All Stories

  1. Transnational spillover effects of European sovereign rating signals on bank stock returns
  2. Is there a gender gap in equity-based crowdfunding?
  3. A view to a deal: the effect of upcoming investment banking transactions on financial analysts’ target price estimates
  4. The rating spillover from banks to sovereigns: An empirical investigation across the European Union
  5. Informational effects of MiFID: the case of equity analysts
  6. Determinants of Internal Fraud and Improper Business or Market Practices in Financial Institutions
  7. Drivers of Bank Solvency, Risk Provisioning and Profitability in the Armenian Banking System
  8. The effect of the European Markets in Financial Instruments Directive on affiliated analysts’ earnings forecast optimism
  9. Systemic operational risk
  10. The Informational Content of Issuer Credit Rating Changes in Emerging Stock Markets: Evidence from China
  11. The information content of issuer rating changes: Evidence for the G7 stock markets
  12. The value relevance of “too-big-to-fail” guarantees
  13. Stock price effects of asset securitization: The case of liquidity facility providers
  14. Financial regulation, collective cognition, and nation state crisis management
  15. Big is beautiful: the information content of bank rating changes
  16. Unobservable service quality and moral hazard: the case of impartial business valuations