No. 21-1, March 2021
Index
- A Dynamic Growth Model with Equity for Guarantee Swap and Asymmetric Information*
- A Study on Firms with Negative Book Value of Equity
- Asymmetric Correlations in Predicting Portfolio Returns*
- Business Strategy and Labor Investment Efficiency*
- Buy Low and Sell High: The 52‐Week Price Range and Predictability of Returns
- Disclosure and Exchange of Inside Information*
- Do Patented Innovations Reduce Stock Price Crash Risk?*
- Inflexibility of Share Repurchases*
- Internet Search Intensity and Its Relation with Trading Activity and Stock Returns*
- Issue Information
- Measuring Systemic Risk: Capital Shortfall and CSRISK*
- Multifractal Detrended Fluctuation Analysis of Return on Bitcoin*
- On the Impacts of Overconfidence under Information Diversity*
- Predicting Stock Market Movements in the United States: The Role of Presidential Approval Ratings*
- Regulatory Dualism as an Alternative Trust‐Enhancing Mechanism for Dividends and Debt: Evidence from Brazil*
- Relaxed Credit Standards in the U.S. Housing Boom: Changes in Risk Characteristics of Mortgage Recipients*