目录
Do M&A exits have the same effect on venture capital reputation than IPO exits?
并购退出对风险投资声誉的影响是否与IPO相同?
Liquidity risk and expected option returns
流动性风险与期权预期收益
Dissecting long-term Bund yields in the run-up to the ECB’s public sector purchase programme
欧洲央行公共部门购买计划前的长期国债收益率的剖析
Economic policy uncertainty, cost of capital, and corporate innovation
经济政策的不确定性,资金成本和企业创新
Finance journal rankings: Active scholar assessment revisited
金融期刊排名:积极学者的重新评估
Business-linkage volatility spillovers between US industries
美国各行业之间的业务联系波动溢出效应
Leverage, bank employee compensation and institutions
杠杆,银行员工薪酬和机构
What drives the market for exchange-traded notes?
是什么驱动着交易所买卖票据市场?
Asset pricing with mean reversion: The case of ships
均值回归的资产定价:以船舶为例
Measuring banks’ liquidity risk: An option-pricing approach
衡量银行的流动性风险:一种期权定价方法
Compulsive gambling in the financial markets: Evidence from two investor surveys
金融市场中的强迫性赌博:基于两次投资者调查
On Becoming an O-SII (“Other Systemically Important Institution”)
关于成为O-SII(“其他具有系统重要性的机构”)
How does background risk affect portfolio choice: An analysis based on uncertain mean-variance model with background risk
背景风险如何影响投资组合选择:基于具有背景风险的不确定均方差模型的分析
Pricing individual stock options using both stock and market index information
使用股票和市场指数信息对单个股票期权定价
Employment protection laws and corporate cash holdings
就业保护法和公司现金持有量
The life of U’s: Order revisions on NASDAQ
美国的生活:纳斯达克的订单修订
Capital structure and corporate diversification: Is debt a panacea for the diversification discount?
资本结构和公司多元化:债务是否是多元化折价的灵丹妙药?
Moment risk premia and the cross-section of stock returns in the European stock market
瞬时风险溢价和欧洲股票市场的股票收益横截面
Contagion in a network of heterogeneous banks
异质性银行中的网络传染性
The price of boardroom social capital: The effects of corporate demand for external connectivity
董事会社会资本的价格:公司对外部连接的需求的影响
Finance and development: Rethinking the role of financial transparency
金融与发展:重新思考金融透明度的作用
原文链接:
https://www.sciencedirect.com/journal/journal-of-banking-and-finance/issues
翻译者:侯思远