Table of Content :rnrnVol. 15 Issue: 3, pp.274-293, Reputation and regulation effects on director turnover and change of directorshipsrnrnVol. 15 Issue: 3, pp.294-316, The association between earnings quality and firm-specific return volatility: Evidence from JapanrnrnVol. 15 Issue: 3, pp.317-328, What explains the recourse of US commercial banks to securitization?rnrnVol. 15 Issue: 3, pp.329-3…
Table of Content :rnrnVol. 15 Issue: 2, pp.122-143, Disclosure quantity and the efficiency of price discovery: Evidence from the Toronto Stock ExchangernrnVol. 15 Issue: 2, pp.144-173, Liquidity and corporate governance: evidence from family firmsrnrnVol. 15 Issue: 2, pp.174-197, The effects of culture and contextual information on resource allocation decisionsrnrnVol. 15 Issue: 2, pp.198-221, …
Table of Content :rnrnVol. 15 Issue: 1, pp.2-20, The effects of mandatory corporate social responsibility policy on accounting conservatismrnrnVol. 15 Issue: 1, pp.21-44, Net working capital, cash flow and performance of UK SMEsrnrnVol. 15 Issue: 1, pp.45-64, Why do family firms switch between family CEOs and non-family professional CEO?: Evidence from Korean ChaebolsrnrnVol. 15 Issue: 1, pp.65…
Table of Content :rnrnVol. 14 Issue: 4, pp.352-362, Are micro-cap mutual funds indeed riskier?rnrnVol. 14 Issue: 4, pp.363-381, On the linkage between stock market development and economic growth in emerging market economies: Dynamic panel evidencernrnVol. 14 Issue: 4, pp.382-397, International diversification and return differential between the US and the foreign marketsrnrnVol. 14 Issue: 4, p…
Table of Content :rnrnVol. 14 Issue: 3, pp.210-238, The role of CEO inside debt holdings in corporate pension funding statusrnrnVol. 14 Issue: 3, pp.239-261, Do changes in gross margin percentage provide complementary information to revenue and earnings surprises?rnrnVol. 14 Issue: 3, pp.262-284, The impact of corporate social responsibility on employee performance and costrnrnVol. 14 Issue: 3,…
Table of Content :rnrnVol. 14 Issue: 2, pp.106-127, Information asymmetry around S&P 500 index changesrnrnVol. 14 Issue: 2, pp.128-148, Product market competition and corporate investment decisionsrnrnVol. 14 Issue: 2, pp.149-171, Volatility, distress risk, and the cross-section of portfolio returnsrnrnVol. 14 Issue: 2, pp.172-188, Interdependence between Nordic stock markets and financial coop…
Table of Content :rnrnVol. 14 Issue: 1, pp.2-19, A quantile regression analysis on corporate governance and the cost of bank loans: a research noternrnVol. 14 Issue: 1, pp.20-40, The joint effect of board characteristics on financial performance: Empirical evidence from EgyptrnrnVol. 14 Issue: 1, pp.41-63, Have IFRS changed how stock prices are associated with earnings and book values?: Evidenc…