consulting

XBRL for Financial Reporting: Evidence on Italian GAAP versus IFRS

Accounting Standards and Earnings Management: Evidence from China*

An Instructional Case Comparing the Accounting Policies and Financial Results of Online Retailers*

The Impact of Disclosures of Internal Control Weaknesses and Remediations on Investors' Perceptions of Earnings Quality*

INVestor Attention and EARING MANAGEMENT AROUND THE WORLD

Has SOX Enhanced Non–Big 4 Auditors' Ability to Deal with Client Pressure?*

Viasystems Group, inc.*

Factors Influencing Corporate Environmental Disclosures*

Modeling Accounting Workplace Interactions with Text‐to‐Video Animation*

Credibility Attributes and Investor Perceptions of Non‐GAAP Earnings Exclusions*

Principles‐Based Reasoning about Accounting Estimates*

Information Quality of Interim Financial Statements

What Do FAS 157 “Fair Values” Really Measure: Value Or Risk?

The Effects of Strategy–Management Control System Misfits on Firm Performance

Merging the Profession: A Historical Perspective on Accounting Association Mergers in Canada

Understanding Why and How Some Chartered Accountants Object to the Proposed Merger of the Three Accounting Professions in Canada

Unresolved Issues about the Proposed CPA Certification Program*

Outside Directors, Litigation Environment, and Management Earnings Forecasts

Board Governance in Canadian Universities

Monitoring Legal Compliance: The Growth of Compliance Committees

Intercorporate Ownership, Taxes, and Corporate Payout Choices

Dr. PC: A Multimedia Management Control Case

Audit Quality and the Market Valuation of Banks’ Allowance for Loan Losses

Annual Reporting and Accountability by Municipalities in Canada: An Empirical Investigation

Mountain City Transit: Management Control and Performance Measurement

What Questions Do Board Members in Public Service Organizations Ask about Executive Compensation?

XBRL and Accruals: Empirical Evidence from China

Virtually Perfect Corporation

A Case of Academic Misconduct: Does Self‐Interest Rule?

Diffusion of Management Accounting Practices in Gulf Cooperation Council Countries

La Femme Media Inc.: Identifying and Managing Audit Engagement Risk Factors

Fair Value Accounting and Stewardship

Ownership Concentration, State Ownership, and Effective Tax Rates: Evidence from China’s Listed Firms

Thunder Bay Transportation: A Case of Business Valuation and Negotiation

Canada Generators Limited

Culture Matters: How Our Culture Affects the Audit

Aggregating Incomplete Lists of Journal Rankings: An Application to Academic Accounting Journals

Cucina Roma

Creating Early Success in Financial Accounting: Improving Performance on Adjusting Journal Entries

The Ontario Securities Commission on Accounting and Auditing from the 1960s to 2008–Part 2: The First Four Chief Accountants, 1986–1996

Note on Self‐Selection of Auditors in the Municipal Sector

Fair Trade Community Café

IFRS within the Multi‐GAAP Canadian Reality: A Teaching and Learning Imperative for Intermediate Financial Accounting

A Proposal for Teaching Introductory and Intermediate Accounting in an Environment of International Financial Reporting Standards and Generally Accepted Accounting Principles for Private Enterprises

Follow-on financing through syndication in the VC industry – a signaling perspective of VC human capital and fund characteristics

The role of innovation in venture capital and private equity investments in different investment phases

Private equity investment in family firms: the role of stake size and deal syndication

Moral hazard in high-risk environments: optimal follow-on investing in venture capital finance

Industry specialization of private equity firms: a source of buy-out performance heterogeneity

Rates of return for crowdfunding portfolios: theoretical derivation and implications

Reward-based crowdfunding success: decomposition of the project, product category, entrepreneur, and location effects

A research note on entrepreneurs’ financial commitment and crowdfunding success

The gender gap in venture capital- progress, problems, and perspectives

The female entrepreneur’s financial networks: accessing finance for the emergence of technology-based firms in Jordan

Women don’t ask: an investigation of start-up financing and gender

An institutional view on access to finance by Tanzanian women-owned enterprises

Executive forum:linking women’s growth-oriented entrepreneurship policy and practice: results from the Rising Tide Angel Training Program

The effect of company name fluency on venture investment decisions and IPO underpricing

Entrepreneurial firms and financial attractiveness for securing debt capital: a Bayesian analysis

Stock option taxation and venture capital activity: a cross-country study

Government venture capital in central and eastern Europe

Women entrepreneurs’ financing revisited: taking stock and looking forward

Signalling journal impact and prestige: Venture Capital: An International Journal of Entrepreneurial Finance

The limited interest of carmakers in corporate venture capital: insights from a mature industry

A review and simulation of business angel investment returns

Venture capital investment, financial development, and economic growth: the case of European single market countries

Exploring performance drivers for technologybased ventures from early stage to expansion: perspectives of venture capitalists

Executive Forum: the scale-up gap: and how to address it

Value-adding activities of venture capital companies: a content analysis of investor’s original documents in Germany

Determinants of success in venture capital investments: evidence from Brazil

 The investment paradox: why attractive new ventures exhibit relatively poor investment potential

Business angels: a research review and new agenda

Going offline: broadening crowdfunding research beyond the online context

An exploratory analysis of Title II equity crowdfunding success

Entrepreneurial finance: new frontiers of research and practice

De-segmenting research in entrepreneurial finance

Attitudes of family firms toward outside investors: the importance of organizational identification

The interaction of equity crowdfunding platforms and ventures: an analysis of the preselection process

High-growth entrepreneurial firm funding: a qualitative study of native-born and immigrant entrepreneurs

Dedicated funding for leasing and sharing research and test facilities and its impact on innovation, follow-on financing and growth of biotech start-ups: the Mibiton case

The internationalisation of business angel investment activity: a review and research agenda

Preventing dysfunctional conflict: examining the relationship between different types of managerial conflict in venture capital-backed firms

CEOs’ appraisals of venture capitalists’ external and internal support: a transaction cost economics perspective

The transformation of the business angel market: empirical evidence and research implications

Early-stage fundraising of university spin-offs: a study through demand-site perspectives

The non-compensatory relationship between risk and return in business angel investment decision making

Opening the black box: triggers for shifts in business angels’ risk mitigation strategies within investments

Venture capitalist-induced relational fit and new venture performance: a Dutch biotech comparative case analysis

An empirical investigation of the interplay between microcredit, institutional context, and entrepreneurial capabilities

How much do VCS and underwriters matter? A comparative investigation of venture capitalist and underwriter effects on IPO underpricing

Financing patterns of European SMEs – an empirical taxonomy

Does startup experience matter? Venture capital selection criteria among Israeli entrepreneurs

Executive forum: we know the saviour … and it is them: the future face(s) of venture capital

What do venture capitalists think of venture capital research?

Emergent models of financial intermediation for innovative companies: from venture capital to crowdinvesting platforms in Switzerland

The moderating influence of financial literacy on the relationship between access to finance and firm growth in Ghana

Cross-border VC investment in Canadian firms: implications for exit patterns

The returns of business angel investments and their major determinants

A new perspective on private equity stage financing: evidence from investments in infrastructure 

Developing venture capital when institutions change

Responding to uncertainty: syndication partner choice by foreign venture capital firms in China 

Cultural influences in the decision to invest in new ventures: an exploratory study

The costs and benefits of early-stage business tax credits: a case study of two US states

Responding to uncertainty: syndication partner choice by foreign venture capital firms in China 

Financing SME growth in the UK: meeting the challenges after the global financial crisis

The British Business Bank's role in facilitating economic growth by addressing imperfections in SME finance markets 

Access to finance to SMEs at a regional level – the case of Finance Wales

Consolidating the gains

Establishing a new UK finance escalator for innovative SMEs: the roles of the Enterprise Capital Funds and Angel CoInvestment Fund 

What is the role of public feeder markets in developing technology-based small firms? An exploration of the motivations for listing on AIM since the GFC

Can credit unions bridge the gap in lending to SMEs?

Paradise lost? The case of technology-based small firms in New Zealand in the post-global financial crisis economic environment

Seeding the cloud: financial bootstrapping in the computer software sector

Entrepreneurial implications of Crowdfunding as alternative funding source for innovations 

Microfinance, country governance, and the global financial crisis 

Negotiating equity share and management control of the entrepreneurial new venture

Business angel–venture negotiation in the postinvestment relationship: the use of the good cop, bad cop strategy

Antecedents of entrepreneurs' trust in their investor in the postinvestment phase – do something good!

Smart money for social ventures: an analysis of the value-adding activities of philanthropic venture capitalists 

Finance, risk and accounting perspectives 

The missing strategic link – human capital knowledge, and risk in the finance industry – two mini case studies 

The use of Islamic hedging instruments as non-speculative risk management tools 

Sectoral herding behavior in the aftermarket of Malaysian IPOs 

Exploring entrepreneurial legitimacy in reward-based crowdfunding

Social finance and crowdfunding for social enterprises: a public–private case study providing legitimacy and leverage 

A stage model of venture philanthropy 

Financial restructuring and recovery in private equity buyouts: the UK evidence 

The causal effect of venture capital backing on the underpricing of Italian initial public offerings 

‘Deconstructing’ entrepreneurial selfefficacy: a gendered perspective on the impact of ESE and community entrepreneurial culture on the financial strategies and performance of new firms 

Venture capital: An international journal of entrpreneurial finance

What matters, matters differently: a conjoint analysis of the decision policies of angel and venture capital investors 

Typologies of bootstrap financing behavior in small ventures 

Seasonal Affective Disorder and IPO underpricing: implications for young firms 

An exploratory study of business angels in China: a research note 

Crowdfunding and the revitalisation of the early stage risk capital market: catalyst or chimera? 

Crowdfunding social ventures: a model and research agenda 

Individual crowdfunding practices 

A conceptualized investment model of crowdfunding 

Demand-driven securities regulation: evidence from crowdfunding 

The entrepreneur's perception in the entrepreneur–VCF relationship: the impact of conflict types on investor value 

The geographic extent of venture capital externalities on innovation 

Funding the growth of UK technologybased small firms since the financial crash: are there breakages in the finance escalator? 

Founding angels as an emerging subtype of the angel investment model in high-tech businesses 

Introduction

The development of business angel networks in Latin American countries: the case of Chile 

Post-investment trajectories of Latin American young technology-based firms: an exploratory study 

Towards an understanding of corporate venturing practices in Brazil 

An analysis of the management practices of Brazilian private equity firms and their impact on company performance 

Research on angel investing: a multilevel framework for an emerging domain of inquiry 

Which venture capital selection criteria distinguish high-flyer investments? 

Fund size and the syndication of venture capital investments

Business model innovation: a case study of venture capital in a depleted community 

The performance of venture-backed IPOs in Europe 

Horse vs. Jockey? How stage of funding process and industry experience affect the evaluations of angel investors 

Institutional transition and the financing of hightech SMEs in China: A longitudinal perspective

Do institutions matter for business angel investing in emerging Asian markets?

Drivers of private equity investment activity: are buyout and venture investors really so different? 

Impact of initial public offering coalition on deal completion

Obtaining early-stage financing for technology entrepreneurship: reassessing the demand-side perspective 

Raising capital for rapid growth in young technology ventures: when business angels and venture capitalists coinvest

Ready for funding? Entrepreneurial ventures and the pursuit of angel financing 

The role of social networks in financing technology-based ventures: An empirical exploration

Startup valuation by venture capitalists: an empirical study

Early-stage finance and the role of external entrepreneurs in the commercialization of universitygenerated knowledge 

Investing in R&D: small- and medium-sized enterprise financing preferences

Institutional investments in private equity funds: social ties and the reduction of information asymmetry 

Angels and venture capitalists in the initial public offering market 

Relational norms and entrepreneurs’ confidence in venture capitalists' cooperation: the mediating role of venture capitalists' strategic and managerial involvement 

Short-termism, long-termism, and regulatory focus in venture capitalists' investment decisions 

Private equity in Poland after two decades of development: evolution, industry drivers, and returns 

Impact of initial public offering coalition on deal completion 

Should government support business angel networks? The tale of Danish business angels network 

Venture capital syndication in times of economic crisis

Investment in the UK retail sector by mid-market private equity: 2000–2008 

How does VC feedback affect start-ups?

The role of investee company managers in business angels' involvement: empirical insights from dyadic data

The non-financial contribution of venture capitalists to VC-backed SMEs: the case of traditional sectors 

Early stage venture capital investing: comparing California and Scandinavia 

Angel investing: an examination of the evolution of the Finnish market 

Determinants for allocations to Central Eastern Europe venture capital and private equity limited partnerships 

Creative destruction? Evidence that buyouts shed jobs to raise returns 

Underpricing, wealth loss for preexisting shareholders and the cost of going public: the role of private equity backing in Italian IPOs 

Categorization of angel investments: an explorative analysis of risk reduction strategies in Finland 

Public policy and the creation of active venture capital markets 

A reply to Douglas Cumming's Review Essay: ‘Public policy and the creation of active venture capital markets’ 

Misinforming the public about public policy towards venture capital 

Venture capital and high-tech start-ups 

Are technology VC investors a distinct species on the investment market? 

Why do university spin-offs attract more venture capitalists?

Venture capital investments and patenting activity of high-tech startups: a micro-econometric firm-level analysis 

Entrepreneurial finance in a regional economy 

Is there a debt finance gap relating to Scottish SMEs? A demand-side perspective 

SMEs' access to bank finance in Scotland: an analysis of bank manager decision making 

The early-stage risk capital market in Scotland since 2000: issues of scale, characteristics and market efficiency

Business angel syndicates: an exploratory study of gatekeepers 

Call for papers: Early-stage financing of technology entrepreneurship

The impact of venture capital on innovation behaviour and firm growth 

Conflict between the VC and entrepreneur: the entrepreneur's perspective 

Resourcing new businesses: social networks, bootstrapping and firm performance 

Is angel investing worth the effort? A study of Keiretsu Forum

Metaphors used by venture capitalists: Darwinism, architecture and myth 

How does entrepreneurial activity affect the supply of informal investors? 

Trade credit: a real option for bootstrapping small firms 

How entrepreneurs-in-residence increase seed investment rates

Venture capital in crisis? 

Right-sizing the US venture capital industry

What is the effect of the financial crisis on venture capital financing? Empirical evidence from US Internet start-ups 

Understanding the role of venture capitalists in knowledge dissemination in high-technology agglomerations: a case study of the University of Southampton spin-off cluster

Developmental venture capital: conceptualizing the field

The patterns of venture capital investment in the UK bio-healthcare sector: the role of proximity, cumulative learning and specialisation

Delaware incorporation matters for new ventures: evidence from venture capital investment and the going public process

The role of advisors in the venture capital investment process

The return to initial public offerings: a Sino-Indian comparison

Prospectus forecast publication and forecast errors: the role of venture capitalist certification 

Insider trading, pricing and the longrun performance of IPOs: evidence from the French market during the high-tech bubble

Why do some US universities generate more venture-backed academic entrepreneurs than others?

Smart capital in German start-ups – an empirical analysis 

The economic impact of private equity: what we know and what we would like to know 

Legality and venture capital fund manager compensation

Financing entrepreneurial activity in Chile: scale and scope of public support programs 

Use of financial bootstrapping in new businesses: a question of last resort?

Sampling and data collection in business angel research 

Measuring business angel investment activity in the United Kingdom: a review of potential data sources 

A review of sampling and definitional issues in informal venture capital research 

Business angels and love money investors: segments of the informal market for risk capital 

What do we mean when we talk about business angels? Some reflections on definitions and sampling 

Information asymmetries, agency costs and venture capital exit outcomes 

Mixed signals: why investors may misjudge first time high technology venture founders

The impact of entrepreneurs' oral ‘pitch’ presentation skills on business angels' initial screening investment decisions 

Entrepreneur–venture capitalist relationships: mitigating post-investment dyadic tensions

Private equity and venture capital in an emerging economy: evidence from Brazil 

Business angels and value added: what do we know and where do we go? 

Do business angel networks deliver value to business angels? 

Banks' risk assessment of Swedish SMEs

The public venture capital challenge: the Australian case 

Venture capitalists' non-financial valueadded: an evaluation of the evidence and implications for research 

On the structure of the informal venture capital market in Sweden: developing investment roles 

The performance of entrepreneurial companies post-listing on the New Zealand Stock Exchange 

Pre-start-up formal business plans and post-start-up performance: A study of 116 new ventures 

Seeding new ventures – green thumbs and fertile fields: Individual and environmental drivers of informal investment

When entrepreneurs choose VCs: Experience, choice criteria and introspection accuracy 

Bookbuilding versus auction selling methods: A study of US IPOs 

Entrepreneurial learning and the role of venture capitalists

How experience and perceptions shape risky behaviour: Evidence from the venture capital industry

Women business angels: Insights from angel groups 

A commentary on gaps in funding for moderate ‘non-stellar’ growth small businesses in the United Kingdom

Silicon valley's ‘one-hour’ distance rule and managing return on location 

Towards a model of the business angel investment process 

The effects of moral hazard and adverse selection on the pricing and underpricing of initial public offerings 

The impact of bank venture capital on initial public offerings 

On the usefulness of tax incentives for informal investors 

Venture capital funds: Do they meet the expectations of portfolio firms? 

Characteristics and determinants of informal investment in Singapore 

Executive forum: Public support for the business angel market in Europe – a critical review 

Business angels in a changing economy: The case of Sweden 

Economic exchange reciprocity or social obligation reciprocity? exchange modalities of interorganizational relations in Germany 

Estimating additionality and leverage: The interplay between public and private sector equity finance in Ireland (2000 – 2002) 

Venture capitalist quality and IPO certification 

Models of Taiwanese venture capital activity and paths for the future 

Some evidence of the external financing costs of new technologybased firms in Canada 

The hierarchical cognitive structure of entrepreneur motivation toward private equity financing 

Review essay: Venture capital and the internet industry 

Guest editorial: Women and the financing of entrepreneurial ventures: More pieces for the Jigsaw 

Financing of small businesses: Are Mars and Venus more alike than different? 

Breaking the family and friends' circle: Predictors of external financing usage among men and women entrepreneurs in a transitional economy 

Financing of women-owned ventures: The impact of gender and other owner -and firm-related variables 

‘Desperately seeking finance?’ The demand for finance by women-owned and -led businesses 

Gendered lending: Gender, context and the rules of business lending 

Guest editorial: Women and the financing of entrepreneurial ventures: More pieces for the Jigsaw

The use of bootstrapping by women entrepreneurs in positioning for growth 

External funding and firm growth: Comparing female- and male-controlled SMEs

Women-Owned businesses and access to bank credit: Evidence from three surveys since 1987 

Financing the Celtic Tigress: Venture financing and informal investment in Ireland

The Taylor and Francis Group Ltd award for excellence in research on the topic of venture capital

Experience, contractual covenants and venture capitalists' responses to unmet expectations

Institutional complementarities and entrepreneurial finance in emerging markets: Evidence from the Middle East and North Africa

Investment practices and outcomesof informal venture investors 

Executive forum: Seven ways to stimulate business angels' investments 

Review Essay: Regional Venture Capital Policy: UK and Germany Compared

Editorial introduction: Managing growth – the role of private equity 

Investment into venture capital funds in Europe: An exploratory study 

Cross-border venture capital and new venture internationalization: An isomorphism perspective 

What factors determine the use of venture capital? evidence from the Irish software sector 

Executive forum: How entrepreneurial company performance can be improved through venture capitalists' communication and commitment 

The Role of Angels in Technology SMEs: A Link to Venture Capital

Venture Capitalist Certification of IPOs 

Business Angel Academies: Unleashing the Potential for Business Angel Investment 

Venture Capitalist Behaviours: Frameworks for Future Research 

Review Essay: Global Venture Capital Transactions 

Corporate Venture Capitalists and Independent Venture Capitalists: What do they know, Who do They Know and Should Entrepreneurs Care?

Corporate Venture Capital: Who Adds Value?

Corporate Venture Capital Organizations in Germany 

The Search for Competent Capital: Financing of High Technology Small Firms in Sweden and USA 

The Taylor and Francis Group Ltd Award for Excellence in Research on the topic of venture capital

Responses to psychological contract violations in the venture capitalistentrepreneur relationship: An exploratory study 

Explaining venture capital firms' syndication behaviour: A longitudinal study 

Contracting, monitoring, and exiting venture investments in transitioning economies: A comparative analysis of Eastern European and German markets

Small business owner-managers as latent informal investors in Japan: Evidence from a country with a bank-based financial system

Does investing in technologybased firms involve higher risk? An exploratory study of the performance of technology and non-technology investments by business angels* 

Venture capital in a transition economy: The case of Vietnam 

Executive forum: Corporate finance in China challenges and opportunities

Special issue: Women and the financing of entrepreneurial ventures

Editorial. New issues in venture capital: an introduction to the special issue 

Selection and support strategies in venture capital financing: high-tech or low-tech, hands-off or hands-on? 

