Relation between Credit Default Swap Spreads and Stock Prices: A Non-linear Perspective Miroslav MateevElena Marinova OriginalPaper 29 December 2017 Pages: 1 - 26
Directors’ liability insurance and investment-cash flow sensitivity Chia-Chung ChanYung-Ho ChangYuwei Wang OriginalPaper 09 January 2018 Pages: 27 - 43
Oil speculation and herding behavior in emerging stock markets Esin CakanRıza DemirerHardik A. Marfatia OriginalPaper 06 February 2018 Pages: 44 - 56
Gold and oil prices: stable or unstable long-run relationship Charbel BassilHassan HamadiPatrick Mardini OriginalPaper 09 February 2018 Pages: 57 - 72
The impact of inflation rate on stock market returns: evidence from Kenya Donald A. OtienoRose W. NgugiPeter W. Muriu OriginalPaper 26 February 2018 Pages: 73 - 90
Does the strength of capital market anomalies exhibit seasonal patterns? Benjamin R. Auer BriefCommunication 01 March 2018 Pages: 91 - 103
Structural factors, global shocks and sovereign debt credit ratings Carlos Uribe-TeranSantiago Mosquera OriginalPaper 02 March 2018 Pages: 104 - 126
The impact of the new real estate sector on REITs: an event study Phillip FullerEhab YamaniGeungu Yu OriginalPaper 14 March 2018 Pages: 143 - 161
Validating empirically identified risk factors Glenn PettengillGeorge Chang OriginalPaper 20 April 2018 Pages: 162 - 179
An examination of return and volatility spillovers between mature equity markets Payal JainSanjay Sehgal OriginalPaper 22 June 2018 Pages: 180 - 210