No. 20-3, September 2020
Index
- Anti‐Corruption and Corporate Tax Burden: Evidence from China
- Credit Risk, Liquidity, and Bubbles
- Does Independent Industry Expertise Improve Board Effectiveness? Evidence From Bank CEO Turnovers
- Investment Committee, Corporate Cash Holdings and Corporate Life Cycle
- Issue Information
- Managerial Stock Ownership and Debt Diversification
- Market Excess Returns, Variance and the Third Cumulant
- Monitoring and CEO Contractual Incentive Pay
- Moral Hazard, Agency Cost, and Firm Growth
- Political Connection and Regulatory Scrutiny through Comment Letters: Evidence from China
- The Co‐Movement of Credit Default Swap Spreads, Equity Returns and Volatility: Evidence from Asia‐Pacific Markets
- Unveiling Contemporaneous Relations Between Jump Risk and Cross Section of Stock Returns
- When Is One Plus One More Than Two? Theory and Evidence of Merger Motivations