Venture capitalists' decision-making in small equity markets: a case study using participant observation 

Attitudes of venture capital investors towards entrepreneurs with previous business failure 

Developing an exit readiness index: a research note 

Women entrepreneurs securing business angel financing: tales from the field 

Do business angels have an entrepreneurial orientation? 

Inflating the bubble: examining dot-com investor behaviour

Venture capital returns in Australia 

Institutional theory and contracting in venture capital: the Swedish experience 

Growth history, knowledge intensity and capital structure in small firms 

Executive forum: early stage finance and corporate venture—two worlds apart?

Business angel contracts: the influence of context 

The operation of the informal venture capital market in Scotland

The pre-investment behaviour of business angels: a social capital approach 

How dotcoms can be winners: A customer dissatisfaction approach to analysis 

The Taylor & Francis Group plc Award for Excellence in venture capital research 

Strategy and performance of new ventures: A contingency model of the role and influence of the venture capitalist 

Business angels in Germany: A research note 

Business angels in Germany: An empirical study 

Executive forum: A study of informal investing in 29 nations composing the Global Entrepreneurship Monitor 

Prerequisites for the creation of social capital and subsequent knowledge acquisition in corporate venture capital

Using repertory grid to identify intangibles in business plans

Funding innovation and growth in UK new technology-based firms: Some observations on contributions from the public and private sectors 

Venture capitalists and the decision to invest overseas

Women entrepreneurs who break through to equity financing: The influence of human, social and financial capital 

The private equity market in the USA: Lessons from volatility 

Usefulness of financial statement components in valuation: An examination of start-up and growth firms 

Entrepreneurial perspectives on informal venture capital 

Book review 

The private equity market gyrations: What has been learned?

Angles on angels: Financing technology-based ventures - a historical perspective

True then, true now: A 40-year perspective on the early stage investment market

Angel investors: Opportunity amidst chaos

The role of social capital and gender in linking financial suppliers and entrepreneurial firms: A framework for future research 

Helping healthcare entrepreneurs: A case study of Angel Healthcare Investors, LLC

The anatomy of an angel investing network: Tech Coast Angels

Structured angel groups in the USA: The Dinner Club experience

Regional seed investing: MerchantBanc

Entrepreneurial finance and the New Economy

Encouraging angel capital: What the US states are doing 

The Advanced Technology Program: A publicprivate partnership for early stage technology development

Venture capital in Asia and the Pacific Rim

The impact of the institutional environment on the venture capital industry in Singapore

Exploring investor readiness: Assessments by entrepreneurs and investors in Australia

Venture capital investors, valuation and information: A comparative study of the US, Hong Kong, India and Singapore

Resource exchange and the Asian venture capital fund/portfolio company dyad

The Taylor and Francis Group plc: Award for excellence in research on the topic of venture capital 

Informal investors as entrepreneurs--the development of an entrepreneurial career 

The survival of venture capital backed companies 

The venture capitalist and the board of directors in SMEs: Roles and processes 

Entrepreneurial orientation in management buy-outs and the contribution of venture capital 

An exploratory investigation of informal venture capitalists in Singapore 

Government policy to stimulate equity finance and investor readiness 

Missing the target: Assessing the role of government in bridging the European equity gap and enhancing economic growth 

Government policy on venture capital support in France 

The funding of venture capital in Europe: Issues for public policy 

Plugging the knowledge gap: An international comparison of the role for policy in the venture capital market 

New venture management valuation: Assessing complementary capacities by human capital theory

Tango and cash: Entrepreneurial finance and venture capital in Argentina 

Smart money? The impact of having top venture capital investors and underwriters backing a venture 

Can venture capital-backed IPOs compete with seasoned public companies

Exit strategies of venture capital-backed companies in Singapore 

Raising finance from business angels

Editorial: Contemporary entrepreneurial finance research 

Embedded fitness landscapes?part 2: Cognitive representation by venture capitalists

Is there adverse selection in the credit market? 

Finance and management buyouts: Agency versus entrepreneurship perspectives 

Financial resources for new business in Russia: Desirable vs available 

Editorial: A golden era for entrepreneurship and entrepreneurial finance research 

Embedded fitness landscapes-part 1: How a venture capitalist maps highly subjective risk 

Thecreationofrelationalrentsinventurecapitalist– entrepreneurdyads

The venture capitalistentrepreneur relationship: Control, trust and confidence in co-operative behaviour 

Early stage financing of NTBFs: An analysis of contributions from support actors 

Venture capital in an economy in transition 

Prospecting for Gold: How Dutch informal investors appraise small businesses in trouble 

The influence of a venture capitalist's source of funds 

Portfolio investment strategies in the Finnish venture capital industry: A longitudinal study

Patterns of venture capital funding: Is gender a factor

Editorial: The role of the public sector in the development of a regional venture capital industry 

Publicly sponsored regional venture capital: what can the UK learn from the US experience? 

Venture capital and regional development: Towards a venture capital 'system' 

Public venture capital and economic development: The Scottish experience 

The case for an enterprise development fund for Wales 

Signaling value to businessangels: The proportion of the entrepreneur's net worth invested in a new venture as a decision signal

'Deal-makers': Reputation attracts quality 

The dynamics of innovation financing in Sweden

Venture capital market complementarities: The links between business angels and venture capital funds in the United Kingdom 

A com parison of business angel and venture capitalist investm ent procedures: an agency theory-based analysis1

The role and influence of external directors in small, entrepreneurial companies: Some evidence on VC and non-VC appointed external directors 

The informal venture capital market in Norway ? investor characteristics, behaviour and investment preferences 

Finance in UK high technology small firms: An overview 

The UK venture capital industry and investment in smaller companies and technology start ups 

The short-run performance of JASDAQ companies and venture capital involvement before and after flotation 

Venture capital investment and US family business 

Courting the European growth firms: A survey of attitudes towards listing alternatives

The Swedish venture capital industry: An infant, adolescent or grown-up? 

The application of principal-agent methods to investor-investee relations in the UK venture capital industry 

The syndication of private equity: Evidence from the UK 

Conflicts of interest and the performance of venture-capital-backed IPOs: A preliminary look at the UK 

Early-stage venture capital funds, scale economies and public support 

Conjoint analysis: A new methodological approach for researching the decision policies of venture capitalists 

High-tech management buy-outs 

A venture capital model for transitioning economies: The case of Poland 

Business angels in Japan

Executive forum: Japan's 'credit crunch' and its consequences for venture finance 

Editorial - An overview of informal venture capital research 

The early-stage equity market in the USA 

Private investors' investment criteria: Insights from qualitative data 

Newly created firms and informal angel investors: A four-stage model of network development 

Australia's informal venture capitalists: An exploratory profile 

Business Angels: Should they fly on their own wings? 

Editorial. Venture Capital: Rationale, aims and scope 

European policy towards venture capital: Myth or reality? 

Management assessment methods in venture capital: An empirical analysis of human capital valuation 

Supporting the precommercialization stages of technology-based firms: The effects of small-scale venture capital 

Capital Controls: Myth and Reality

Trade, Sectorial Reallocation, and Growth

Does Fiscal Decentralization Increase the Investment Rate? Evidence from Chinese Panel Data

Fiscal Policy in a Business Cycle Model with Endogenous Productivity

Optimal Inflation in a Model of Inside Money: A Further Result

A Critical Appraisal of Studies Analyzing Co-movement of International Stock Markets

Mutual Fund Fee Structures and Broker Compensation

Bank Concentration and Firms' Debt Structure: Evidence from China

What can China Expect from an Increase of the Mandatory Retirement Age?

Could Risk Management Be Harmful to Firms?

A Theoretic Approach to China's Housing Market Boom and Down Payment Loans

Country Size and Strategic Trade Policy: A Model of a Dominant Country Facing a Competitive Fringe

Product Differentiation, Exclusivity, and Multi-purchasing

The Relationship Between IPO and Macroeconomics Factors: An Empirical Analysis from UK Market

A Structural Method to Estimate Firm-level Capacity Utilization and Application to Chinese Heavy Industries

The Credibility of a Soft Pegged Exchange Rate in Emerging Market Economies: Evidence from a Panel Data Study

The Impact of Privatization on TFP: a Quasi-Experiment in China

Effective Tax Rates, Spatial Spillover, and Economic Growth in China: An Empirical Study Based on the Spatial Durbin Model

Global Risk Aversion Spillover Dynamics and Investors' Attention Allocationh

Inside Trading when the Market Deviates from the Semi-Strong Efficient Condition

Intellectual Property Protection: Prevention in Advance or Punishment Afterward

Skewness Preference and IPO Anomalies in China

Fiscal Decentralization and Pattern of County Public Expenditures in a Chinese Province

Aggregate Evidence on Price Rigidities and the Inflation-Output Trade-Off: A Factor Analysis of Factor Shares

The Dual Effects of Housing on Portfolio Choices: Evidence from Urban China

Easing Financing and M&A Investment Constraints: The Role of Corporate Industrial Diversification

Market Timing under Limited Information: An Empirical Investigation in US Treasury Market

Tax Effort of Local Governments and its Determinants: The Spanish Case

The 52-Week High and Momentum Investing: Implications for Asset Pricing Models

Revisiting Crude Oil Price and China's Stock Market

An Explanation of Management of Local Governments in Spain Based on the Structure of the Internal Control System

The Residential Real Estate Market in China: Assessment and Policy Implications

Characterizing Service Components of China's Manufacturing Exports

Risk Aversion, Uncertainty, Unemployment Insurance Benefit and Duration of "Wait" Unemployment

Asymmetric Exchange Rate Pass-through and Monetary Policy in Open Economy

Early Exercise Behavior in Performance-vested Stock Option Grants

Corporate Social Responsibility and Credit Spreads - An Empirical Study in Chinese Context

Measuring Effective Monetary Policy Conservatism of Central Banks: A Dynamic Approach

The Impact of Internet Sales Tax in a Search Model of Money: Some Analytical Results

Is Standard Seviation a Good Measure of Volatility? the Case of African Markets with Price Limits

Trade Elasticity of China

Insurance Contracts with Adverse Selection When the Insurer Has Ambiguity about the Composition of the Consumers

Determinants of Chinese Cross-Border M&As

The Adjustment of Consumption to Income Changes Across Chinese Provinces

On the Relationship Between Exchange Rates and External Imbalances: Should we Learn from East and South-east Asia?

Price Momentum and Reversal: An Information Cascade Rationale

Modeling the Term Structure of Exchange Rate Expectations

Empirical Analysis of the Main Drivers of Income Inequality in Southern Africa

What Makes a Safe Haven? Equity and Currency Returns for Six OECD Countries during the Financial Crisis

The Impact of Africa-China Trade Openness on Technology Transfer and Economic Growth for Africa: A Dynamic Panel Data Approach

Is Homo Economicus a Universal Paradigm in Economic Theory?

State-Level Variation in the Real Wage Response to Monetary Policy

Optimal Consumption and Investment with a Wealth-Dependent Time-Varying Investment Opportunity

Cognitive Ability and Cooperation: Evidence from the Public Goods Experiments

The Value of Financial Advice

Robustness of Stability to Cost of Carrying Money in a Matching Model of Money

Income Inequality and the Real Exchange Rate: Linkages and Evidence

Modelling Possibility of Short-Term Forecasting of Market Parameters for Portfolio Selection

Should We Demean the Data?

Corporate Diversification Effect on Firm Value (Unilever Group Case Study)

Optimal Income Taxations with Information Asymmetry: The Lagrange Multiplier Approach

Cournot and Bertrand Competition in a Differentiated Duopoly with Endogenous Technology Adoption

The Dilemma of International Capital Tax Competition in the Presence of Public Capital and Endogenous Growth

Substitutability Between Drugs, Innovation, and Fiscal Policy in the Pharmaceutical Industry

A Comparative Study of Chinese SOE Firm's Boards and Private Firm's Boards

How Local Financial Market Conditions, Interest Rates, and Productivity Relate to Decisions to Export

Extraneous Risk: Pricing of Non-Systematic Risk

Local Constant Kernel Estimation of a Partially Linear Varying Coeefficient Cointegration Model

The Pricing of Two Newly Invented Swaps in a Jump-Diffusion Model

Robust Consumption and Portfolio Choice with Habit Formation, the Spirit of Capitalism and Recursive Utility

Another Look at the Boom and Bust of Financial Bubbles

The Effect of Macro News on Volatility and Jumps

What Does Bitcoin Look Like?

The Spirit of Capitalism and the Equity Premium 

Selective Disclosure Associated with Institutional Investors: Evidence Based on Chinese Stock Market

Addicted to Dollars

Liquidity, Interest Rates and Output

A Polycentric Approach for Coping with Climate Change

Fiscal Decentralization and Public Services Provision in China

Credit Availability in the Crisis: which Role for Public Financial institutions ?

Public Debt and the Dynamics of Economic Growth

Questioning the Soft Budget Constraint

This Time is Different: A Panoramic View of Eight Centuries of Financial Crises

Administrative Dimensions of Tax Reform

Fiscal Decentralization in China: A Literature Review

Inflation Dynamics and the Cost Channel: The Small Open Economy Case

Financial Development and Innovation: Is There Evidence of a Schumpeterian Finance-Innovation Nexus?

China's Lagging Region Development and Targeted Transportation Infrastructure Investment

Yield Factors, the Expectations Hypothesis and Regime Shifts

Combining Portfolio Models

What Does the Corporate Income Tax Tax? A Simple Model Without Capital

Optimal Consumption and Portfolio Choice under Ambiguity for a Mean-reverting Risk Premium in Complete Markets

Credit Constraints, Heterogeneous Firms and Loan Defaults

The Monetary Effect,  of Power: How Perception of Power Affects Monetary Value Judgments in China and US

Inflation and Economic Growth

Categorical Segregation from a Game Theoretical Approach

The Optimal Price of Default

Effect of the Use of Derivative Instruments on Accounting Risk: Evidence from Banks in Emerging and Recently Developed Countries

On the Efficiency of Monetary and Fiscal Policy in Open Economies

Housing and Saving with Finance Imperfection

How much do Workers Search?

Education and Economic Growth

Health and Economic Growth

Asset Pricing, Capital Structure and the Spirit of Capitalism in a Production Economy

Forecasting Inflation via Electronic Markets

Capital Requirements of Commercial Banks and Lending Discrimination against Small Businesses: Theory and Empirical Evidence from China 

CEO Power, Compensation, and Governance

Discrimination in the Equilibrium Search Model with Wage Tenure Contracts

Stock Market Manipulation in the Presence of Fund Flows

The Impact of House Price Movements on Non-durable Goods Consumption of Older Households

Rational Equity Bubbles

Dances with Chinese Data: Are the Reform Period Chinese Provincial Panel Data Reliable?

How the U.S. Capital Markets Volatility Interacts With Economic Growth

A Study on the Relationship between Short-Term International Capital Flow and the Volatility of China's Stock Market

Long-Term Competition -- a Game-Theoretic Analysis

Sequencing Fiscal Decentralization

Social Security and Early Retirement in an Overlapping Generations Growth Model

Occasional Structural Breaks and Long Memory

Choosing Between Peace and War

Reinventing Industrial Strategy: The Role of Government Policy in Building Industrial Competitiveness

Currency Boards, Credibility, and Macroeconomic Behavior

Monopoly versus Competition in Banking: Some Implications for Growth and Welfare

The Sub-Optimality of the Friedman Rule and the Optimum Quantity of Money

Fiscal Decentralization in China: History, Impact, Challenges and Next Steps

The Effect of Leadership Transition on Government Expenditure: Evidence from China

Regional Inequality in Contemporary China

Tests of Mean-Variance Spanning

A Semiparametric Time Trend Varying Coefficients Model: With An Application to Evaluate Credit Rationing in U.S. Credit Market

Calls and Couples: Communication, Connections, Joint Consumption and Transfer Prices

On the Growth and Stability Effects of Habit Formation and Durability in Consumption

Is the "Houthakker-Magee" Finding Durable? Evidence from Disaggregated Trade Flows between China and Korea

Analysis of the Great Divergence under a Unified Endogenous Growth Model

The Informational and Strategic Impacts of Real Earnings Management

Stochastic Versions of Turnpike Theorems in the Sense of Uniform Topology

Why Does Foreign Direct Investment Go Where It Goes?: New Evidence From African Countries

Water Service Delivery Reform in China: Safeguarding the Interests of the Poor

Land Taxation in China: Assessment of Prospects for Politically and Economically Sustainable Reform

Inflation Aversion

Inflation Aversion and the Optimal Inflation Tax

On Collusion and Industry Size

Why Have Girls Gone to College? A Quantitative Examination of the Female College Enrollment Rate in the United States: 1955-1980

Growth-Effects of Inflation Targeting: The Role of Financial Sector Development

Effcient Estimation of Moment Condition Models with Heterogenous Populations

A Quantity-Setting Mixed Duopoly with Inventory Investment as a Coordination Device

Optimal Taxation under Income Uncertainty

Royalty Rate Structure in Case of Franchising

Has China's Economy Become More Stable and Inertial? Nonlinear Investigations Based on Structural Break and Duration Dependent Regime Switching Models

The View from the County: China's Regional Inequalities of Socio-Economic Development

Estimating High Dimensional Covariance Matrices and its Applications

A Robust General Equilibrium Stochastic Volatility Model with Recursive Preference Investors

The Distorted Theory of Rank-Dependent Expected Utility

Measuring Knowledge Spillovers: A Non-appropriable Returns Perspective

Bank money, aggregate liquidity, and asset prices

Optimal Unemployment Insurance with Endogenous Search Effort

Financial Crisis, Monetary Policy, and Stock Market Volatility in China

Hysteresis Hypothesis in Job Creation and Destruction: Evidence from the U.S.

