All Stories

  1. Carbon prices and green bond markets: Global insights from quantile connectedness
  2. Climate Transition Risk, ESG Rating Divergence and Portfolio Performance: Evidence From Composite Scores and Climate‐Adjusted Factor Models
  3. Can board refreshment mitigate managerial power: New evidence from the MENA region
  4. Innovative startups and their traditional peers: Further evidence using performance and survival analysis
  5. Volatility estimation through stochastic processes: Evidence from cryptocurrencies
  6. The predictability of technical analysis in foreign exchange market using forward return: evidence from developed and emerging currencies
  7. Dynamic connectedness between FinTech and energy markets: Evidence from fat tails, serial dependence, and Bayesian approach
  8. The veil of secrecy: Family firms’ approach to ESG transparency and the role of institutional investors
  9. Investors' preferences for sustainable investments: Evidence from the U.S. using an experimental approach
  10. Bitcoin volatility and the introduction of bitcoin futures: A portfolio construction approach
  11. Is it all about noise? Investor sentiment and risk nexus: evidence from China
  12. Revisiting overconfidence in investment decision-making: Further evidence from the U.S. market
  13. Green Finance and Sustainable Development Goals
  14. Dynamic connectedness between energy markets and cryptocurrencies: evidence from the Covid-19 pandemic
  15. Stay close to me: What do ESG scores tell about the deal timing in M&A transactions?
  16. Does it Make You Better Off? Initial Public Offerings (IPOs) and Corporate Sustainability Performance: Empirical Evidence
  17. Freshen up before going public: Do environmental, social, and governance factors affect firms' appearance during the initial public offering?
  18. A need for assurance: Do internal control systems integrate environmental, social, and governance factors?
  19. Capital structure in family firms: the role of innovation activity and institutional investors
  20. Leverage-value nexus in Italian small-medium enterprises: further evidence using dose-response function
  21. Global Commodities
  22. Gender diversity and corporate performance: Emphasis on sustainability performance
  23. The value relevance of Other Comprehensive Income: Extensive evidence from Europe
  24. The relevance of valuation models: insights from Palestine exchange
  25. European emission allowance and equity markets: evidence from further trading phases
  26. The Important Role of Universities in Enhancing Sustainability: The Case of the University of Milano-Bicocca
  27. European Emission Allowance and the Equity Markets: Evidence from Further Trading Phases
  28. Firm Characteristics and Innovation Activity: A Study of Italian Family Firms
  29. Performance of Exchange Traded Funds during the Brexit Referendum: An Event Study
  30. Performance of Exchange Traded Funds During the Brexit Referendum: An Event Study
  31. Forecasting The Italian Day-Ahead Electricity Price Using Bootstrap Aggregation Method
  32. Initial Public Offerings, Underpricing and Performance: the case of Top International Brands
  33. Initial Public Offerings, Underpricing and Performance: The Case of Top International Brands
  34. Forecasting Wholesale Electricity Prices With Artificial Intelligence Models: The Italian Case
  35. Forecasting the Italian Wholesale Electricity Price Using Artificial Intelligence Models
  36. Going Public and Underpricing as Brand Value Enhancing Tools
  37. Initial Public Offerings 'IPOs', Underpricing & Performance: The Case of Top International Brands
  38. Going Public and Underpricing as Brand Value Enhancing Tools