Is Being “Robust” Beneficial? A Perspective from the Indian Market Mohammed Bilal GirachShashank OberoiSiddhartha P. Chakrabarty Original Research 07 April 2021 Pages: 469 - 497
Frontier Markets, Liberalization and Informational Efficiency: Evidence from Vietnam Cesario MateusBao Trung Hoang Original Research 07 April 2021 Pages: 499 - 526
The Relationship Between China’s Real Estate Market and Industrial Metals Futures Market: Evidence from Non-price Measures of the Real Estate Market Xiangyu ChenJittima Tongurai Original Research 08 April 2021 Pages: 527 - 561
Bankruptcy risk dependence structure using the INAR model comprising macroeconomic indicators applied to stress tests Teruo Kemmotsu Original Research 21 April 2021 Pages: 563 - 585
Applying Technical Trading Rules to Beat Long-Term Investing: Evidence from Asian Markets Thomas S. CoeKittipong Laosethakul Original Research 26 May 2021 Pages: 587 - 611
Network Interdependence and Optimization of Bank Portfolios from Developed and Emerging Asia Pacific Countries Jose Arreola HernandezSang Hoon KangSeong-Min Yoon Original Research 17 June 2021 Pages: 613 - 647
Financial Network Connectedness and Systemic Risk During the COVID-19 Pandemic Mike K. P. SoLupe S. H. ChanAmanda M. Y. Chu Original Research Open access 14 June 2021 Pages: 649 - 665
Stocks Recommendation from Large Datasets Using Important Company and Economic Indicators Kartikay GuptaNiladri Chatterjee Original Research 17 June 2021 Pages: 667 - 689