Organizational Commitment and Creativity: the Influence of Thinking Styles

On the Economic Value of Return Predictability

Output Convergence and the Role of Research and Development

Health, Taxes, and Growth

Expected and Unexpected Impulses of Monetary Policy on the Interest Pass-Through Mechanism in Asian Countries

Private and Public Health Expenditures in an Endogenous Growth Model with Inflation Targeting

A More Efficient Best Spatial Three-stage Least Squares Estimator for Spatial Autoregressive Models

Fluctuations of Real Interest Rates and Business Cycles

Minimum Wages and Unemployment Benefits in a Unionized Economy: A Game-Theoretic Approach

The Importance of Being Consulted

Skilled Labor, Economic Transition and Income Differences: A Dynamic Approach

The Term Structure of Interest Rates in a New Keynesian Model with Time-Varying Macro Volatility

Strategic Outsourcing between Rivals

Irreversible Investment of the Risk- and Uncertainty-averse DM under k-Ignorance: The Role of BSDE

The Role of Market-Implied Severity Modeling for Credit VaR

Career Concern and Tax Preparer Fraud

Ethnic Stereotypes and Economic Discrepancy: The Illusion of Differences between Han and Uyghur Chinese

Firm Liquidation and Economic Crisis Under Unexpected Exchange Rate Shock

Aggregate Price Stickiness

The Effect of Anti-Smoking Media Campaign on Smoking Behavior: The California Experience

Capacity Investment and Mixed Duopoly with State-Owned and labour managed firms

Do Oil Prices Matter? The Case of a Small Open Economy

Modeling China Inflation Persistence

A Conjecture of Chinese Monetary Policy Rule: Evidence from Survey Data, Markov Regime Switching and Drifting Coefficients

Human Capital Externality, Knowledge Spillover and Sustainable economic growth

The Paradox of Educational Fairness in China

Bidders’ Risk Preferences in Discriminative Auctions

Speculative Trading and Stock Prices: Evidence from Chinese A-B Share Premia

Ambiguity, Risk and Portfolio Choice under Incomplete Information

The Spirit of Capitalism and Excess Smoothness

Pricing Foreign Equity Options with Stochastic Correlation and Volatility

Discount Rate Changes and Market Timing: A Multinational Study

Strategic Trading of Informed Trader with Monopoly on Short-and Long-Lived Information

Natural Resources and Economic Growth: Some Theory and Evidence

Endogenous Default Penalties in Nominal Incomplete Markets

Aggregate Consumption-Wealth Ratio and the Cross-Section of Stock Returns: Some International Evidence

Is Volatility Priced

Long- and Short-Run Determinants of the Demand for Money in the Asian-Pacific Countries: An Empirical Panel Investigation

Does the Utility Function Form Matter for Indeterminacy in a Two Sector Small Open Economy

A Selective Bail-Out International Lending of Last Resort model

Fiscal Disparities and the Equalization Effects of Fiscal Transfers at the County Level in China

Credit Market Imperfections and Long-Run Macroeconomic Consequences

A Probabilistic Theory Of Entrepreneurial Financing

Extremum Estimation when the Predictors are Estimated from Large Panels

The Effects of Foreign Aid on the Creation and Distribution of Wealth

Fiscal Sustainability and Fiscal Soundness

Nash Bargaining, Money Creation, and Currency Union

Macroeconomic Policies and Foreign Asset Accumulation in a Finite-Horizon Model

Retailers’ Incentive to Sell through a New Selling Channel and Pricing Behavior in a Multi-channel Environment

Transport Infrastructure, Growth, and Poverty Alleviation: Empirical Analysis of China

Why is the Military Draft Common? Conscription and Increasing Returns

Inducing Cooperation by Self-Stipulated Penalties

Mean Reversion and Consumption Smoothing: A Comment

Testing The Existence Of Multiple Cycles In Financial And Economic Time Series 

Empirical Analyses of Industry Stock Index Return Distributions for the Taiwan Stock Exchange

Realized Daily Variance of S&P 500 Cash Index: A Revaluation of Stylized Facts

The Flexible Three Parameter Utility Function

Reassessment Of Currency Index By Fundamentals

Production and Inventory Behavior of Capital

Uniform Working Hours and Structural Unemployment

Crisis and Consumption Smoothing

Wage-Rise Contract and Entry Deterrence: Bertrand and Cournot

Measuring Interest Rates as Determined by Thrift and Productivity

The Closed-form Solution for Pricing American Put Options

Bargaining and Destructive Power

Duality in an Industry with Fluctuating Demand

Poverty and Inequality in Sub-Saharan Africa: Literature Survey and Empirical Assessment

Portfolio Selection under Parameter Uncertainty using a Predictive Distribution

Institutions, market constellations and growth: The case of South Africa

Uninsurable Risks: Uncertainty in Production, the Value of Information and Price Dispersion

The Tyranny of Numbers or the Tyranny of Methodology: Explaining the East Asian Growth Experience

Asset Prices and Hyperbolic Discounting

An Alternative to Prospect Theory

A Note on the Welfare Effects of Horizontal Mergers in Asymmetric Linear Oligopolies

Asset Pricing Simultaneities: Phases and Patterns

Global Versus Regional Systematic Risk and International Asset Allocations in Asia

Local Bifurcations and Global Dynamics in a Solow-type Endogenous Business Cycles Model

The Impact of Insider Trading on the Secondary Market with Order-Driven System

Elasticity of Substitution, Capital Inflow and Government Size

Distortionary, Non-Distortionary, and Distributional Properties of Environmental Taxes: Extension of Sandmo’s Observation

A Computational Exploration of the Efficacy of Fibonacci Sequences in Technical Analysis and Trading 

Does Financial Development ‘lead’ Economic Growth? The case of China

Using Bootstrap to Test Portfolio Efficiency

A Note on the Relation between Risk Aversion, Intertemporal Substitution and Timing of the Resolution of Uncertainty

How to Strengthen the International Financial System by Restructuring Sovereign Balance Sheets

Investment Decisions in a New Mixed Market

Nonlinear Trend Stationarity in Real Exchange Rates: Evidence from Nonlinear ADF Tests

Say’s Law and the Business Cycles

The Impact of Stock Exchange Rules on Volatility and Error Transmission — The Case of Frankfurt and Zurich Cross-Listed Equities

Comparing Competitive Equilibria with Equilibria of Labor-Managed and Capital-Managed Economies in OLG Models

A Post-Kaleckian, Post-Olsonian Approach to Unemployment and Income Inequality in Modern Varieties of Capitalism

Do the Economies of Specialization Justify the Work Ethics? A Further Examination of Buchanan’S Hypothesis

Rating, Credit Spread, and Pricing Risky Debt: Empirical Study on Taiwan’s Security Market

Real Interest Rate Parity: Evidence from Industrialized Countries

Liquidity Shocks, Banking System Failures and Supranational Lending of Last Resort Facilities

Tax Policy Under Keeping Up with the Joneses and Imperfect compeitition

Incentive Compatible Collusion and Investment

Favors for Sale: Strategic Analysis of a Simple Menu Auction with Adverse Selection

Calendar effects in Chinese stock market

Utilization of Home Healthcare Service by Medicare-Medicaid dual eligibles

Semiparametric Efficient Estimation of Partially Linear Quantile Regression Models

The Effect of Monetary Policy on Bank Lending and Aggregate  Output: Asymmetries from Nonlinearities in the Lending Channel

A Simple Matching method for Estimating Sample Selection  Models Using Experimental Data

An Analysis of Political Changes on Nikkei 225 Stock Returns and Volatilities

Dichotomous Asset Pricing Model

Optimal tax and education policy when agents differ in altruism and productivity

Business Cycles

A Bootstrap Test for Conditional Symmetry

Costly State Monitoring and Reserve Requirements

Estimation of Parameters in Multiple Regression With Missing Covariates using a Modified First Order Regression Procedure 

Income Inequality and Economic Growth: A Simple Theoretical synthesis

Portfolio Selection with Little Information about the Future

A New Approach for Interpreting Long-Run Returns, Applied to IPO and SEO Stocks

Growth and Development: A Schumpeterian Approach

Efficient Union Contracts in the Presence of Homogeneous Labor and Differentiated Unions

Specific Human Capital, Credible Commitment and Optimal Capital Structure

Multiple Equilibria and Interfirm Macro-Externality: An Analysis of Sluggish Real Adjustment

Modeling Volatility for the Chinese Equity Markets

Optimal Stopping of Active Portfolio Management

Economic Reform and Growth in China

Business, Government, and the Information Environment: Stock Trading and Earnings Shocks in China, Indonesia, and Singapore

Management of Public Utilities in China

Kernel Estimation of Multivariate Conditional Distributions

Capital Taxation May Survive in Open Economies

Savings and Income Distribution

Decision for the Optimal Location | Waiting Timing Relationship in A Real Options Model

A Heavy-Tailed Distribution for ARCH Residuals with Application to Volatility Prediction

A Note on Consumption and Savings under Knightian Uncertainty

Moral Hazard with Rating Agency: An Incentive Contracting Approach

Equilibrium Selling Mechanisms

Debt Contract, Strategic Default, and Optimal Penalties with Judgement Errors

Optimal Management of Indexed and Nominal Debt

A Time Series Analysis of the Shanghai and New York Stock Price Indices

Price and Volatility Transmission in International Wheat Futures Markets

Existence of Equilibrium and Zero-Beta Pricing Formula in the Capital Asset Pricing Model with Heterogeneous Beliefs

Degree of Mispricing with the Black-Scholes Model and Nonparametric Cures

Birnbaum-Saunders and Lognormal Kernel Estimators for Modeling Durations in High Frequency Financial Data

A Monte Carlo Comparison of Various Semiparametric Type-3 Tobit Estimators

Monitoring the Monitor: Does Ownership Matter?

Comparing Sectoral FDI Incentives: Comparative Advantages and Market Opportunities

The Optimum Quantity of Debt: Technical Appendix

Reflections on Growth and Development

Determinants of Economic Growth in a Panel of Countries

Urbanization and Economic Development

The Timing of Marriage in China

Equilibria for Pure Exchange Infinite Economies in the Sense of Incomplete Preference

Sources of Exchange Rate Fluctuations: The Cases of Mexico and Thailand in the Aftermaths of their Recent Currency Crises

Term Structure of Interest Rates in the Presence of Levy Jumps: The HJM Approach

A Wealth-Dependent Investment Opportunity Set: Its Effect on Optimal Consumption and Portfolio Decisions

Fiscal Federalism, Public Capital Formation, and Endogenous Growth

The Tradeoff Between Inequality and Growth

Does a Higher Sacrifice Ratio Mean that Central Bank Independence is Excessive?

Fiscal Policy and the Implementation of the Walsh Contract for Central Bankers

PPP May not Hold Afterall: A Further Investigation

Managerial Performance, Bid Premiums, and the Characteristics of Takeover Targets

Inflation, Growth, and Income Distribution: A Cross-Country Study

Series Estimation of Partially Linear Panel Data Models with Fixed Effects

Generalized Semiparametric Binary Prediction

Existence of an Equilibrium in a General Competitive Exchange Economy with Indivisible Goods and Money

A Stochastic Theory of Limit Order Transactions in Securities  markets

Government Deficits, Political Inefficiency, and Fiscal Reconstruction in Japan

General Equilibrium in a Labor-Managed Economy with Uncertainty and Incomplete Markets

Speculative Attacks and the Dynamics of Exchange Rates

What Determines Expected International Asset Returns?

Trading Volume and Asset Prices

A Theory of Co-operatives Based on Rights

Effects of Growth and Volatility in Public Expenditures on Economic Growth: Theory and Evidence

Income Taxation and Tax Evasion in a Finite Economy

The Economic Effects of Inflation Tax Instruments in an overlaping -generations economy with production

Nonparametric Inference Based on Sampled Minima

A Comparative Study of Different Shrinkage Estimators for Panel Data Models

Consistent Specification Tests for Regression Models

Data Transformation and Forecasting in Models with Unit Roots and cointegration

A Consistent Test for the Parametric Specification of the Hazard Function

On Model Approximation for Long Memory Processes: A Cautionary Result

Simulation-Based Estimation of the Structural Errors-in-Variables Negative Binomial Regression Model with an Application

Testing for Independence between Two stationary Time Series via the Empirical Characteristic Function

An Econometric Study of the Residential Demand for Non-Listed, Non-Published, and Special Non-Published Services

Forecasting Nonlinear Functions of Returns Using LINEX Loss Functions

Simulated Maximum Likelihood Estimation of the Linear Expenditure System with Binding Non-Negativity Constraints

Estimation of Linear Regression Models from Bid-Ask Data by a Spread-Tolerant Estimator

Consistent Estimation of Regression Coefficients in Replicated Data with Non-Normal Measurement Errors

Dynamic Aggregation and Computation of Equilibria in Finite-Dimensional Economies with Incomplete Financial Markets

Viable Costs and Equilibrium Prices in Frictional Securities Markets

Liquidity, Bargaining, and Multiple Equilibria in a Search Monetary Model

The Dynamics of Firms in the Presence of Adjustment Costs

Bankruptcy Law, Capital Allocation, and Aggregate Effects:A Dynamic Heterogenous Agent Model with Incomplete Markets

Equilibrium Cost Overruns

Finite Horizon Negotiation Games

Residential Investment and Economic Growth

Martingale Measure Method for Expected Utility Maximization in Discrete-Time Incomplete Markets

Do Stock Returns Follow a Finite Variance Distribution?

Attribute Coordination in Organizations

Fiscal Decentralization in Developing Countries: The Effects of Local Corruption and Tax Evasion

Feasible and Continuous Double Implementation of Constrained Walrasian Allocations

Do Debt Flows Crowd Out Equity Flows or the Other Way Round?

Evolution of Transitory Volatility over the Week

Investment Horizon and the Cross Section of Expected Returns: Evidence from the Tokyo Stock Exchange

Growth Optimal Portfolio in a Market Driven by a Jump-Diffusion-Like Process or a Levy Process

Martingale and Relaxation-Projection Methods for Utility Maximization with Portfolio Constraints and Stochastic Income

Foreign Aid Reduces Domestic Capital Accumulation and Increases Foreign Borrowing: A Theoretical Analysis

Why Are Entrepreneurs Liquidity-Constrained?

Choosing between Up-or-Out and Spot Contracts: Human Capital Investment versus Job-Matching Considerations

Endogenous Structure of the Division of Labor, Endogenous Trade Policy Regime, and a Dual Structure in Economic Development

A Theory of Supervision with Endogenous Transaction Costs

Power Risk Aversion Utility Functions

The Growth-Inequality Nexus without Borrowing Restrictions and Government Intervention: Some Implications from a Prototype Model

Vector Autoregressive Models with Structural Changes in Regression Coefficients and in Variance-Covariance Matrices

Estimating Semi-parametric Econometrics Models by Local Linear Method: With an Application to Cross-Country Growth

Optimal Portfolios in an Incomplete Market

Capital Structure and Product Market Strategy

The Macroeconomic Impact of Decentralized Spending and Deficits: International Evidence

Economic Reforms and Constitutional Transition

CEO tenure and corporate misconduct: Evidence from US banks

What explains the success of reward-based crowdfunding campaigns as they unfold? Evidence from the French crowdfunding platform KissKissBankBank

Investor sentiment and emerging stock market liquidity

Spatial analysis of sovereign risks: The case of emerging markets

Informed trading in the Bitcoin market

Risk transmitters and receivers in global currency markets

Global cash flow sensitivities

Can banks identify firms’ real earnings management? Evidence from China

Acquiring organizational capital

The relationship between commodity markets and commodity mutual funds: A wavelet-based analysis

Risk-adjusted performance of portfolio insurance and investors’ preferences

Comovements of gold futures markets and the spot market: A wavelet analysis

The EMBI in Latin America: Fractional integration, non-linearities and breaks

Terrorism and oil markets: A cross-sectional evaluation

The effect of economic policy uncertainty on the long-run correlation between crude oil and the U.S. stock markets

Robust multivairiate extreme value at risk allocation

International stock return co-movements and trading activity

Inequality, demographics and the housing wealth effect: Panel quantile regression evidence for the US

Efficient estimation of expected stock price returns

The effect of non-trading days on volatility forecasts in equity markets

Impacts of the mass media effect on investor sentiment

Fixed-price, auction, and bookbuilding IPOs: Empirical evidence in Taiwan

Corporate cash-pool valuation in a multi-firm context: A closed formula

An examination of investors’ reaction to the announcement of CoCo bonds issuance: A global outlook

Why do microfinance institutions fail socially? A global empirical examination

Nonparametric tolerance limits for pair trading

Value-at-Risk estimation with stochastic interest rate models for option-bond portfolios

28.Analysis of the global financial crisis using statistical moments

Investor reaction to IFRS for financial instruments in Europe: The role of firm-specific factors

How fundamental is the one-period trinomial model to European option pricing bounds. A new methodological approach

The relationship among information asymmetry, dividend policy and ownership structure

Arising borders and the value of logistic companies: Evidence from the Brexit referendum in Great Britain

Oil price uncertainty and Chinese stock returns: New evidence from the oil volatility index

The impact of fiscal rules on sovereign risk premia: International evidence

Closed-form solutions for options with random initiation under asset price monitoring

Conditional dependence of US and EU sovereign CDS: A time-varying copula-based estimation

Pricing power exchange options with correlated jump risk

Do managers learn from the market? Firm level evidence in merger investment

Testing the adaptive market hypothesis and its determinants for the Indian stock markets

A note on optimal portfolios under regime–switching

Solving the SRI puzzle? A note on the mainstreaming of ethical investment

The performance of the switching forecast model of value-at-risk in the Asian stock markets

Trading activity and price behavior in Chinese agricultural futures markets

Multi-period portfolio optimization under probabilistic risk measure

A comparison of investors’ sentiments and risk premium effects on valuing shares

Stochastic dominance and the omega ratio

A dynamic panel analysis of HKEx shorting ban’s impact on the relationship between disagreement and future returns

The effect of internal control weakness on firm valuation: Evidence from SOX Section 404 disclosures

Risk and regulation: A difference-in-differences analysis for Italian local banks

Neoclassical finance, behavioral finance and noise traders: Assessment of gold–oil markets

How functional and geographic diversification affect bank profitability during the crisis

Financial openness, domestic financial development and credit ratings

Bequest motive and incentive to retire: Consumption, investment, retirement, and life insurance strategies

Financial and real sector returns, IMF-related news, and the Asian crisis

Echo effects and the returns from 52-week high strategies

Competing by conducting good deeds: The peer effect of corporate social responsibility

The effect of CEO departure on target firms’ post-takeover performance: Evidence from not-delisting target firms

Synergy or downward competition? Interactions between small credit institutions in local markets

Measuring the impact of extreme observations on CAPM alphas: Some methodological issues

A note on minimum riskiness hedge ratio

How integrated is the European carbon derivatives market?

Fama–MacBeth two-pass regressions: Improving risk premia estimates

Testing the expectations hypothesis for the Eurozone: A nonlinear cointegration analysis

Granger causality and systemic risk

Intermediate-term momentum and credit rating

Predicting volatility of the Shanghai silver futures market: What is the role of the U.S. options market?

A simple and general approach to fitting the discount curve under no-arbitrage constraints

Capital market seasonality: The curious case of large foreign stocks

Diversification discount over the long run: New perspectives

Economic policy uncertainty and stock market volatility

Minimizing the expected lifetime spent in drawdown under proportional consumption

Cultural differences and the structure of loan syndicates

Quadratic hedging strategies for volatility swaps

Cointegration of the prices of gold and silver: RALS-based evidence

Equilibrium option pricing: A Monte Carlo approach

Portfolio selection with independent component analysis

Cross-listing decisions and the foreign bias of investors

Does individual-stock skewness/coskewness reflect portfolio risk?

Sample dependency during unconditional credit capital estimation

Analyst recommendations and volatility in a rising, falling, and crisis equity market

Longevity bond pricing under the threshold CIR model

Unique equilibrium in a model of takeovers involving block trades and tender offers

The pricing of embedded lease options

The impacts of institutional and individual investors on the price discovery in stock index futures market: Evidence from China

Credit contagion and competitive effects of bond rating downgrades along the supply chain

The political risk factor in emerging, frontier, and developed stock markets

Capital cyclicality, conditional coverage and long-term capital assessment

Stock return predictability in South Africa: The role of major developed markets

Investor sentiment and portfolio selection

Asymptotic expansion of European options with mean-reverting stochastic volatility dynamics

Should Islamic investors consider SRI criteria in their investment strategies?

Block-ownership structure, bank nominee director and crash-risk

Does CSR have different value implications for different shareholders?

The benefits of combining seasonal anomalies and technical trading rules

Pricing American options under the constant elasticity of variance model: An extension of the method by Barone-Adesi and Whaley

On corporate capital structure adjustments

Do scholars in Economics and Finance react to alphabetical discrimination?



An analysis of loan loss provisioning behaviour in Vietnamese banking

Optimal investment of private equity

Technology Upgrades in Emerging Equity Markets: Effects on Liquidity and Trading Activity

Equity returns of distressed equity issuers

Role of single largest investors exampleof mutual funds and acquisitions

Investor attention to the Eurozone crisis and herding effects in national bank stock indexes

Price strategies in a vertically differentiated mutual fund market

Intraday exchange rate volatility transmissions across QE announcements

Does gender diverse board mean less earnings management?

A comparison of the convenience yield and interest-adjusted basis

A compensation scheme for optimal investment

Eurozone network “Connectedness” after fiscal year 2008

Credit rationing for Portuguese SMEs

The optimal pricing of a market maker in a heterogeneous agent economy

Rational speculative bubbles in the US stock market and political cycles

Effects of macroeconomic uncertainty on the stock and bond markets

Investment, firm performance and securitizationInvestment, firm performance and securitization

A simple model of market valuation and trend reversion for U.S. equities: 100 Years of bubbles, non-bubbles, and inverse-bubbles

The intrinsic bounds on the risk premium of Markovian pricing kernels

What drives gold returns? A decision tree analysis

Modelling default risk with occupation times

Net payout return: An alternative to the traditional returns approach based on dividends and share repurchases

Are emerging MENA stock markets mean reverting? A Monte Carlo simulation

The mispricing of socially ambiguous grey stocks

Revisiting the earnings–price effect: The importance of future earnings

Human nature, the means-ends relationship, and alienation: Themes for potential EasteWest collaboration

Does corporate governance influence corporate risk-taking? Evidence from the Institutional Shareholders Services (ISS)

The investment management for a downside-protected equity-linked annuity under interest rate risk

Stock market interdependence between China and the world: A multi-factor R-squared approach

Player absence and betting lines in the NBA

Volatility spillovers in the European bank CDS market

Determining the economic value of ambiguous loan portfolios

Strategic coordination in forecasting – An experimental study

Political risk, investor attention and the Scottish Independence referendum

Predicting the Equity Premium with the Demand for Gold Coins and Bars

Investment timing and capital structure with loan guarantees

Innovation in pyramidal ownership structures

Predicting severe simultaneous bear stock markets using macroeconomic variables as leading indicators

Security analysts’ target prices and takeover premiums

Bank Insolvency Risk and Z-Score Measures: A Refinement

Higher order comoments of multifactor models and asset allocation

The similarity of ECB’s communication

The instability of the Pearson correlation coefficient in the presence of coincidental outliers

A Common Jump Factor Stochastic Volatility Model

Compensation and competition for talent: Evidence from the financial industry

Cross-sectional anomalies and volatility risk in different economic and market cycles q

Detecting structural changes using wavelets

Testing for asymmetric causality between U.S. equity returns and commodity futures returns

A Regret Theory of Capital Structure

Weakening the Gain–Loss-Ratio measure to make it stronger

Stochastic Volatility and Leverage: Application to a Panel of S&P500 Stocks

Long memory and the relation between options and stock prices

Currency competition between the dollar and euro: Evidence from exchange rate behaviors

Estimating the effect of entrenched boards on firm value using geographic identification

Currency competition between the dollar and euro: Evidence from exchange rate behaviors

Conditional Sharpe Ratios

Can analysts predict rallies better than crashes

Insurance demand and first-order risk increases under ðl;rÞ-preferences revisited

Hedging house price risk with futures contracts after the bubble burst

Is gold a safe haven against equity market investment in emerging and developing countries?

