Does investor sentiment impact the returns and volatility of Islamic equities? Daniel Perez-ListonDaniel HuertaSanzid Haq OriginalPaper 22 June 2014 Pages: 421 - 437
The relationship between board characteristics and performance of bank holding companies: before and during the financial crisis Jennifer O’SullivanAbdullah MamunM. Kabir Hassan OriginalPaper 13 January 2015 Pages: 438 - 471
The regime-switching risk premium in the gold futures market Seth J. Kopchak OriginalPaper 21 January 2015 Pages: 472 - 491
New insights into mutual fund brokerage commissions Monika K. Rabarison OriginalPaper 30 January 2015 Pages: 492 - 513
The analysis of corporate governance policy and corporate financial performance C. Joe Ueng OriginalPaper 11 March 2015 Pages: 514 - 523
The Buffett critique: volatility and long-dated options Neeraj J. GuptaMark KurtReilly White OriginalPaper 24 March 2015 Pages: 524 - 537
Additional evidence of heuristic-based inefficiency in season wins total betting markets: Major League Baseball Bill M. WoodlandLinda M. Woodland OriginalPaper 15 April 2015 Pages: 538 - 548
The day-of-the-week effect is weak: Evidence from the European real estate sector Georgios BampinasStilianos FountasTheodore Panagiotidis OriginalPaper 26 May 2015 Pages: 549 - 567
Spillover effects on the sectoral returns for australian and New Zealand equity markets Faruk BalliHatice O. BalliRonglan Hong OriginalPaper 16 June 2015 Pages: 568 - 589
Financial competence, overconfidence, and trusting investments: Results from an experiment Bryan C. McCannonColleen Tokar AsaadMark Wilson OriginalPaper 16 June 2015 Pages: 590 - 606
Structural break tests and the Greek sovereign debt crisis: revisited Bruce Q. Budd OriginalPaper 14 September 2015 Pages: 607 - 622
Interest rate movements and US consumers’ inflation forecast errors: is there a link? Hamid Baghestani OriginalPaper 10 February 2016 Pages: 623 - 630