No. 23-4, October 2018
Index
- A machine‐learning analysis of the rationality of aggregate stock market forecasts
- Bank‐level and country‐level determinants of bank capital structure and funding sources
- Capital flow management policies in emerging market economies: Are they successful in mitigating drastic changes of capital flows?
- Carbon portfolio management
- Consistency of two major data sources for exchange rates in the interwar period and further evidence on the behaviour of exchange rates during hyperinflations
- Contagion and interdependence in Eurozone bank and sovereign credit markets
- Do mergers and acquisitions announcements create value for acquirer shareholders in Africa
- Does size matter in predicting SMEs failure?
- Domestic investment responses to changes in the real exchange rate: Asymmetries of appreciation versus depreciation
- European trading volumes on cross‐market holidays
- Expected returns and expected dividend growth in Europe: Legal origin, institutional, and financial determinants
- External sources of political connections: Financial advisors and Chinese acquisitions
- Global factors and equity market valuations: Do country characteristics matter?
- How has the global financial crisis affected syndicated loan terms in emerging markets? Evidence from China
- Investor sentiment and industry returns
- Islamic banking, credit, and economic growth: Some empirical evidence
- Issue Information
- Public policy and financial stability: The impact of PCA and TARP on U.S. bank non‐performing loans
- Stock prices' interdependence during the South Sea boom and bust
- The effects of intraday news flow on dealers' quotations, market liquidity, and volatility
- The role of external debt in the foreign direct investment–growth relationship