Reward for failure and executive compensation in institutional investors

Sell in May and Go Away: Evidence from China

Investing in gold: Individual asset risk in the long run

A sovereign risk index for the Eurozone based on stochastic dominance

The Structure of Equity Markets Across Countries: Scarcity and Stock Valuations

Overnight information flow and realized volatility forecasting

Constructing a financial fragility index

Optimal portfolio choice for investors with industry-specific labor income risks

A sequential pricing framework for corporate securities: The case of rating-trigger step-up/-down bonds

European business cycles and stock return predictability

Impact of macroeconomic announcements on implied volatility slope of SPX options and VIX

Do investors hold that they know? Impact of familiarity bias on investor’s reluctance to realize losses: Experimental approach

Computing Present Values: Capital Budgeting Done Correctly

Improved Method for Static Replication under the CEV Model

Unconventional monetary policies and the corporate bond market

Foreign exchange customers and dealers: Who’s driving whom?

Insurance demand and first order risk increases under ( ) -preferences

Credit risk assessment of fixed income portfolios using explicit expressions

The bond–stock mix under time-varying interest

Stabilizing the market with short sale constraint? New evidence from price jump activities

Explaining breakdowns in interbank lending: A bilateral bargaining model

Long-term government bond yields and macroeconomic fundamentals: Evidence for Greece during the crisis-era

Bankruptcy risk induced by career concerns of regulators q

The influence of moral hazard on investment in financially constrained and unconstrained firms

A new strategy using term-structure dynamics of commodity futures

The effect of CEO luck on the informativeness of stock prices: Do lucky CEOs improve stock price informativeness

Shortage function and portfolio selection: On some special cases and extensions

The value premium, aggregate risk innovations, and average stock returns

Ross Best Paper Award Winners

Overconfidence, risk perception and the risk-taking behavior of finance professionals

The cost of firms’ debt financing and the global financial crisis

Board directors’ preferences – What are good aggregation rules

Upfront versus rating contingent fees: Implications for rating quality

Gender Heterogeneity in the Sell-Side Analyst Recommendation Issuing Process

Are stock markets really so inefficient The case

of the Halloween Indicator

News sentiment and the investor fear gauge Lee A. Smales ⇑

Contagion effect on bond portfolio risk measures in a hybrid credit risk model

The relationship with REITs and bank loans: Capital structure perspectives

Investors’ aspirations and portfolio performance

Testing excess returns on event days: Log returns vs. dollar returns

GDP growth and the yield curvature

The Mills Ratio and the behavior of redeemable bond prices in the Gaussian structural model of corporate default

Optimal multi-period consumption and investment with short-sale constraints

On the investment–uncertainty relationship: A game theoretic real option approach

On the investment–uncertainty relationship

Country world betas: The link between the stock market beta and macroeconomic beta

Internal capital market studies in empirical banking: Biases due to usage of assets instead of risk capital

Estimation accuracy of high–low spread estimator

The zero-lower bound on interest rates: Myth or reality?

Operational risk and equity prices

The effect of corporate governance on CEO luck: Evidence from the Institutional Shareholder Services (ISS)

Insured uncovered interest parity

Dividend sensitivity to economic factors, stock valuation, and long-run risk

Performance hypothesis testing with the Sharpe ratio: The case of hedge funds

Development and Freedom as Risk Management

Histogram-based prediction of directional price relatives

Information risk and credit contagion

Optimal capital structure and the impact of time-to-build

Leverage vs. feedback: Which Effect drives the oil market?

Mean–variance dominant trading strategies

Ross Best Paper Award Winner

Asset pricing with skewed-normal return

Transfer of information by an informed trader

Composition of robust equity portfolios

The over-optimism of financial analysts and the long-run performance of firms following private placements of equity

Simulated testing of nonparametric measure changes for hedging European options

A value premium without operating leverage

Divergence in credit ratings

Superconvergence of the finite element solutions of the Black–Scholes equation

Assessing the profitability of intraday opening range breakout strategies

Time varying stock return predictability: Evidence from US sectors

A generalised arbitrage-free Nelson–Siegel model: The impact of unspanned stochastic volatility

The real effects of delisting: Evidence from a regression discontinuity design

The relationship between reciprocal currency futures prices

Spatial modeling of stock market comovements

GARCH processes with skewed and leptokurtic innovations: Revisiting the Johnson Su case

Hard assets: The returns on rare diamonds and gems

Empirical bias in intraday volatility measures

Auctions vs. negotiations in takeovers with initial stakes

Robust estimation of covariance and its application to portfolio optimization

Discrete time hedging with liquidity risk

Option pricing and ARCH processes

Can dual-currency sovereign CDS predict exchange rate returns?

Measuring economic uncertainty and its impact on the stock market

Barrier option pricing for exchange rates under the Levy–HJM processes

Ross Best Paper Award Winners

Discrete versus continuous time models: Local martingales and singular processes in asset pricing theory

Can ambiguity aversion solve the equity premium puzzle? Survey evidence from international data

Rational expectations equilibrium with transaction costs in financial markets

Some curious power properties of long-horizon tests

Butterfly effect: The US real estate market downturn and the Asian recession

Google Internet search activity and volatility prediction in the market for foreign currency

Risk aversion under preference uncertainty

Foreign exposure through domestic equities

Wealth dynamics and a bias toward momentum trading

Negotiating M&As under uncertainty: The influence of managerial flexibility on the first-mover advantage

Investor sentiment and stock returns: Wenchuan Earthquake

A jump-diffusion approach to modelling vulnerable option pricing

Housing prices and the optimal time-on-the-market decision

Insider rates versus outsider rates in lending

Corporate risk management and dividend signaling theory

Nonparametric estimation and testing of stochastic discount factor

Fast approximations of bond option prices under CKLS models

CAPM option pricing

Computing American option prices in the lognormal jump–diffusion framework with a Markov chain

Publisher’s Note

Measuring price discovery: The variance ratio, the R2 , and the weighted price contribution

Gold and the US dollar: Hedge or haven

Endogenous leverage and expected stock returns

Cross hedging single stock with American Depositary Receipt and stock index futures

The random-walk behavior of the Euro exchange rate

The random-walk behavior of the Euro exchange rate

Ross Best Paper Award Winners

A note on reward-risk portfolio selection and two-fund separation

Value at Risk and Expected Shortfall for large portfolios

Financial volatility forecasting with range-based autoregressive volatility model

Robust estimation of skewness and kurtosis in distributions with infinite higher moments

A note on operating leverage and expected rates of return

Ross Best Paper Award

A note on the predictability of excess bond returns and regime shifts

Credit market equilibrium theory and evidence: Revisiting the structural versus reduced form credit risk model debate

The critical stock price for the American put option

Extendible options: The general case

Testing the managerial timing ability: Evidence from stock repurchases in Japan

Optimal capital structure and investment options

Liquidity constraints and occupational choice

On European monetary integration and the persistence

Informed lending as a deterrent to predation

Investment commitment and the valuation

Does the weather affect stock market volatility

Robust general equilibrium under stochastic volatility model

Risk-shifting and investment asymmetry

Do tax benefits conferred to Sub-S banks affect their deposit or loan rates

Understanding the risk of leveraged ETFs

A random effects ordered probit model for rating migrations

Modeling the contemporaneous duration dependence for high-frequency stock prices

Fluctuation dynamics in US interest rates and the role of monetary policy

A note on wealth effect under CARA utility

Applying a factor copula to value basket credit linked notes with issuer default risk

Correcting microstructure comovement biases for integrated covariance

Does firm heterogeneity lead to differences in relative

executive compensation

Covariance forecasts and long-run correlations in a Markov-switching model for dynamic correlations

Some properties of subjective probabilities induced by optimal expectations

Redistribution, inequality, and growth: new evidence

The pricing kernel puzzle: survey and outlook

A nonparametric quantity-of-quality approach to assessing financial asset return performance

Bubbles, growth and imperfection of credit market in a two-country model

What determines the share of non-resident public debt ownership? Evidence from Euro Area countries

Modeling the inconsistency in intertemporal choice: the generalized Weibull discount function and its extension

Regulation, supervision and deposit insurance for financial cooperatives: an empirical investigation

Approximate option pricing and hedging in the CEV model via path-wise comparison of stochastic processes

Financial equilibrium with non-linear valuations

On the implied market price of risk under the stochastic numéraire

Asset market equilibrium with liquidity risk

Venture capital and underpricing: capacity constraints and early sales

Systemic risk in Europe: deciphering leading measures, common patterns and real effects

Barrier style contracts under Lévy processes once again

Business cycles, financial cycles and capital structure

Can VPIN forecast geopolitical events? Evidence from the 2014 Crimean Crisis

Counterparty risk, central counterparty clearing and aggregate risk

Analysis of variance based instruments for Ornstein–Uhlenbeck type models: swap and price index

Stock markets fragmentation, volatility and final investors

The dampening effect of iceberg orders on small traders’ welfare 

Systemic risk measures and macroprudential stress tests: an assessment over the 2014 EBA exercise

Investment, agency conflicts, debt maturity, and loan guarantees by negotiation

An empirical analysis of organized crime, corruption and economic growth

Quadratic minimization with portfolio and intertemporal wealth constraints

K-fold cross validation performance comparisons of six naive portfolio selection rules: how naive can you be and still have successful out-of-sample portfolio performance?

Novel advancements in the Markov chain stock model: analysis and inference

Financial market globalization, nonconvergence and credit cycles

Optimal mean-reverting spread trading: nonlinear integral equation approach

The determinants of MFIs’ social and financial performances in sub-Saharan Africa: has mission drift occurred?

A simple efficient approximation to price basket stock options with volatility smile

Banking competition and welfare

Does the Hurst index matter for option prices under fractional volatility?

Threat of termination and firm innovation

Portfolio selections under mean-variance preference with multiple priors for means and variances

Credit risk analysis with creditor’s option to extend maturities

Adapted hedging

Smooth investment

Intragroup transfers, intragroup diversification and their risk assessment

Impact of risk aversion and countervailing tax in oligopoly

Benchmark-based evaluation of portfolio performance: a characterization

Sequential payments and optimal pricing in payment systems

Relative asset price bubbles

Monetary policy games, financial instability and incomplete information

A nonparametric approach to measuring the sensitivity of an asset’s return to the market

How suboptimal are linear sharing rules?

Optimal capital structures for private firms

The St. Petersburg paradox and capital asset pricing

Variety expansion, preference shocks, and financial intermediaries

On the impact of macroeconomic news surprises on Treasury-bond returns

Saddlepoint approximations to option price in a regime-switching model

Risk premia in option markets

Robustness of equilibrium in the Kyle model of informed speculation

Credit risk and contagion via self-exciting default intensity

Optimization of relative arbitrage

Evidence on exercise pricing in CEO option grants in two countries

Diversity-weighted portfolios with negative parameter

Bounds for path-dependent options

Arbitrage in markets with bid-ask spreads The fundamental theorem of asset pricing in finite discrete time markets with bid-ask spreads and a money account

Financial innovation and risk: the role of information

Optimal investment in multidimensional Markov-modulated affine models

Capital distribution and portfolio performance in the mean-field Atlas model

Dynamic optimal capital structure with regime switching

Diversified minimum-variance portfolios

Quadratic minimization with portfolio and terminal wealth constraints

Variance matters (in stochastic dividend discount models)

Junior must pay: pricing the implicit put in privatizing Social Security*

On user costs of risky monetary assets*

Shaking the tree: an agency-theoretic model of asset pricing*

On the microstructure of price determination and information aggregation with sequential and asymmetric information arrival in an experimental asset market

A time series analysis of financial fragility in the UK banking system

Kyle v. Kyle (’85 v. ’89)

Stock options and capital structure

Risk measure pricing and hedging in incomplete markets

A characterization of the distributions that imply existence of linear equilibria in the Kyle-model

The implied liquidity premium for equities

Stochastic equilibria for economies under uncertainty with intertemporal substitution

Determinants of stock market volatility and risk premia

Relative arbitrage in volatility-stabilized markets

Parallel cartoons of fractal models of finance

The inescapable need for fractal tools in finance

A risk assessment model for banks

Corporate portfolio management

Analyst estimation revision clusters and corporate events, Part I

American options: the EPV pricing model

Completion time structures of stock price movements

Should short-term speculators be taxed, or subsidised?

Race to the top or bottom? Corporate governance, freedom of reincorporation and competition in law 

Analyst estimation revision clusters and corporate events, Part II

Informational asymmetries and a multiplier effect on price correlation and trading

Option pricing and Esscher transform under regime switching

The non-neutrality of debt in investment timing: a new NPV rule

Do lack of transparency and enforcement undermine international risk-sharing

Convertibility risk: the precautionary demand for foreign currency in a crisis

The modified mixture of distributions model: a revisit

A semi-analytic method for valuing high-dimensional options on the maximum and minimum of multiple assets

Consistency conditions for affine term structure models 

Hedging decisions with price and output uncertainty

The discounted economic stock of money with VAR forecasting

How does competition affect real earnings management to meet or beat targets? Evidence from import tariff reductions

Benchmarking in two price financial markets

The skewness risk premium in equilibrium and stock return predictability

Preparation of stable and high-efficient poly(m-phenylenediamine)/reduced graphene oxide composites for hexavalent chromium removal

Magnetic semiconducting and strain-induced semiconducting–metallic transition in Cu-doped single-layer WSe2

Finite element analysis of biological soft tissue surrounded by a deformable membrane that controls transmembrane flow

A novel hydrophobic adsorbent of electrospun SiO2@MUF/PAN nanofibrous membrane and its adsorption behaviour for oil and organic solvents

Mothers’ and Fathers’ Worry and Over-Control: One Step Closer to Understanding Early Adolescent Social Anxiety

Roe C∗C∗-algebra for groupoids and generalized Lichnerowicz vanishing theorem for foliated manifolds

Effects of GeO2 on chlorophyll fluorescence and antioxidant enzymes in apple leaves under strong light

Global-in-time existence results for the two-dimensional Hasegawa–Wakatani equations

Criteria for correct solvability of a general Sturm–Liouville equation in the space L1(R)

EDAS Method for Extended Hesitant Fuzzy Linguistic Multi-criteria Decision Making

Wavelet based periodical analysis of the precipitation data of the Mediterranean Region and its relation to atmospheric indices

Stochastic variational hierarchical mixture of sparse Gaussian processes for regression

Electro-thermal RF modeling and performance analysis of graphene nanoribbon interconnects

Identification of essential parameters for post graduate students’ job placement in computer applications in India

Analysis of rain fall and the temperature of Coimbatore District using land use and land cover change detection by image segmentation

Homotopy algebras of differential (super)forms in three and four dimensions

A geometric approach to orthogonal Higgs bundles

The Influence of Trauma on Autobiographical Memory in the Assessment of Somatoform Disorders According to DSM IV Criteria

Robust rendezvous for multi-robot system with random node failures: an optimization approach

Influence of Moringa (Moringa oleifera) leaf extracts on the antioxidant and angiotensin-1 converting enzyme inhibitory properties of lisinopril

Trace determination of Ag(I) after reduction to Ag nanoparticles and sol–gel entrapment by alginic acid hydrogel

Formulation and Evaluation of Matrix Type Transdermal Patch Containing Silver Nanoparticles

A Law of the Iterated Logarithm for Directed Last Passage Percolation

Effect of preparation conditions of benzene bridged Ti incorporated periodic mesoporous organosilicas on selectivity improvement of cyclohexene epoxidation

A contact force model considering constant external forces for impact analysis in multibody dynamics

The local well-posedness in Besov spaces and non-uniform dependence on initial data for the interacting system of Camassa–Holm and Degasperis–Procesi equations

Comparison of Efficacy of Halstead, Vazirani Akinosi and Gow Gates Techniques for Mandibular Anesthesia

Our gratitude and congratulations to our guest editor Julian Eaton-Rye and thanks to all the 167 contributors to the special issue honoring professor Govindjee

A novel chaotic image cryptosystem based on DNA sequence operations and single neuron model

The complete mitochondrial genome of the blue king crab, Paralithodes platypus (Decapoda: Lithodidae)

Characterization of the complete mitochondrial genome sequence of Artamus cinereus (Passeriformes: Artamidae)

Effective Mass of Radion via GW Mechanism with a Non-Minimally Coupled Bulk Scalar Field

An Improved Method of Preparing High Efficiency Transformation Escherichia coli with Both Plasmids and Larger DNA Fragments

Numerical analysis of the hydrofracturing behaviours and mechanisms of heterogeneous reservoir rock using the continuum-based discrete element method considering pre-existing fractures

An integrative approach toward biosensing and bioremediation of metals and metalloids

A remark on fractional type multiple weight classes and its application

Inference of Autoregressive Model with Stochastic Exogenous Variable Under Short-Tailed Symmetric Distributions

Assessment of Chronic Illness-Related Cognitive Fusion: Preliminary Development and Validation of a New Scale with an IBD Sample

Entropy for Hesitant Fuzzy Sets Based on Hausdorff Metric with Construction of Hesitant Fuzzy TOPSIS

Application of self-collimated beams in realizing all-optical photonic crystal-based half-adder

Think ahead before you regulate: A focus on future consequences predicts choices of and beliefs about strategies for the down-regulation of negative emotions

Aircraft Measurement of Chemical Characteristics of PM2.5 over the Yangtze River Area in China

CT-guided transforaminal epidural steroid injections: do needle position and degree of foraminal stenosis affect the pattern of epidural flow?

The Probability That All Eigenvalues are Real for Products of Truncated Real Orthogonal Random Matrices

Free Radical Scavenging Activities and Nutritional Value of Lagenaria siceraria: A Nutriment Creeper

A fast GPU-based hybrid algorithm for addition chains

Abstracts from the 2017 Society of General Internal Medicine Annual Meeting

THE “NUTS AND BOLTS” OF BEHAVIORAL INTERVENTION DEVELOPMENT: STUDY DESIGNS, METHODS AND FUNDING OPPORTUNITIES

Abstracts from the 37th Congress of the Société Internationale d’Urologie, Centro de Congressos de Lisboa, October 19-22, 2017

42 Annual Congress of AOMSI Nagpur 16–18 Nov 2017

Special issue on economic analysis of law, politics, and regions

Asymmetric effects of exchange rate changes on the Malaysia-EU trade: evidence from industry data

Reply to “Association of HLA-B27 and its subtypes with ankylosing spondylitis and clinical manifestations of ankylosing spondylitis in different HLA-B27 subtypes: comment on the article by Lin et al.”

A marketing perspective on business models

Diagnostic power of diffusion-weighted magnetic resonance imaging for the presence of lymph node metastasis: A meta-analysis

Numerical modeling of technological stresses in crystallizing viscoelastic polymer

Association of ADIPOQ and ADIPOR variants with risk of colorectal cancer: A meta-analysis

On the Persistence of Stereotypes Concerning the Marine Ecology of Pacific Salmon (Oncorhynchus spp.)

RTRS: a recommender system for academic researchers

Going Beyond Proclamation: Implementing Free Speech Principles

Patient and Caregiver Adjustment to Hematopoietic Stem Cell Transplantation: a Systematic Review of Dyad-Based Studies

Academic impact evaluation of Wechat in view of social media perspective

On some classes of inverse problems of recovering a source function

Critical review of brain AVM surgery, surgical results and natural history in 2017

2017 Colorado alphaherpesvirus latency society symposium

2017 Position Paper of the Italian Society for Cardiovascular Prevention (SIPREC) for an Updated Clinical Management of Hypercholesterolemia and Cardiovascular Risk: Executive Document

ISSLS PRIZE IN CLINICAL SCIENCE 2017: Is infection the possible initiator of disc disease? An insight from proteomic analysis

Cameron’s information disaster in the referendum of 2016: an exit from Brexit?

Permanents of multidimensional matrices: Properties and applications

The political dimension of “linking social capital”: current analytical practices and the case for recalibration

Disciplinary differences of software use and impact in scientific literature

Supply chain management in emerging economies

Microsoft Academic (Search): a Phoenix arisen from the ashes?

The principles of the design of the state scientometric system

Electron microscopy methods in studies of cultural heritage sites

The Michel Benoist and Robert Mulholland yearly European spine journal review: a survey of the “surgical and research” articles in the European spine journal, 2015

Healthy Living: The European Congress of Epidemiology, 2015

Analysis of the microbial risk assessment studies from 1973 to 2015: a bibliometric case study

JAMS 2010–2015: literature themes and intellectual structure

State responsibility for illegal, unreported and unrelated fishing and sustainable fisheries in the EEZ: some reflections on the ITLOS Advisory Opinion of 2015

Erratum to: Turned trochoidal disturbance on a liquid jet surface

Homogeneous spherically symmetric bodies with a non-minimal coupling between curvature and matter: the choice of the Lagrangian density for matter

A statistical study of satellite traces and evolution of equatorial spread F

ExpaRNA-P: simultaneous exact pattern matching and folding of RNAs

PD_NGSAtlas: a reference database combining next-generation sequencing epigenomic and transcriptomic data for psychiatric disorders

Mitigation of infectious disease at school: targeted class closure vs school closure

Infection and colonization by Stenotrophomonas maltophilia: antimicrobial susceptibility and clinical background of strains isolated at a tertiary care centre in Hungary

Topical antibiotics as a major contextual hazard toward bacteremia within selective digestive decontamination studies: a meta-analysis

Mandatory costs by firm size thresholds: firm location, growth and death in Sri Lanka

Comparative analyses of proteins from Haemophilus influenzae biofilm and planktonic populations using metabolic labeling and mass spectrometry

Simplifying cardiovascular magnetic resonance pulse sequence terminology

Systemic effect of catumaxomab in a patient with metastasized colorectal cancer: a case report

Direct patterning of probe proteins on an antifouling PLL-g-dextran coating for reducing the background signal of fluorescent immunoassays

Functional basis of ecological divergence in sympatric stickleback

Mammary inflammation around parturition appeared to be attenuated by consumption of fish oil rich in n-3 polyunsaturated fatty acids

Veterans Affairs databases are accurate for gout-related health care utilization: a validation study

Faith matters? A closer look at the performance of belief-based equity investments

Wealth portfolios and elite professional athletes

Considerations of a gold-denominated life insurance policy

Value chain capability, value strategies and firm default risk

Factor attribution that adds up

Does the law of one price apply to dually listed ETFs belonging to the same family? Evidence from iShares

Performance Regularity: A New Class of Executive Compensation Packages

Supply chain risk management – I: Conceptualization, framework and planning process

Are performance measures equally stable?

(S,s)-adjustment Strategies and Hedging under Markovian Dynamics

Issues in the African Banking Context

Rising to the challenge: A model of contest performance

The implications of the FTC's clear and conspicuous standards for the communication of credit card information to young consumers

Properties of a Risk Measure Derived from Ruin Theory

When the going gets tough, ads become straightforward but multi-appealed: The influence of the recession on financial services advertising appeals

Suboptimal segmentation: Assessing the use of demographics in financial services advertising

The interaction of switching and lead-lag effects in equity markets

Preparation of stable and high-efficient poly(m-phenylenediamine)/reduced graphene oxide composites for hexavalent chromium removal

Magnetic semiconducting and strain-induced semiconducting–metallic transition in Cu-doped single-layer WSe2

Finite element analysis of biological soft tissue surrounded by a deformable membrane that controls transmembrane flow

A novel hydrophobic adsorbent of electrospun SiO2@MUF/PAN nanofibrous membrane and its adsorption behaviour for oil and organic solvents

Mothers’ and Fathers’ Worry and Over-Control: One Step Closer to Understanding Early Adolescent Social Anxiety

Roe C∗C∗-algebra for groupoids and generalized Lichnerowicz vanishing theorem for foliated manifolds

Effects of GeO2 on chlorophyll fluorescence and antioxidant enzymes in apple leaves under strong light

Global-in-time existence results for the two-dimensional Hasegawa–Wakatani equations

Criteria for correct solvability of a general Sturm–Liouville equation in the space L1(R)

EDAS Method for Extended Hesitant Fuzzy Linguistic Multi-criteria Decision Making

Wavelet based periodical analysis of the precipitation data of the Mediterranean Region and its relation to atmospheric indices

Stochastic variational hierarchical mixture of sparse Gaussian processes for regression

Electro-thermal RF modeling and performance analysis of graphene nanoribbon interconnects

Identification of essential parameters for post graduate students’ job placement in computer applications in India

Analysis of rain fall and the temperature of Coimbatore District using land use and land cover change detection by image segmentation

Homotopy algebras of differential (super)forms in three and four dimensions

A geometric approach to orthogonal Higgs bundles

The Influence of Trauma on Autobiographical Memory in the Assessment of Somatoform Disorders According to DSM IV Criteria

Robust rendezvous for multi-robot system with random node failures: an optimization approach

Influence of Moringa (Moringa oleifera) leaf extracts on the antioxidant and angiotensin-1 converting enzyme inhibitory properties of lisinopril

Trace determination of Ag(I) after reduction to Ag nanoparticles and sol–gel entrapment by alginic acid hydrogel

Formulation and Evaluation of Matrix Type Transdermal Patch Containing Silver Nanoparticles

A Law of the Iterated Logarithm for Directed Last Passage Percolation

Effect of preparation conditions of benzene bridged Ti incorporated periodic mesoporous organosilicas on selectivity improvement of cyclohexene epoxidation

A contact force model considering constant external forces for impact analysis in multibody dynamics

The local well-posedness in Besov spaces and non-uniform dependence on initial data for the interacting system of Camassa–Holm and Degasperis–Procesi equations

Comparison of Efficacy of Halstead, Vazirani Akinosi and Gow Gates Techniques for Mandibular Anesthesia

Our gratitude and congratulations to our guest editor Julian Eaton-Rye and thanks to all the 167 contributors to the special issue honoring professor Govindjee

A novel chaotic image cryptosystem based on DNA sequence operations and single neuron model

The complete mitochondrial genome of the blue king crab, Paralithodes platypus (Decapoda: Lithodidae)

Characterization of the complete mitochondrial genome sequence of Artamus cinereus (Passeriformes: Artamidae)

Effective Mass of Radion via GW Mechanism with a Non-Minimally Coupled Bulk Scalar Field

An Improved Method of Preparing High Efficiency Transformation Escherichia coli with Both Plasmids and Larger DNA Fragments

Numerical analysis of the hydrofracturing behaviours and mechanisms of heterogeneous reservoir rock using the continuum-based discrete element method considering pre-existing fractures

An integrative approach toward biosensing and bioremediation of metals and metalloids

A remark on fractional type multiple weight classes and its application

Inference of Autoregressive Model with Stochastic Exogenous Variable Under Short-Tailed Symmetric Distributions

Assessment of Chronic Illness-Related Cognitive Fusion: Preliminary Development and Validation of a New Scale with an IBD Sample

Entropy for Hesitant Fuzzy Sets Based on Hausdorff Metric with Construction of Hesitant Fuzzy TOPSIS

Application of self-collimated beams in realizing all-optical photonic crystal-based half-adder

Think ahead before you regulate: A focus on future consequences predicts choices of and beliefs about strategies for the down-regulation of negative emotions

Aircraft Measurement of Chemical Characteristics of PM2.5 over the Yangtze River Area in China

CT-guided transforaminal epidural steroid injections: do needle position and degree of foraminal stenosis affect the pattern of epidural flow?

The Probability That All Eigenvalues are Real for Products of Truncated Real Orthogonal Random Matrices

Free Radical Scavenging Activities and Nutritional Value of Lagenaria siceraria: A Nutriment Creeper

A fast GPU-based hybrid algorithm for addition chains

Abstracts from the 2017 Society of General Internal Medicine Annual Meeting

THE “NUTS AND BOLTS” OF BEHAVIORAL INTERVENTION DEVELOPMENT: STUDY DESIGNS, METHODS AND FUNDING OPPORTUNITIES

Abstracts from the 37th Congress of the Société Internationale d’Urologie, Centro de Congressos de Lisboa, October 19-22, 2017

42 Annual Congress of AOMSI Nagpur 16–18 Nov 2017

Special issue on economic analysis of law, politics, and regions

Asymmetric effects of exchange rate changes on the Malaysia-EU trade: evidence from industry data

Reply to “Association of HLA-B27 and its subtypes with ankylosing spondylitis and clinical manifestations of ankylosing spondylitis in different HLA-B27 subtypes: comment on the article by Lin et al.”

A marketing perspective on business models

Diagnostic power of diffusion-weighted magnetic resonance imaging for the presence of lymph node metastasis: A meta-analysis

Numerical modeling of technological stresses in crystallizing viscoelastic polymer

Association of ADIPOQ and ADIPOR variants with risk of colorectal cancer: A meta-analysis

On the Persistence of Stereotypes Concerning the Marine Ecology of Pacific Salmon (Oncorhynchus spp.)

RTRS: a recommender system for academic researchers

Going Beyond Proclamation: Implementing Free Speech Principles

Patient and Caregiver Adjustment to Hematopoietic Stem Cell Transplantation: a Systematic Review of Dyad-Based Studies

Academic impact evaluation of Wechat in view of social media perspective

On some classes of inverse problems of recovering a source function

Critical review of brain AVM surgery, surgical results and natural history in 2017

2017 Colorado alphaherpesvirus latency society symposium

2017 Position Paper of the Italian Society for Cardiovascular Prevention (SIPREC) for an Updated Clinical Management of Hypercholesterolemia and Cardiovascular Risk: Executive Document

ISSLS PRIZE IN CLINICAL SCIENCE 2017: Is infection the possible initiator of disc disease? An insight from proteomic analysis

Cameron’s information disaster in the referendum of 2016: an exit from Brexit?

Permanents of multidimensional matrices: Properties and applications

The political dimension of “linking social capital”: current analytical practices and the case for recalibration

Disciplinary differences of software use and impact in scientific literature

Supply chain management in emerging economies

Microsoft Academic (Search): a Phoenix arisen from the ashes?

The principles of the design of the state scientometric system

Electron microscopy methods in studies of cultural heritage sites

The Michel Benoist and Robert Mulholland yearly European spine journal review: a survey of the “surgical and research” articles in the European spine journal, 2015

Healthy Living: The European Congress of Epidemiology, 2015

Analysis of the microbial risk assessment studies from 1973 to 2015: a bibliometric case study

JAMS 2010–2015: literature themes and intellectual structure

State responsibility for illegal, unreported and unrelated fishing and sustainable fisheries in the EEZ: some reflections on the ITLOS Advisory Opinion of 2015

Erratum to: Turned trochoidal disturbance on a liquid jet surface

Homogeneous spherically symmetric bodies with a non-minimal coupling between curvature and matter: the choice of the Lagrangian density for matter

A statistical study of satellite traces and evolution of equatorial spread F

ExpaRNA-P: simultaneous exact pattern matching and folding of RNAs

PD_NGSAtlas: a reference database combining next-generation sequencing epigenomic and transcriptomic data for psychiatric disorders

Mitigation of infectious disease at school: targeted class closure vs school closure

Infection and colonization by Stenotrophomonas maltophilia: antimicrobial susceptibility and clinical background of strains isolated at a tertiary care centre in Hungary

Topical antibiotics as a major contextual hazard toward bacteremia within selective digestive decontamination studies: a meta-analysis

Mandatory costs by firm size thresholds: firm location, growth and death in Sri Lanka

Comparative analyses of proteins from Haemophilus influenzae biofilm and planktonic populations using metabolic labeling and mass spectrometry

Simplifying cardiovascular magnetic resonance pulse sequence terminology

Systemic effect of catumaxomab in a patient with metastasized colorectal cancer: a case report

Direct patterning of probe proteins on an antifouling PLL-g-dextran coating for reducing the background signal of fluorescent immunoassays

Functional basis of ecological divergence in sympatric stickleback

Mammary inflammation around parturition appeared to be attenuated by consumption of fish oil rich in n-3 polyunsaturated fatty acids

Veterans Affairs databases are accurate for gout-related health care utilization: a validation study

Faith matters? A closer look at the performance of belief-based equity investments

Wealth portfolios and elite professional athletes

Considerations of a gold-denominated life insurance policy

Value chain capability, value strategies and firm default risk

Factor attribution that adds up

Does the law of one price apply to dually listed ETFs belonging to the same family? Evidence from iShares

Performance Regularity: A New Class of Executive Compensation Packages

Supply chain risk management – I: Conceptualization, framework and planning process

Are performance measures equally stable?

(S,s)-adjustment Strategies and Hedging under Markovian Dynamics

Issues in the African Banking Context

Rising to the challenge: A model of contest performance

The implications of the FTC's clear and conspicuous standards for the communication of credit card information to young consumers

Properties of a Risk Measure Derived from Ruin Theory

When the going gets tough, ads become straightforward but multi-appealed: The influence of the recession on financial services advertising appeals

Suboptimal segmentation: Assessing the use of demographics in financial services advertising

The interaction of switching and lead-lag effects in equity markets

Issue Information

Investment and Exit under Uncertainty with Utility from Anticipation

Analysts' Strategic Distortion during IPO Waves

Taxes, Order Imbalance and Abnormal Returns around the ex‐Dividend day

Public News Arrival and Cross‐Asset Correlation Breakdown

Political Affiliation and Pay Slice: Do Blue CEOs Accept Less Green?

Quantitative Easing and Liquidity in the Japanese Government Bond Market

Did Firms Manage Earnings more Aggressively during the Financial Crisis?

Wealth‐to‐Income Ratio and Stock Market Movements: Evidence from a Nonparametric Causality Test

How do Independent Directors Influence Corporate Risk‐Taking? Evidence from a Quasi‐Natural Experiment

The Role of Independent Expert Reports in Australian M&A Market

Determinants of Interest Rates on Time Deposits and Savings Accounts: Macro Factors, Bank Risk, and Account Features

Selection Bias and the Underwriter Certification of the Largest Shareholders in Seasoned Equity Offerings

Subjective Probability Density Functions from FX Option Prices: Predictive Power and Performance on a Carry Trade Strategy

Misreporting, Optimal Incentives, and Auditing

Foreign Ownership and Corporate Cash Holdings in Emerging Markets

How is the Taylor Rule Distributed under Endogenous Monetary Regimes?

Revisiting the Profitability of Market Timing with Moving Averages

The Dynamics of Currency, Savings, and Investment Rates

CEO's Total Wealth Characteristics and Implications on Firm Risk

Did Investors Herd during the Financial Crisis? Evidence from the US Financial Industry

Hedge Fund Styles and their Contagion from the Equity Market

Dividend Policy and Informativeness of Reported Earnings: Evidence from the MENA Region

Explaining Anomalies in Australia with a Five‐factor Asset Pricing Model

Does the Fama and French Five‐Factor Model Work Well in Japan?

High‐Frequency Positive Feedback Trading and Market Quality: Evidence from China's Stock Market

Exchange Traded Funds and Stock Market Volatility

Factor Exposures of Foreign Equity Capital in a Domestic Stock Market: Evidence from Korea

Pitfalls of Downside Performance Measures with Arbitrary Targets

The Price of Being a Systemically Important Financial Institution (SIFI)

Asymmetric Relationship between Investors' Sentiment and Stock Returns: Evidence from a Quantile Non‐causality Test

Regional Financial Developments and Research and Development Investment–Cash Flow Sensitivity: Evidence on Chinese Public High‐Tech Companies

Market Risk Disclosures and Board Gender Diversity in Gulf Cooperation Council (GCC) Firms

Are Gold and Government Bond Safe‐Haven Assets? An Extremal Quantile Regression Analysis

Market Excess Returns, Variance and the Third Cumulant

Unveiling Contemporaneous Relations Between Jump Risk and Cross Section of Stock Returns

The Co‐Movement of Credit Default Swap Spreads, Equity Returns and Volatility: Evidence from Asia‐Pacific Markets

Moral Hazard, Agency Cost, and Firm Growth

Does Independent Industry Expertise Improve Board Effectiveness? Evidence From Bank CEO Turnovers

Do Countries Matter More in Determining the Relationship Between Employee Welfare and Financial Performance?

Credit Cards: Transactional Convenience or Debt‐Trap?

Bank Work Experience Versus Political Connections: Which Matters for Bank Loan Financing?

Financial Statement Comparability and Idiosyncratic Return Volatility

Put Your Money Where Your Mouth Is: A Model of Certification with Informed Finance

Are Bank Mergers Good News for Shareholders? The Effect of Bank Mergers on Shareholder Value in Japan

Decoupling and Contagion: The Special Case of the Eurozone Sovereign Debt Crisis

Does Policy Instability Matter for International Equity Markets?

Does Geographic Proximity Change the Passiveness of Equity Ownership by Bank Trust?

Wealth Effects of Seasoned Equity Offerings: A Meta‐Analysis

Factors Associated with Strategic Corporate Decisions in Family Firms: Evidence from Sweden

Cross‐Country Variability in Cost of Raising Equity: Evidence from Seasoned Equity Offerings

Saddled with Attention: Overreaction to Bankruptcy Filings

Predicting Default More Accurately: To Proxy or Not to Proxy for Default?

Investor Myopia and CEO Turnover

Market Quality around Macroeconomic News Announcements: Evidence from the US and Canadian Markets

Media Coverage and the Cross‐Section of Stock Returns: The Chinese Evidence

The Changing Role of Financial Stress, Oil Price, and Gold Price in Financial Contagion among US and BRIC Markets

Can Mutual Fund Investors Distinguish Good from Bad Managers?

Carry Trade Returns with Support Vector Machines

Money Following Trust: Evidence from China’s High‐Value Payment System

Institutional Ownership and Private Equity Placements: Evidence from Chinese Listed Firms

Negativity Bias in Attention Allocation: Retail Investors’ Reaction to Stock Returns

Decentralization and Firm Investments: Evidence from China

An Exact Test of the Improvement of the Minimum Variance Portfolio

Fama–French in China: Size and Value Factors in Chinese Stock Returns

Capital Regulation, Bailout and Banking Asset Correlation

Estimating the Cost‐of‐Equity Capital Using Empirical Asset Pricing Models

Boom‐Baby CEOs, Career Experience, and Risk Taking: A Natural Experiment Using Chinese CEOs’ Growth Paths

The Best of Times, the Worst of Times: Testing which Behavioral Biases Affect Analyst Forecasts

What Drives Interregional Bank Branch Closure? The Case of Japan's Regional Banks in the Post‐Deregulation Period

The Impact of Firm‐Level Illiquidity on Crash Risk and the Role of Media Independence: International Evidence

Does High Stock Return Synchronicity Indicate High or Low Price Informativeness? Evidence from a Regulatory Experiment

Public News Arrival and Cross‐Asset Correlation Breakdown

Taxes, Order Imbalance and Abnormal Returns around the ex‐Dividend day

Subjective Probability Density Functions from FX Option Prices: Predictive Power and Performance on a Carry Trade Strategy

Investment and Exit under Uncertainty with Utility from Anticipation

Analysts' Strategic Distortion during IPO Waves

Determinants of Interest Rates on Time Deposits and Savings Accounts: Macro Factors, Bank Risk, and Account Features

Selection Bias and the Underwriter Certification of the Largest Shareholders in Seasoned Equity Offerings

Hedge Fund Styles and their Contagion from the Equity Market

Wealth‐to‐Income Ratio and Stock Market Movements: Evidence from a Nonparametric Causality Test

The Role of Independent Expert Reports in Australian M&A Market

Pitfalls of Downside Performance Measures with Arbitrary Targets

CEO's Total Wealth Characteristics and Implications on Firm Risk

The Dynamics of Currency, Savings, and Investment Rates

Issue Information

Quantitative Easing and Liquidity in the Japanese Government Bond Market

Foreign Ownership and Corporate Cash Holdings in Emerging Markets

Factor Exposures of Foreign Equity Capital in a Domestic Stock Market: Evidence from Korea

Exchange Traded Funds and Stock Market Volatility

Corporate Hedging and the High Idiosyncratic Volatility Low Return Puzzle

Corporate Hedging and the High Idiosyncratic Volatility Low Return Puzzle

Duration Dependence, Behavioral Restrictions, and the Market Timing Ability of Commodity Trading Advisors

The Price of Being a Systemically Important Financial Institution (SIFI)

National Culture and Default on Mortgages

Timing the Market with a Combination of Moving Averages

The Value Added by Trading Based on Valuation Criteria

Time‐Varying Linkage of Possible Safe Haven Assets: A Cross‐Market and Cross‐asset Analysis

Variation in Corporate Governance and Firm Valuation – an International Study

The Valuation Model for a Risky Asset When Its Risky Factors Follow Gamma Distributions

Do Top 10 Lists of Daily Stock Returns Attract Investor Attention? Evidence from a Natural Experiment

Issue Information

The Impact of Tax Rebate on Used Car Market: Evidence from Thailand

Extreme Dependence under Uncertainty: an application to Stock, Currency and Oil Markets

The Valuation Model for a Risky Asset When Its Risky Factors Follow Gamma Distributions

The Analysis of 52‐Week High Investing Strategy Based on Herding Behavior

How has the Relevance of Institutional Brokerage Changed?

A Simplified Quadrature Approach for Computing Bermudan Option Prices

A Combination Rule for Portfolio Selection with Transaction Costs

How Does Corporate Governance Affect Loan Collateral? Evidence from Chinese SOEs and Non‐SOEs

Issue information ‐ TOC

FX Market Returns and Their Relationship to Investor Fear

Why do Firms Purchase Used Assets?

Stock Market Liquidity and Firm Value: An Empirical Examination of the Australian Market

Brand Firm Performance and Tough Economic Times

Counter‐Credit‐Risk Yield Spreads: A Puzzle in China's Corporate Bond Market

Issue information ‐ TOC

The Effect of Diversification on Tail Risk: Evidence from US Equity Mutual Fund Portfolios

Does Bank Diversification Improve Output Growth? Evidence from the Recent Global Crisis

The Pricing of Catastrophe Equity Put Options with Default Risk

Contingent Capital, Real Options, and Agency Costs

Systematic Risk in Conventional and Islamic Equity Markets

Statistical Arbitrage with Pairs Trading

A Bargaining Model of Friendly and Hostile Takeovers

Capital Flight and Bitcoin Regulation

The Influences of Major Currencies in Foreign Exchange Markets: A Regression‐Based Measure and Its Application

Responsible Personal Finance: The Role of Conscientiousness in Bank and Pension Savings in Chile

The Effect of 2008 Crisis on the Volatility Spillovers among Six Major Markets

Disclosure of Downside Risk and Investors' Use of Qualitative Information: Evidence from the IPO Prospectus's Risk Factor Section

Managerial Talent and Corporate Social Responsibility (CSR): How Do Talented Managers View Corporate Social Responsibility?

Information Asymmetry and Quarterly Disclosure Decisions by Firms: Evidence From the Tokyo Stock Exchange

Price and Earnings Momentum, Transaction Costs, and an Innovative Practitioner Technique

Momentum Strategies and Investor Sentiment in the REIT Market

Why Do Firms in Customer–Supplier Relationships Hold More Cash?

Bidder's Gain: Evidence from Termination Returns

Convertible Debt: Financing Decisions and Voluntary Conversion under Ambiguity

The Canadian Hedge Fund Industry: Performance and Market Timing

Stock Market's Response to Real Output Shocks: Connection Restored but Delayed

Managerial Sharing, Mutual Fund Connections, and Performance

Predicting Interest Rate Volatility Using Information on the Yield Curve

The Global Financial Crisis and Its Impact on Australian Bank Risk

How Does the Largest Shareholder Affect Dividends?

The Interaction of Post‐Acquisition Integration and Acquisition Focus in Relation to Long‐Run Performance

When Is a Firm's Information Asymmetry Priced? The Role of Institutional Investors

Sovereign Ratings and Oil‐Exporting Countries: The Effect of High Oil Prices on Ratings

Off‐Market Buybacks in Australia: Evidence of Abnormal Trading around Key Dates

Corporate Governance and the Cost of Capital: An International Study

Good News and Bad News about Firm‐Level Stock Returns of Internationally Exposed Firms

The Causes and Consequences of Accelerated Stock Repurchases

Portfolio Quality and Mutual Fund Performance

The Market Timing Power of Moving Averages: Evidence from US REITs and REIT Indexes

Foreign Ownership Restriction and Momentum – Evidence from Emerging Markets

Frequency and Motives for Stock Dividends in a Unique Environment

A Quiet Revolution in Corporate Governance: An Examination of Voluntary Best Practice Governance Policies

Is Firm‐specific Return Variation a Measure of Information Efficiency?

Aggregate Australian Takeovers: A Review of Markov Regime Switching Models

The Effects of Ownership Structure on Corporate Financing Decisions: Evidence from Stock Market Liberalization

Bailouts, Monitoring, and Penalties: An Integrated Framework of Government Policies to Manage the Too‐Big‐to‐Fail Problem

Corporate Governance and the CEO Pay–Performance Link: Australian Evidence

The Relation between Physical and Risk‐neutral Cumulants

Call for Papers

Two‐Factor Decomposition Analysis for Correlation between Mainland China and Hong Kong Stock Markets

Do Financial Reforms Improve the Performance of Financial Holding Companies? The Case of Taiwan

Managerial Overconfidence and Share Repurchases

Share Repurchase Reasons and the Market Reaction to Actual Share Repurchases: Evidence from Australia

Industry Merger Intensity and Cost of Capital

Two Sides of a Coin: Endogenous and Exogenous Effects of Corporate Diversification on Firm Value

Regulatory Pressure and Bank Directors’ Incentives to Attend Board Meetings

A Trust Crisis

Is Pay a Matter of Values?

Governance and the Financial Crisis

Decomposing the Income Insurance Channel across OECD and Emerging Markets

Consequences of Riding Takeover Waves: Australian Evidence

Stock Price Informativeness and Corporate Governance: An International Study

Executive Stock Options and Manipulated Stock‐Price Performance

Time‐Varying Spillover Effects on Sectoral Equity Returns

Executive Pay and Performance: Did Bankers’ Bonuses Cause the Crisis?

Trading Mechanisms and Market Quality: Call Markets versus Continuous Auction Markets

The Effects of Market Makers and Stock Analysts in Emerging Markets

What Influences Trader Choice of Electronic versus Intermediated Execution?

Does the Quality of Corporate Governance Affect Firm Valuation and Risk? Evidence from a Corporate Governance Scorecard in Hong Kong

Managerial Performance and Closed‐End Country Fund Premiums: A Lead or Lag Relationship?

Foreign Investors' Reaction to Lower Profitability – The Role of Information Asymmetry

On the Behavior and Determinants of Risk‐Based Capital Ratios: Revisiting the Evidence from UK Banking Institutions

The Value of Imputation Tax Credits on Australian Hybrid Securities

The Role of Executive Stock Options in On‐Market Share Buybacks

Corporate Disclosures: Strategic Donation of Information

Equity Options and Underlying Stocks' Behavior: Further Evidence from Japan

Downturn Credit Portfolio Risk, Regulatory Capital and Prudential Incentives

Cross‐Border Exposures and Financial Contagion

Common Divisors, Payout Persistence, and Return Predictability

Corporate Diversification and Firm Value: Evidence from Post‐1997 Data

Switching Between the Banking and Metals and Mining Sectors of Australia

Market Price of Risk: A Comparison among the United States, United Kingdom, Australia and Japan

Banking Reforms for the 21st Century: A Perfectly Stable Banking System Based on Financial Innovations

Estimation Uncertainty and the Equity Premium

Common Risk Factors Versus a Mispricing Factor of Tokyo Stock Exchange Firms: Inquiries into the Fundamental Value Derived from Analyst Earnings Forecasts

Effect of Price Limits: Initial Public Offerings versus Seasoned Equities

Does the More Risk‐Averse Investor hold a Less Risky Portfolio?

Short Rate Dynamics and Regime Shifts

MEAN-VARIANCE vs. STOCHASTIC DOMINANCE 

AN ANALYTIC DERIVATION OF THE COST OF DEPOSIT INSURANCE AND LOAN GUARANTEES 

AN OPTION MODEL APPROACH TO FIRM LIQUIDITY MANAGEMENT

JOURNAL OF BANKING AND FINANCE 

COMMERCIAL BANK BALANCE SHEET 

A new model to identify bankruptcy risk of corporations 

THE IMPACT OF DESIGNATED MARKET MAKERS ON SECURITY PRICES 

RECENT DEVELOPMENTS IN FINANCE 

ON THE INDEPENDENCE OF TRANSACTIONS ON THE NEW YORK STOCK EXCHANGE 

A RELAXATION ALGORITHM FOR BUILDING UNDOMINATED PORTFOLIOS 

THE BEHAVIOR OF EQUITY SECURITIES ON THE GERMAN STOCK EXCHANGE 

MODEL SIMULATIONS OF THE IMPACT OF SELECTIVE CREDIT POLICIES AND FINANCIAL REFORMS 

CAPITAL ADEQUACY AND THE REGULATION OF FINANCIAL INTERMEDIARIES 

EUROPEAN TAX SYSTEMS AND THE NEUTRALITY OF CORPORATE FINANCING POLICY 

ESTIMATING THE PROBABILITY OF FAILURE FOR COMMERCIAL BANKS AND THE BANKING SYSTEM 

EARLY WARNING OF BANK FAILURE 

FINANCIAL INNOVATION 

THE INFLUENCE OF RESERVE REGULATION AND CAPITAL ON OPTIMAL BANK ASSET MANAGEMENT 

The Maximum Lq-Likelihood Method: An Application to Extreme Quantile Estimation in Finance

EU Financial Engineering and Microfinance Non-financial Service: A Case Study

Signaling strength? An analysis of decision making in The Weakest Link

THE EFFECTS OF CONGLOMERATE MERGERS 

A STUDY OF A MONETARY SYSTEM WITH A PEGGED DISCOUNT RATE UNDER DIFFERENT MARKET STRUCTURES

CHARACTERIZATION OF OPTIONS 

Can we have a general theory of financial innovation processes? A conceptual review

INDEX 

A Study on Financing Security for Smartphones Using Text Mining

BANK BEHAVIOR AND MONETARY POLICY

ON THE CHOICE OF IMMEDIATE MONETARY TARGETS

ECONOMIES OF SCALE IN ELECTRONIC FUNDS TRANSFER SYSTEMS

ON THE FINANCING AND INVESTMENT DECISIONS OF THE FIRM

The transition from traditional banking to mobile internet finance: an organizational innovation perspective - a comparative study of Citibank and ICBC 

Implications of e-Commerce for Banking and Finance 

Relationship Banking in the Residential Mortgage Market? Evidence from Switzerland

A taxonomy on banking regulation The renaming of this journal: From the JIBR to the JBR

Where Is the Risk? Is Agricultural Banking Really More Difficult than Other Sectors

Shariah-compliant FinTech in the banking industry

Review of Managing the Risks of Offshore Banking and Its Implications for the China (Shanghai) Pilot Free Trade Zone

The Up-Coming Crisis and the Banking Sector  in the Baltic States

Determinants of Foreign Banking Activity in Pakistan

ExpertSystems in Economics, Banking and Management 

Is Ethical Finance the Answer to the Ills of the UK Financial Market? A Post-Crisis Analysis

Basel Committee on Banking Supervision: Compliance and the compliance function in banks

Money-center structures in dynamic banking systems 

how scale and ownership are related to financial performace?A productivity analysis of the chines banking sector.

The Basel Committee on Banking Supervision report on customer due diligence, October 2001

Can Bank Supervisors Rely on Market Data? A Critical 

The promptness of European Deposit Protection Schemes to face banking failures

A new model for assessing the risk of banking crises

Basel Committee on Banking Supervision: The compliance function in banks

Comparative Evaluation of BSC-Based New Service Development Competencies in Turkish Banking Sector with the Integrated Fuzzy Hybrid MCDM Using Content Analysis

BANKS PROSPERED AGAINST THE ODDS. WHY?

Analysis of the ASEAN Banking Integration Framework: the Philippines as a looking glass for consumer preference 

Banking firm and hedging over the business cycle

Global Banking, Financial Stability, and Post-Crisis Policy Challenges Symposium

Issues in the African Banking Context

Financing Community Development in the US: A Comparison of “War on Poverty” and 1990s-Era Policy Approaches

International project finance: review and implications for international finance and international business

Banking Products: You Can Take Them with You, So Why Don’t You?

Some applications of impulse control in mathematical ®nanc

LES ÉCHELLES DE TEMPS SUR LES MARCHÉS FINANCIERS 











 Islamic fi nance: Challenges and opportunities 

Auto enrolment, pension trusts and ethical finance: Banks and regulators have an increasing role in promoting Shariah finance

Systemic Banking Crises Database

The Impact of Bank and Non-Bank Financial Institutions on Local Economic Growth in China

Editorial: Key trends in retail banking

Governance, religious assurance and Islamic banks: Do Shariah boards effectively serve? 

Banking behavior in security and multi-channel environment

Loan growth and bank solvency: evidence from the Pakistani banking sector 

Fairly Priced Deposit Insurance, Incentive Compatible Regulations, and Bank Asset Choices 

Financial Crises and EU Credit Access Policy  

IntegratedFinancialServices ± AFrameworkforSuccess: Synergies in Insurance, Banking, and Asset Management

Chasing shadows: Europe prepares to regulate shadow banking











 Customer relationship management in banking: An introduction and strategic implications 

Terrorism and international finance: Recent developments from the perspective of international law

NIFA-II or ‘Bretton Woods-II’?: The G-20 (Leaders) summit process on managing global financial markets and the world economy – quo vadis?

ON THE PRUDENTIAL REGULATION OF BANKS  -THEORIES, INSTITUTIONS AND TRENDS  

The Economics of Capital Regulation in Financial Conglomerates

An empirical investigation of the influence of collaboration in Finance on article impact

Financial and social barriers to bank merger and acquisition

money demand under free banking switzerland 1851-1906

Labour Market Transitions and the Erosion of the Fordist Lifecycle: Discarding Older Workers in the Automobile Manufacturing and Banking Industries in the United 

Shattered on the Rock? British financial stability from 1866 to 2007 

Risk Management and the Global Banking Crisis: Lessons for Insurance Solvency Regulation 

The institutional environment and the number of bank relationships: an empirical analysis of European SMEs

Esteemed software patterns for banking system

financial development and the end-use of migrant remittances

Law, finance, and the international mobility of corporate governance

Finance and Mathematics: Where is the Ethical Malaise? 

Food Security and a Holistic Finance for Rural Markets

Capital Markets Union in Europe:  Why Other Unions Must Lead the Way

Variable length sliding models for banking clients face biometry

Financial performance of bank in pakistan after merger and acquisition

The 2007–2009 Financial Crisis: An Erosion of Ethics: A Case Study

The myth of too big to fail

Bank-level stability factors and







 consumer confi dence  –  A comparative study of Islamic and conventional banks ’ product mix

Corporate Social Responsibility Disclosures, Traditionalism and Politics: A Story from a Traditional Setting

Prudential Practices and Financial Stability: Some Conceptual Issues 

The financial crisis research: a bibliometric analysis

Promoting financial inclusion for effective anti-money laundering and counter financing of terrorism (AML/CFT)

Investors as Stewards of the Commons?

Rethinking the Purpose of the Corporation

The ESG Integration Paradox

Building a Bridge between Marketing and Finance

“Big Data” Analysis: Putting the Data Cart Before the Modelling Horse?

Debt Crisis Looming? Yes, Corporate Debt Expanded but Don't Panic Over the Prospect of BBB Downgrades

Buyout Transactions in the German‐speaking Region: Determinants of Abnormal Performance and Unlevered Returns

Processes and Accuracy of Cash Flow Forecasting: A Case Study of a Multinational Corporation

An Empirical Study of Insurance Performance Measure

Valuation of Corporate Innovation and the Pricing of Risk in the Biopharmaceutical Industry: The Case of Gilead

Eclipse of the Public Corporation or Eclipse of the Public Markets?

Fiduciary Duties of Corporate Directors in Uncertain Times

Financial Flexibility and Opportunity Capture: Bridging the Gap Between Finance and Strategy

Say on Pay: Is It Needed? Does It Work?

Internal Governance Does Matter to Equity Returns but Much More So During “Flights to Quality”

Clawbacks, Holdbacks, and CEO Contracting

Fundamental Investors Reduce the Distraction on Management from Random Market “Noise”: Evidence from France

An Improved Method for Valuing Mature Companies and Estimating Terminal Value

Biomarker of Quality? Venture‐backed Biotech IPOs and Insider Participation

How to Evaluate Risk Management Units in Financial Institutions?

Global Trade – Hostage to the Volatile US Dollar

Corporate Finance and Sustainability: the Case of the Electric Utility Industry

Has Financial Regulation Been a Flop? (or How to Reform Dodd‐Frank)

Statement of the Financial Economists Roundtable: Bank Capital as a Substitute for Prudential Regulation

High‐Frequency Trading and the New Stock Market: Sense And Nonsense

Shadow Banking, Risk Transfer, and Financial Stability

Why European Banks Are Undercapitalized and What Should Be Done About It

Bloomberg Intelligence Roundtable on The Theory and Practice of Capital Structure Management

Leverage and Taxes: Evidence from the Real Estate Industry

Formulaic Transparency: The Hidden Enabler of Exceptional U.S. Securitization

How Investment Opportunities Affect Optimal Capital Structure

Improving the Health of Healthcare Companies

Investor Protection and Governance in the Valuation of Emerging Markets Investments

How We Invest

The Purpose of the Firm, Valuation, and the Management of Intangibles

Crises, Financial Leadership, and the Six Stretches for Financial Education

Corporate Governance and the Investment Efficiency of Diversified Corporate Asset Buyers

Which Creditors’ Rights Drive Financial Deepening and Economic Development?

Capital Structure Instability

A Look Back at Modern Finance: Accomplishments and Limitations

The Achievements and Future of Business Education

Value Creation by Active Investors (and Its Potential for Addressing Social Problems)

A Better Way to Measure Operating Performance (or Why the EVA Math Really Matters)

Materiality in Corporate Governance: The Statement of Significant Audiences and Materiality

Integrating Systemic Risk into Modern Portfolio Theory and Practice

Morgan Stanley Perspectives on Sustainable Investing: Acceleration and Integration

Delaware Public Benefit Corporations: Widening the Fiduciary Aperture to Broaden the Corporate Mission

Corporate Philanthropy and Innovation: The Case of the Pharmaceutical Industry

Risk Management—the Revealing Hand

Bankers Trust and the Birth of Modern Risk Management

Three Approaches to Risk Management—and How and Why Swedish Companies Use Them

The Beliefs of Central Bankers About Inflation and the Business Cycle—and Some Reasons to Question the Faith

Law and Corporate Governance: Germany within Europe

Stock Liquidity and the Cost of Equity Capital in Global Markets

In Search of Unicorns: Private IPOs and the Changing Markets for Private Equity Investments and Corporate Control

Multiples, Forecasting, and Asset Allocation

Meaning and Momentum in the Integrated Reporting Movement

Transparent Corporate Objectives—A Win‐Win for Investors and the Companies They Invest In

Risk‐Taking and Risk Management by Banks

How to Strengthen the Regulation of Bank Capital: Theory, Evidence, and A Proposal

Capital Allocation: Evidence, Analytical Methods, and Assessment Guidance

The State of the Public Corporation: Not So Much an Eclipse as an Evolution

Bridging the Gap between Interest Rates and Investments

The Gap between the Theory and Practice of Corporate Valuation: Survey of European Experts

Economic Growth and Inequality: Why It Matters and What's Coming Next

Is There a Better Way to Examine Income Inequality?

The Decision to Repurchase Debt

The Growing Executive Compensation Advantage of Private Versus Public Companies

A Look Back at the Beginnings of EVA and Value‐Based Management

Integrated Reporting, Quality of Management, and Financial Performance

How to Create Value Without Earnings: The Case of Amazon

Responsible Investors: Who They Are, What They Want

Loyalty‐Shares: Rewarding Long‐term Investors

Private Equity and Investment in Innovation: Evidence from Patents

Margins, Liquidity, and the Cost of Hedging

Corporate Governance and Value: Evidence from “Close Calls” On Shareholder Governance Proposals

The Effects of Cash, Debt, and Insiders on Open Market Share Repurchases

How Do Investors Interpret Announcements of Earnings Delays?

Transparency, Value Creation, and Financial Crises

Overcoming Opportunism in Public‐Private Project Finance

Seven Ways to Deal with a Financial Crisis: Cross‐Country Experience and Policy Implications

International Propagation of the Credit Crisis: Lessons for Bank Regulation

Is Economic Growth Good for Investors?

Are Too Many Private Equity Funds Top Quartile?

Pitfalls in Levering and Unlevering Beta and Cost of Capital Estimates in DCF Valuations

The Terminal Value and Inflation Controversy

Sustainability as Adaptability

Liquidity, the Value of the Firm, and Corporate Finance

Clearing and Collateral Mandates: A New Liquidity Trap?

Performance Measurement for Nonprofits

An Empirical Model of Optimal Capital Structure

Financing Shipping Companies and Shipping Operations: A Risk‐Management Perspective

The Upside to Fiscal Challenges: Innovative Partnerships Between Public and Private Sector

Terminal Value, Accounting Numbers, and Inflation

Current Accounts and Global Adjustment: The Long and Short of It

Financial Planning and Investor Communications at GE (With a Look at Why We Ended Earnings Guidance)

The Value of Reputation in Corporate Finance and Investment Banking (and the Related Roles of Regulation and Market Efficiency)

The Beta Dilemma in Emerging Markets

The Financial Crisis: Causes and Lessons

Value Maximization, Stakeholder Theory, and the Corporate Objective Function

The Global Financial Crisis and the Efficient Market Hypothesis: What Have We Learned?

Bankruptcy as an Auction Process: Lessons from Sweden

EVA Momentum: The One Ratio That Tells the Whole Story

Corporate Governance and Labor Relations

Whither Capitalism?

The Contributions of Stewart Myers to the Theory and Practice of Corporate Finance

Risk Management Failures: What Are They and When Do They Happen?

Brealey, Myers, and Allen on Valuation, Capital Structure, and Agency Issues

Brealey, Myers, and Allen on Real Options

Equity Issues and the Disappearing Rights Offer Phenomenon

Private Equity: Boom and Bust?

Choices and Best Practice in Corporate Risk Management Disclosure

Lessons from the Financial Crisis of 1907

Private Equity: Past, Present, and Future

Global Debt Markets in 2007: New Paradigm or the Great Credit Bubble?

Enterprise Risk Management: Theory and Practice

Risk Management and the Cost of Capital for Operating Assets

Reducing a Company's Beta—A Novel Way to Increase Shareholder Value

The Financial and Economic Lessons of Italy's Privatization Program

Public vs. Private Equity

Top Management Incentives and Corporate Performance

The Limits of Organizational Theory and Incentives (Or, Why Corporate Success Is Not Just About Money)

Does Risk Management Add Value? A Survey of the Evidence

Exchange Rate Exposure of Exporting and Importing Firms

Risk Management, Risk Capital, and the Cost of Capital

Market Efficiency versus Behavioral Finance

Making Financial Goals and Reporting Policies Serve

In Defense of Incentive Compensation: Its Effect on Corporate Acquisition Policy

REDEFINING HIGH PERFORMANCE

NATIONAL DEFENSE, OIL IMPORTS, AND BIO‐ENERGY TECHNOLOGY

GLOBAL EVIDENCE ON THE EQUITY RISK PREMIUM

CORPORATE GOVERNANCE, EVA, AND SHAREHOLDER VALUE

Product Costing and Inventory Accounting: A New Approach to an Old Problem

The Discount Rate in Emerging Markets: A Guide

STOCK BUYBACKS, CORPORATE PERFORMANCE, AND EVA

A New Measure of Control-Cash Flow Deviation: Cases in Taiwan

An Empirical Comparison of Asset-Pricing Models in the Shanghai A-Share Exchange Market

Trading and Ordering Patterns of Market Participants in High Frequency Trading Environment: Empirical Study in the Japanese Stock Market

Information-Based Model with Noisy Anticipation and Its Application in Finance

Industry Concentration, Firm Efficiency and Average Stock Returns: Evidence from Australia

Correction to: Some Further Results on the Tempered Multistable Approach

The Dynamic and Dependence of Takaful and Conventional Stock Return Behaviours: Evidence from the Insurance Industry in Saudi Arabia

The Effects of Firm-Level Investability Sizes on Foreign Ownership in Indonesian Public Firms

Some Further Results on the Tempered Multistable Approach

Some Further Results on the Tempered Multistable Approach

Information Uncertainty and Momentum Phenomenon Amidst Market Swings: Evidence From the Chinese Class A Share Market

Success Factors of Financial Derivatives Markets in Asia

China, Japan and the US Stock Markets and the Global Financial Crisis

Model Predictive Control for Optimal Pairs Trading Portfolio with Gross Exposure and Transaction Cost Constraints

On the Effect of Bank of Japan’s Outright Purchase on the JGB Yield Curve

Assessing Corporate Vulnerabilities in Indonesia: A Bottom-Up Default Analysis

Pricing Perpetual Put Options by the Black–Scholes Equation with a Nonlinear Volatility Function

Do Domestic Institutional Trades Exacerbate Information Asymmetry? Evidence from the Korean Stock Market

Analysis of Dynamic Correlation of Japanese Stock Returns with Network Clustering

Merton Model and Capital Measurement in Commercial Banks: A Case Study of Selected Emerging Countries in Southeast Asia

Risk-Sensitive Asset Management in a Wishart-Autoregressive Factor Model with Jumps

Forecasting Financial Market Volatility Using a Dynamic Topic Model

An Algorithmic Approach to Optimal Asset Liquidation Problems

VIX Forecast Under Different Volatility Specifications

Weather Effects on Stock Returns and Volatility in South Asian Markets

Pricing CIR Yield Options by Conditional Moment Matching

Optimal Hedging of Basket Barrier Options with Additive Models and Its Application to Equity Value Separation Problem

Effects of Jumps and Small Noise in High-Frequency Financial Econometrics

On the Price of Risk Under a Regime Switching CGMY Process

An Asymptotic Expansion for Forward–Backward SDEs: A Malliavin Calculus Approach

Speculative Futures Trading under Mean Reversion

Measuring Credit Risk of Individual Corporate Bonds in US Energy Sector

Central Bank Intervention in USD/INR Market: Estimating Its Reaction Function and Impact on Volatility

Expectations Hypothesis and Term Structure of Interest Rates: An Evidence from Emerging Market

The Effects of Analysts’ Herding on Traders: Evidence from the Taiwan Stock Market

Analysis of the Nonlinear Option Pricing Model Under Variable Transaction Costs

Bond Market Development, Economic Growth and Other Macroeconomic Determinants: Panel VAR Evidence

Pricing Foreign Exchange Options Under Intervention by Absorption Modeling

The End of the Month Option and Other Embedded Options in Futures Contracts

Explaining Size Effect for Indian Stock Market

The Asymmetric Momentum Effect in the Chinese Class A Share Market Amid Market Swings

Commodity Spread Option with Cointegration

Change Point Analysis of Exchange Rates Using Bootstrapping Methods: An Application to the Indonesian Rupiah 2000–2008

Real Estate Pricing Models: Theory, Evidence, and Implementation

Credit Risk Analysis on Euro Government Bonds-Term Structures of Default Probabilities

The SIML Estimation of Integrated Covariance and Hedging Coefficient Under Round-off Errors, Micro-market Price Adjustments and Random Sampling

An Empirical Study of Liquidity and Return Autocorrelations in the Chinese Stock Market

An FBSDE Approach to American Option Pricing with an Interacting Particle Method

Perturbative Expansion Technique for Non-linear FBSDEs with Interacting Particle Method

Credit Derivative Evaluation and CVA Under the Benchmark Approach

An Approximation Scheme for Diffusion Processes Based on an Antisymmetric Calculus over Wiener Space

Dynamic Investment Strategy with Factor Models Under Regime Switches

Asset Pricing Using Trading Volumes in a Hidden Regime-Switching Environment

Understanding Delta-Hedged Option Returns in Stochastic Volatility Environments

Analytical Solutions for Expected Loss and Standard Deviation of Loss with an Additional Loan

Dimension Reduction for Pricing Options Under Multidimensional Lévy Processes

Relationship Between Conditional Volatility of Domestic Macroeconomic Factors and Conditional Stock Market Volatility: Some Further Evidence from India

Option Pricing for Symmetric Lévy Returns with Applications

A Modified Arbitrage-Free Nelson–Siegel Model: An Alternative Affine Term Structure Model of Interest Rates

A New Type of Barrier Options: Lizard Option

Optimal Asset-Liability Management for an Insurer Under Markov Regime Switching Jump-Diffusion Marke

The Influence of Japan’s Unsecured Overnight Call Rate on Bull and Bear Markets and Market Turns

Randomised Mixture Models for Pricing Kernels

Asymptotic Expansion Formula of Option Price Under Multifactor Heston Model

A Continuous-Time Optimal Insurance Design with Costly Monitoring

Optimal Portfolio Selection Based on Expected Shortfall Under Generalized Hyperbolic Distribution

Large Deviations for the Extended Heston Model: The Large-Time Case

Intangible Asset Valuation Model Using Panel Data

A One-Factor Conditionally Linear Commodity Pricing Model under Partial Information

Evidence on Hedging Effectiveness in Indian Derivatives Market

Portfolio Selection and Optimization with Higher Moments: Evidence from the Indian Stock Market

A Discrete-Time Clark-Ocone Formula for Poisson Functionals

Expected Log-Utility Maximization Under Incomplete Information and with Cox-Process Observations

Asset Pricing and Share Reforms: An Anatomy of China’s Investable Stocks

Foreign Ownership and Firm Value: Evidence from Australian Firms

Application of Homotopy Analysis Method to Option Pricing Under Lévy Processes

Asymptotic Expansion for Term Structures of Defaultable Bonds with Non-Gaussian Dependent Innovations

Does Cross-Listing Benefit the Shareholders? Evidence from Companies in the GCC Countries?

Forecasting Long-Term Interest Rates with a General-Equilibrium Model of the Euro Area: What Role for Liquidity Services of Bonds?

Optimal Investment and Consumption with Default Risk: HARA Utility

Informed Futures Trading and Price Discovery: Evidence from Taiwan Futures and Stock Markets

An Empirical Comparison of Two Stochastic Volatility Models using Indian Market Data

Using Interest Rate Derivative Prices to Estimate LIBOR-OIS Spread Dynamics and Systemic Funding Liquidity Shock Probabilities

Emission Allowance as a Derivative on Commodity-Spread

Pricing Exotic Options and American Options: A Multidimensional Asymptotic Expansion Approach

Idiosyncratic Volatility and the Expected Stock Returns for Exploring the Relationship with Panel Threshold Regression

Semi-Static Hedging Based on a Generalized Reflection Principle on a Multi Dimensional Brownian Motion

Forecasting Intraday Volatility and Value-at-Risk with High-Frequency Data

How does Monetary Policy Influence Capital Markets? Using a Threshold Regression Model

Financial Crisis and Corporate Liquidity: Implications for Emerging Markets

An Analytical Evaluation Method of the Operational Risk Using Fast Wavelet Expansion Techniques

Price Discovery in Chinese Stock Index Futures Market: New Evidence Based on Intraday Data

A Time Series Analysis of Economical Phenomena in Japan’s Lost Decade (1): Determinacy Property of the Velocity of Money and Equilibrium Solution

Factor Models for Option Pricing

Performance Regularity: A New Class of Executive Compensation Packages

Samuelson Hypothesis & Indian Commodity Derivatives Market

Unilateral Counterparty Risk Valuation for CDS Under a Regime Switching Interacting Intensities Model

Crossing the River by Touching Stones?: The Reform of Corporate Ownership in China

Approximation of Asymmetric Multivariate Return Distributions

Empirically Effective Bond Pricing Model and Analysis on Term Structures of Implied Interest Rates in Financial Crisis

Pricing Discrete Barrier Options Under Stochastic Volatility

Identifying Bull and Bear Markets in Japan

Default Risk and Equity Returns: Evidence from the Taiwan Equities Market

A Continuous-Time Analysis of Optimal Restructuring of Contracts with Costly Information Disclosure

Properties of Optimal Smooth Functions in Additive Models for Hedging Multivariate Derivatives

Convertible Bonds and Stock Liquidity

Modeling of Contagious Credit Events and Risk Analysis of Credit Portfolios

Is Concentration a Good Idea? Evidence from Active Fund Management

The Minimal Entropy Martingale Measure (MEMM) for a Markov-Modulated Exponential Lévy Model

Forecasting Japanese Stock Returns with Financial Ratios and Other Variables

Risk-sensitive Portfolio Optimization with Two-factor Having a Memory Effect

Using Nonnormal Distributions to Analyze the Relationship Between Stock Returns in Japan and the US

Liquidity, Skewness and Stock Returns: Evidence from Chinese Stock Market

Pricing Derivatives using the Asymptotic Expansion Approach: Credit Migration Models with Stochastic Credit Spreads

Lead–Lag Effects in Australian Industry Portfolios

Dynamic Relationship among Intraday Realized Volatility, Volume and Number of Trades

Detection of Information Flow in Major International Financial Markets by Interactivity Network Analysis

On a Statistical Analysis of Implied Data

Log Mean-Variance Portfolio Selection Under Regime Switching

On the Verification Theorem of Dynamic Portfolio-Consumption Problems with Stochastic Market Price of Risk

Constant Rebalanced Portfolio Optimization Under Nonlinear Transaction Costs

The Regime Switching Portfolios

Dynamic Investment Strategies to Reaction–Diffusion Systems Based upon Stochastic Differential Utilities

Empirical Study of Nikkei 225 Options with the Markov Switching GARCH Model

“Down-Side Risk” Probability Minimization Problem with Cox-Ingersoll-Ross’s Interest Rates

A Note on Utility Maximization with Unbounded Random Endowment

A Multifactor Model of Credit Spreads

Valuation of Portfolio Credit Derivatives with Default Intensities Using the Vasicek Model

The Impact of Order Flow on the Foreign Exchange Market: A Copula Approach

Solutions and Simulations of Some One-Dimensional Stochastic Differential Equations

Coefficients of Asymptotic Expansions of SDE with Jumps

Assessments of ‘Greenhouse Insurance’: A Methodological Review

The Instantaneous Volatility and the Implied Volatility Surface for a Generalized Black–Scholes Model

Environmental Economics and Modeling Marketable Permits

Remarks on the Nonlinear Black-Scholes Equations with the Effect of Transaction Costs

Comparing Firm Failure Predictions Between Logit, KMV, and ZPP Models: Evidence from Taiwan’s Electronics Industry

Modelling Co-movements and Tail Dependency in the International Stock Market via Copulae

The Impact of Derivatives Activity on Commercial Banks: Evidence from U.S. Bank Holding Companies

Utility Indifference Hedging with Exponential Additive Processes

Comparison of Black–Scholes Formula with Fractional Black–Scholes Formula in the Foreign Exchange Option Market with Changing Volatility

On the Predictability of Japanese Stock Returns Using Dividend Yield

An Empirical Analysis of Growth Options of Japanese Electronics Firms

The Value of Principles-Based Governance Practices and the Attenuation of Information Asymmetry

Reforms in the Korean Financial Reporting Systems and Earnings Quality

Valuation of a Repriceable Executive Stock Option

Dominance of a Class of Stein type Estimators for Optimal Portfolio Weights When the Covariance Matrix is Unknown

Efficiency of Microfinance Institutions: A Data Envelopment Analysis

A Remark on a Singular Perturbation Method for Option Pricing Under a Stochastic Volatility Model

Multi-factor Affine Term Structure Model with Single Regime Shift: Real Term Structure under Zero Interest Rate

Dynamic Linkages Between the China and International Stock Markets

Macroeconomic Implications of Term Structures of Interest Rates Under Stochastic Differential Utility with Non-Unitary EIS

Dynamic Modeling of Tail Risk: Applications to China, Hong Kong and Other Asian Markets

Recovery Process Model for Two Companies

Risk-Hedging in Real Estate Markets

A Stochastic Correlation Model with Mean Reversion for Pricing Multi-Asset Options

Evaluation of the MEMM, Parameter Estimation and Option Pricing for Geometric Lévy Processes

Counterparty Risk for Credit Default Swaps: Markov Chain Interacting Intensities Model with Stochastic Intensity

Informational Efficiency: Which Institutions Matter?

New Evidence on Risk Factors, Characteristics and the Cross-Sectional Variation of Japanese Stock Returns

Volatility Forecasting in the Hang Seng Index using the GARCH Approach

The Minimal Entropy Martingale Measures for Exponential Additive Processes

Alternative Defaultable Term Structure Models

q-Optimal Martingale Measures for Discrete Time Models

A Method of Calculating the Downside Risk by Multivariate Nonnormal Distributions

The Determinants of Bank Capital Ratios in a Developing Economy

An Explicit Finite Difference Approach to the Pricing Problems of Perpetual Bermudan Options

Term Structure of Interest Rates Under Recursive Preferences in Continuous Time

Macroeconomic News, Business Cycles and Australian Financial Markets

Recovery Process Model

Empirical Investigation of the Ability of Sensitivity of Stock Prices to Earnings News in Predicting Earnings Management and Management Forecast Errors

Solving Singular Control from Optimal Switching

A Stochastic Receding Horizon Control Approach to Constrained Index Tracking

Unifying Black–Scholes Type Formulae Which Involve Brownian Last Passage Times up to a Finite Horizon

Regulations, Supervision Approaches and Acquisition Likelihood in the Asian Banking Industry

Is There a Size Effect in the Pricing of Stocks in the Chinese Stock Markets?: The Case of Bull Versus Bear Markets

Portfolio Insurance with Liquidity Risk

Causal and Dynamic Relationships among Stock Returns, Return Volatility and Trading Volume: Evidence from Emerging markets in South-East Asia

Optimal Hedging of Prediction Errors Using Prediction Errors

Optimal Mortgage Refinancing with Regime Switches

A Simple Measure for Examining the Proxy Problem of the Short-Rate

A Factor Allocation Approach to Optimal Bond Portfolio

A Model Forecasting Risk for Emerging Market Currencies

Pricing and Hedging of Multi Type Contracts under Multidimensional Risks in Incomplete Markets Modeled by General Itô SDE Systems

A Class of Gaussian Hybrid Processes for Modeling Financial Markets

Foreign Ownership and Volatility Dynamics of Indonesian Stocks

Board Size, Independence and Performance: An Analysis of Thai Banks

On Valuing Participating Life Insurance Contracts with Conditional Heteroscedasticity

Reduced-form Models with Regime Switching: An Empirical Analysis for Corporate Bonds

Credit Derivatives in an Affine Framework

A Benchmark Approach to Portfolio Optimization under Partial Information

Analysing Yield Spread and Output Dynamics in an Endogenous Markov Switching Regression Framework

An Asymptotic Expansion Approach to Currency Options with a Market Model of Interest Rates under Stochastic Volatility Processes of Spot Exchange Rates

Pricing Commodity Spread Options with Stochastic Term Structure of Convenience Yields and Interest Rates

Estimation and Prediction of a Non-Constant Volatility

What is the Natural Scale for a Lévy Process in Modelling Term Structure of Interest Rates?

Portfolio Optimization in Discontinuous Markets under Incomplete Information

On the Hoggard–Whalley–Wilmott Equation for the Pricing of Options with Transaction Costs

Monte Carlo Option Pricing for Tempered Stable (CGMY) Processes

On a Non-linear Risk Analysis for Stock Market Indexes

The Asian Financial Crisis and Investors’ Risk Aversion

Risk Management for Linear and Non-Linear Assets: A Bootstrap Method with Importance Resampling to Evaluate Value-at-Risk

Risk measures for derivatives with Markov-modulated pure jump processes

Portfolio optimization with a defaultable security

Generalizations of Ho–Lee’s binomial interest rate model I: from one- to multi-factor

Non-linear long horizon returns predictability: evidence from six south-east Asian markets

Analyses of Mortgage-Backed Securities Based on Unobservable Prepayment Cost Processes

Component structures of agricultural commodity futures traded on the Tokyo Grain Exchange

Mean and volatility dynamics of Indian rupee/US dollar exchange rate series: an empirical investigation

Evidence on the arbitrage efficiency of SPI index futures and options markets

Risk-neutral and actual default probabilities with an endogenous bankruptcy jump-diffusion model

On the asymptotic behavior of the prices of Asian options

Optimal policies of call with notice period requirement

Lévy processes driven by stochastic volatility

Optimal risk transfer and investment policies based upon stochastic differential utilities

Dynamical analysis of corporate bonds based on the yield spread term-quality surface

A discrete Itô calculus approach to He’s framework for multi-factor discrete markets

Comparison of randomization techniques for low-discrepancy sequences in finance

Long-memory and heterogeneous components in high frequency Pacific-Basin exchange rate volatility

The volume–volatility relationship and the opening of the Korean stock market to foreign investors after the financial turmoil in 1997

Testing for Volatility Jumps in the Stochastic Volatility Process

Dynamic Efficiency in the East European Emerging Markets

Inference Methods for Discretely Observed Continuous-Time Stochastic Volatility Models: A Commented Overview

Option Approach to Search for Threshold Rice Price Toward Sustainable Paddy Field Management

A Modified GARCH Model with Spells of Shocks

The Determinants of Foreign Currency Hedging–Evidence from Hong Kong Non-Financial Firms

Bank Exposure to Interest Rate Risks During Financial Liberalization: Evidence from South Korea

Market Efficiency and Returns to Simple Technical Trading Rules: Further Evidence from U.S., U.K., Asian and Chinese Stock Markets

Intraday Empirical Analysis and Modeling of Diversified World Stock Indices

From the Minimal Entropy Martingale Measures to the Optimal Strategies for the Exponential Utility Maximization: the Case of Geometric Lévy Processes

Exact Solutions of a Model for Asset Prices by K. Takaoka

A Complete-Market Generalization of the Black-Scholes Model

A New Computational Scheme for Computing Greeks by the Asymptotic Expansion Approach

Numerical Approach to Asset Pricing Models with Stochastic Differential Utility

Pricing European Options by Numerical Replication: Quadratic Programming with Constraints

Properties of Multinomial Lattices with Cumulants for Option Pricing and Hedging

A New Control Variate Estimator for an Asian Option

Good-Deal Option Price Bounds for a Non-Traded Event with Stochastic Return: A Note

On Bayesian Value at Risk: From Linear to Non-Linear Portfolios

Valuation of Residential Mortgage-Backed Securities with Default Risk Using an Intensity-Based Approach

A Fair Pricing Approach to Weather Derivatives

A Two-Factor Model for Low Interest Rate Regimes

A Benchmark Approach to Filtering in Finance

Diversified Portfolios with Jumps in a Benchmark Framework

Understanding the Implied Volatility Surface for Options on a Diversified Index

Crisis and Creative Destruction: Cases of Korean and Japanese Stock Markets

A Note on Credit Risk of Vertical Keiretsu Firms: Preliminary Evidence from the Japanese Automobile Industry

Forecasting Credit Spread Volatility: Evidence from the Japanese Eurobond Market

The Halloween Effect and Japanese Equity Prices: Myth or Exploitable Anomaly

Are Banks Affiliated with Bank Holding Companies More Efficient Than Independent Banks? The Recent Experience Regarding Japanese Regional BHCs

Investor Familiarity and Home Bias: Japanese Evidence

On the Pricing of Defaultable Bonds Using the Framework of Barrier Options

Effectiveness of Stochastic Neural Network for Prediction of Fall or Rise of TOPIX

A Note on Gaussian Estimation of the CKLS and CIR Models with Feedback Effects for Japan

Implied Default Probability and Credit Derivatives

A Class of Jump-Diffusion Bond Pricing Models within the HJM Framework

Long-Run Operating Performance of Initial Public Offerings in Japanese Over-the-Counter Market (1991–2001): Evidence and Implications

Is Volatility the Best Predictor of Market Crashes?

Productivity and Technical Change in Malaysian Banking: 1989–1998

Price Linkages in Asian Equity Markets: Evidence Bordering the Asian Economic, Currency and Financial Crises

Financial Sector Risk and the Stock Returns: Evidence from Tokyo Stock Exchange Firms

Prediction of Individual Bond Prices via a Dynamic Bond Pricing Model: Application to Japanese Government Bond Price Data

Profitability of the CRISMA System: From World Indices to the Hong Kong Stock Market

Pricing American Put Options on Defaultable Bonds

An Interest Rate Model with Upper and Lower Bounds

A Prepayment Model for the Japanese Mortgage Loan Market: Prepayment-Type-Specific Parametric Model Approach

In Memory of Professor Hiroshi Shirakawa

Edokko Options: A New Framework of Barrier Options

Credit Risk Estimation for Small Businesses Based on a Statistical Method

Portfolio Optimization under Lower Partial Risk Measures

A Note on Option Pricing for the Constant Elasticity of Variance Model

Multi-Period Lead Relations between Price-to-Book Ratios and Accounting Rates-of-Returns: Korean Evidence

Option Pricing under Stochastic Interest Rates: An Empirical Investigation

On Pricing Exponential Square Root Barrier Knockout European Options

Valuation Model of Defaultable Bond Values in Emerging Markets

Valuation Model of Defaultable Bond Values in Emerging Markets

Does the Momentum Strategy Work Universally? Evidence from the Japanese Stock Market

Modelling the Currency Forward Risk Premium: A New Perspective

Modelling the Currency Forward Risk Premium: A New Perspective

Valuation of Mortgage-Backed Securities Based upon a Structural Approach

Bivariate Nonparametric Density Estimation of Stock Prices and Volume

Modelling the Stochastic Dynamics of Volatility for Equity Indices

Dynamic Hedging Effectiveness in South Korean Index Futures and the Impact of the Asian Financial Crisis

Financial Deregulation and Economies of Scale and Scope: Evidence from the Major Australian Banks

Financial Deregulation and Economies of Scale and Scope: Evidence from the Major Australian Banks

Shareholdings by Financial Institutions, Information Asymmetry and the Intertemporal Return-Earnings Relation in Japan

An Estimation Model for the Term Structure of Yield Spread

Reexamining the Robustness of the Market Value of Equity

The Relations between Minimal Martingale Measure and Minimal Entropy Martingale Measure

An Improvement of the Parameter Certainty Equivalence Method in Portfolio Selection

[Geometric Lévy Process & MEMM] Pricing Model and Related Estimation Problems

Classes of Interest Rate Models under the HJM Framework

Classes of Interest Rate Models under the HJM Framework

Testing for Serial Correlation in the Presence of Stochastic Volatility

Introduction to Chinese economy: Past, Present and Future

Is monetary policy forward-looking in China?

Do short-term international capital movements play a role in exchange rate and stock price transmission mechanism in China?

Non-performing loans and housing prices in China

Lending technology and credit risk under different types of loans to SMEs: Evidence from China

Environmental policy, firm dynamics and wage inequality in developing countries

China's SO2 shadow prices and environmental technical efficiency at the province level

Resource allocation and productivity across provinces in China

The effect of family property income on labor supply: Evidence from China

Regional distribution of college enrollment in China under a multiple-principal framework

Effects of Confucius Institutes on China's higher education exports: Evidence from Chinese Partner Universities

How admitting migrants with any skills can help overcome a shortage of workers with particular skills

On the taxing of migrants' earnings while retaining a migrant workforce

Quantifying the impact of the November 2014 Shanghai-Hong Kong Stock Connect

The term structure of liquidity premia and the macroeconomy in Canada: A dynamic latent-factor approach

Does the introduction of index futures stabilize stock markets? Further evidence from emerging markets

Labour reallocation, productivity growth and dualism: The case of China

Neglected part of shadow banking in China

The interconnections between U.S. financial CDS spreads and control variables: New evidence using partial and multivariate wavelet coherences

Hedge fund leverage with stochastic market conditions

Are per capita international tourist arrivals converging?

The Influence of Risk Culture on Firm Returns in Times of Crisis

The cost effects of shadow banking activities and political intervention: Evidence from the banking sector in China

ENTREPRENERUSHIP AND HUMAN CAPITAL: THE ROLE OF FINANCIAL DEVELOPMENT

The Term Premium in a Small Open Economy: A Micro-Founded Approach

Mutual fund performance attribution and market timing using portfolio holdings

Emerging market local currency sovereign bond yields: the role of exchange rate risk

Money's causal role in exchange rate: Do divisia monetary aggregates explain more?

Financing Innovation through Minority Acquisitions

Specializations, Financial Constraints, and Income Distribution

The Impact of the First Sino-Japanese War Indemnity: Transfer Problem Reexamined

Bilateral international agreement, cooperation and reneging

Trade liberalization and product R&D in a differentiated duopoly

The extensive and intensive margins of exports of firms in developing and emerging countries

Genetic Diversity and Economic Development: Evidence from Chinese Provinces

Environmental Corporate Social Responsibility, Firm Dynamics and Wage Inequality

Corporate Social Responsibility, Product Market Competition, and Product Market Performance

SURGES AND REVERSALS IN CAPITAL FLOWS

In Search of a Unit of Stable Global Purchasing Power

Estimation error in mean returns and the mean-variance efficient frontier

Dividend growth and equity premium predictability

Regime Shifts and Stock Return Predictability

What Promotes/Prevents Firm Bond Issuance in Emerging Economies: Bank–Firm Relationship or Information Asymmetry?

Debt composition and lax screening in the corporate bond market

Prevention and Landing of Bubble

Investor Sentiment Extracted from Internet Stock Message Boards and IPO Puzzles

Managerial reporting behavior around exchange switching: Consideration of current and future performance

The Value of Political Connection: Evidence from the 2011 Egyptian Revolution

The Effect of conflict on Palestine, Israel, and Jordan stock markets

Understanding the Sources of the Exchange Rate Disconnect Puzzle

Systematic Exchange Rate Variation: Where Does the Dollar Factor Come From?

Board structures and performance in the banking industry: Evidence from Japan

Benchmarking liquidity proxies: The case of EU sovereign bonds

Pricing and hedging barrier options under a Markov-modulated double exponential jump diffusion-CIR model

Skill-biased technological change and wage inequality in developing countries

Government-leading welfare-improving collusion

The cyclical properties of capital inflows in emerging market economies

Theory and application of an economic performance measure of risk

Regulating the Entry of Multinational Enterprises to a Host-Country Market

Slowing resource extraction for export: A role for taxes in a small open economy

The Dependence Structure between Chinese and Other Major Stock Markets Using Extreme Values and Copulas 

Investor protection and cross-border acquisitions by Chinese listed firms: The moderating role of institutional shareholders

Understanding International Stock Market Comovements: A Comparison of Developed and Emerging Markets

Qualified Foreign Institutional Investor Ownership Deregulation and the Restatement of Financial Reports --- Empirical Findings from Taiwan

Uncertainty-Induced Dynamic Inefficiency and the Optimal Inflation Rate

Decomposition of Japan’s Trade Balance

Optimal privatization policy with Bertrand competition

Can media coverage restrain executive empire building and pursuit of a quiet life? Evidence from China

A Macroeconomic Model for a Small Member of a Monetary Union

Cash Conversion Cycle and Corporate Performance: Global Evidence

Interaction effect of tax evasion and legal system inefficiency on firms’ financial constraints

Investor Sentiment and Evaporating Liquidity during the Financial Crisis

New Product Strategies and Firm Performance: CEO Optimism

Financial Constraints, Macro-financing Environment and Post-Crisis Recovery of Firms

Consumer awareness and ex-ante versus ex-post environmental policies revisited

Export Competitiveness of Central and Eastern Europe Since the Enlargement of the EU

Labour unionisation structure and product innovation

Schumpeterian creative class competition, innovation policy, and regional economic growth

Does there Prevail Momentum in Earnings Management for Seasoned Equity Offering Firms?

Economic dynamics during periods of financial stress: Evidences from Brazil

Time-varying diversification strategies: the roles of state-level housing assets in optimal portfolios

Pair-trading profitability and short-selling restriction: evidence from the Taiwan stock market

Equator Principles and Bank Liquidity

What drives bank efficiency? The interaction of bank income diversification and ownership

Retrieving aggregate information from option volume

The relationship between cash value and accounting conservatism: The role of controlling shareholders

The gender wage gap in the financial industry: Evidence from the interindustry ranking

Capital Intensity, Natural Resources, and Institutional Risk Preferences in Chinese Outward Foreign Direct Investment

Systemic Risk, Interconnectedness, and Non-core Activities in Taiwan Insurance Industry

Stock and Bond Return Relations and Stock Market Uncertainty: Evidence from Wavelet Analysis

On Profitability of Volatility Trading on S&P 500 Equity Index Options: The Role of Trading Frictions

Do foreign institutional traders have private information for the market index? The aspect of market microstructure

Derivatives trading information, stock market behavior, and financial institutions

Cash holdings speed of adjustment

Do House Prices Hedge Inflation in the US? A Quantile Cointegration Approach

Is RMB Appreciation a Nightmare for the Chinese Firms? An Analysis on Firm Profitability and Exchange Rate

Divisional Managers’ Compensation to Maximize Spillovers and Cooperation

Government spending and the exchange rate

Analyzing time–frequency co-movements across gold and oil prices with BRICS stock markets: A VaR based on wavelet approach

Terms-of-Trade Cycles and External Adjustment

Risk preferences and development revisited

First fired, first hired? Business cycles and immigrant labor market transitions

Carsharing: the impact of system characteristics on its potential to replace private car trips and reduce car ownership

The CAP 2013 reform of direct payments: redistributive effects and impacts on farm income concentration in Italy 

Introduction to the Symposium on the Extended Effects of the Affordable Care Act 

UsingGenuineSavingsforClimatePolicyEvaluation withanIntegratedAssessmentModel

Introduction to a special issue in honor of Kenneth Arrow

A modular bottom‑up approach for constructing physical input–output tables (PIOTs) based on process engineering models

Discrete and Continuous Distributed Delays in Replicator Dynamics

Deep-MATEM: TEM query image based cross-modal retrieval for material science literature

Microwave heating characteristics of bulk metallic materials and role of oxides

Effect of high-pressure torsion on microstructure, mechanical properties and corrosion resistance of cast pure Mg

Nondivergence elliptic and parabolic problems with irregular obstacles

Preparation and characterization of partially reduced graphene oxide aerogels doped with transition metal ions

Guest Editorial: Recent Advances on Security and Privacy of Multimedia Big Data in the Critical Infrastructure

Shape modeling based on specifying the initial B-spline curve and scaled BFGS optimization method

Natural composites based on polysaccharide derivatives: preparation and physicochemical properties

BIGM: A Biogeography Inspired Group Mobility Model for Mobile Ad Hoc Networks

Foliated Schwarz symmetry for the nodal solution at the second minimax level

Ultrasound-Assisted Modification of Zeolite Catalyst for Dimethyl Ether Conversion to Olefins with Magnesium Compounds

Publisher Correction to Computer Supported Cooperative Work (CSCW) Volume 27,

Aligning Concerns in Telecare: Three Concepts to Guide the Design of Patient-Centred E-Health

Optimal slot dimension for skirt support structure of coke drums

The Permanent Functions of Tensors

Embodied Action and Sensors: Knowledge and Expertise Sharing in Industrial Set-Up

Looking deeper and transferring attention for image captioning

Enhanced Dissipation and Axisymmetrization of Two-Dimensional Viscous Vortices

Linear Oscillations of Thin Plates with Corners and Cracks

Improving the genetic bee colony optimization algorithm for efficient gene selection in microarray data

Bayesian inference of the fractional Ornstein–Uhlenbeck process under a flow sampling scheme

Bi-branch deconvolution-based convolutional neural network for image classification

Fast point matching using corresponding circles

Fast point matching using corresponding circles

SocialLink: exploiting graph embeddings to link DBpedia entities to Twitter profiles

Real-time dance evaluation by markerless human pose estimation

Tailoring the electronic structure of Mn-doped SnTe via strain

Buoyancy Convection in a Square Cavity with Parallel Heaters Under Magnetic Field

On Preemption in Discrete and Continuous Time

Lightly supervised alignment of subtitles on multi-genre broadcasts

A generalized alternating direction method of multipliers with semi-proximal terms for convex composite conic programming

The spectral rigidity of complex projective spaces, revisited

On the Homogenization of the Stokes Problem in a Perforated Domain

Forecasting seasonal time series data: a Bayesian model averaging approach

An error-based video quality assessment method with temporal information

An Analysis of Merge Conflicts and Resolutions in Git-Based Open Source Projects

An Analysis of Merge Conflicts and Resolutions in Git-Based Open Source Projects

Editorial: Special issue on data envelopment analysis

One-dimensional photonic crystals prepared by self-assembly of brush block copolymers with broad PDI

Mean value of the class number in function fields revisited

Control performance simulation and tests for Microgravity Active vibration Isolation System onboard the Tianzhou-1 cargo spacecraft

Enhancing touch behavioral authentication via cost-based intelligent mechanism on smartphones

Botanical traceability of unifloral honeys by chemometrics based on head-space gas chromatography

Stability approach to selecting the number of principal components

Enumerating graded ideals in graded rings associated to free nilpotent Lie rings

Spatially Enhanced Bags of Visual Words Representation to Improve Traffic Signs Recognition

Multi-sensor data fusion using NIHS transform and decomposition algorithms

A New Type of Operator Convexity

A Bayesian approach to forecasting daily air-pollutant levels

The identical operands commutative encryption and watermarking based on homomorphism

Civic Technology for Social Innovation

Integrable Dynamic Systems with Dissipation and Finitely Many Degrees of Freedom

Decision making under measure-based granular uncertainty

A correction of approximations used in sensitivity study of principal component analysis

Don’t be afraid! Persuasive Practices in the Wild

Improved Baseline Correction Method Based on Polynomial Fitting for Raman Spectroscopy

The Types, Roles, and Practices of Documentation in Data Analytics Open Source Software Libraries

Correction to: A Low Complexity Correlation Algorithm for Compressive Channel Estimation in Massive MIMO System

Co-Creating the Workplace: Participatory Efforts to Enable Individual Work at the Hoffice

A review of nondestructive examination technology for polyethylene pipe in nuclear power plant

Refractive Index Sensor Based on Fano Resonances in Plasmonic Waveguide With Dual Side-Coupled Ring Resonators

An agent-based model of the observed distribution of wealth in the United States

Lessons from historical monetary unions - is the European monetary union making the same mistakes?

The effect of immigration shocks on native fertility outcomes: evidence from a natural experiment

Feeling useless: the effect of unemployment on mental health in the Great Recession

From a subsistence economy to the production of wealth in ancient formative societies: a political economy perspective

SAFTA and AFTA: a comparative welfare analysis of two regional trade agreements

Correction to: Trading Off Tourism for Fisheries

Correction to: India’s labour question is also a social question: inequalizing growth and increasing social inequality under neoliberal economic regimes

Economic effects and greenhouse gas emissions of small-scale hydropower projects in Japan: evidence from a 47-prefecture interregional input–output analysis

Altruism and Global Environmental Taxes

Assessing post-harvest labor shortages, wages, and welfare

Modeling co-dependent choice of workplace, residence and commuting mode using an error component mixed logit model

Openness and productivity of the Swiss economy

Geographic Market Definition in the Merger Guidelines: A Retrospective Analysis

The price of mobility

Criminal background and job performance

Comparing retrospective and panel data collection methods to assess labor market dynamics

Technical Trading Behaviour: Evidence from Chinese Rebar Futures Market

A policy for the size of individual unemployment accounts

Sick of family responsibilities?

Does income inequality affect aggregate consumption? Revisiting the evidence

Funded Pensions and Economic Growth

Modelling trust evolution within small business lending relationships

Working from home and the willingness to accept a longer commute

Who does better for the economy? Presidents versus parliamentary democracies

A mixed-utility theory of vote choice regret

Globalization in the Aftermath of the Crisis

Business Cycles and HBCU Appropriations

Introduction: Symposium on history and Austrian economics

Source country culture and labor market assimilation of immigrant women in Sweden: evidence from longitudinal data

Acknowledgement to Referees

Projecting Pharmaceutical Expenditure in EU5 to 2021: Adjusting for the Impact of Discounts and Rebates

A mapping study on testing non-testable systems

Comparative Study of Life Quality Between Migrant Children and Local Students in Small and Medium-Sized Cities in China

A Vibration-Based Method for the Measurement of Subgrade Soil Scaling Factor

Attitudes towards Ambiguity in Japanese Healthy Volunteers

The state of boredom: Frustrating or depressing?

Two Applications of Random Spanning Forests

Sociodemographic differences in 10-year time trends of emotional and behavioural problems among adolescents attending secondary schools in Amsterdam, The Netherlands

The Concept of Entrapment

Environmental conditions and herbivore biomass determine coral reef benthic community composition: implications for quantitative baselines

The reasonable development technology policy in sweet spot of tight gas reservoir

The influence of sociocultural and structural contexts in academic change and development in higher education

Gender Identity in Autism: Sex Differences in Social Affiliation with Gender Groups

Edwin David Ongley (1941–2015)

Correction to: The expression of HCV-associated host factors is dependent on the hepatoma cell line used in HCV studies

The Effect of Anti-aging Peptides on Mechanical and Biological Properties of HaCaT Keratinocytes

Synthesis of probabilistic models for quality-of-service software engineering

Teleoperation of a platoon of distributed wheeled mobile robots with predictive display

Correction to: Numerical solution and convergence analysis of steam injection in heavy oil reservoirs

Editorial Note: Outlook of the Review of Socionetwork Strategies in 2018

Towards an Account of Epistemic Luck for Necessary Truths

Influence of Molybdenum Loadings on the Properties of MoO3/Zirconia Catalysts

Correction to: Towards improving decision making and estimating the value of decisions in value-based software engineering: the VALUE framework

Inheritance of glabrous plants in Helianthemum oelandicum var. oelandicum and spatial patterns of allele frequencies in local populations

Correction to: Managing Urban Plant Invasions: a Multi-Criteria Prioritization Approach

In-Game Play Behaviours during an Applied Video Game for Anxiety Prevention Predict Successful Intervention Outcomes

Research on heavy oil gas lift assisted with light oil injected from the annulus

A unified representation of simultaneous analysis methods of reduction and clustering

Biorationals” in integrated pest management strategies

EGb761 improves the cognitive function of elderly db/db−/− diabetic mice by regulating the beclin-1 and NF-κB signaling pathways

Social feedback interferes with implicit rule learning: Evidence from event-related brain potentials

Performance of silver, zinc, and iron nanoparticles-doped cotton filters against airborne E. coli to minimize bioaerosol exposure

Thanks but no thanks: State-owned multinationals from emerging markets and host-country policies

Estimating Water Retention in Post-mining Excavations Using LiDAR ALS Data for the Strzelin Quarry, in Lower Silesia

Morphology and Evolution of the Xenarthra: an Introduction

No comments:

Post a Comment