No. 57-1, February 2022
Index
- Board monitoring and advising trade‐offs amidst economic policy uncertainty
- Corporate social responsibility and shareholder wealth: New insights from information spillovers
- Credit derivatives and loan yields
- Dealers' incentives to reveal their names
- Do changes in MD&A section tone predict investment behavior?
- Do short‐term institutions exploit stock return anomalies?
- Do U.S. firms disguise acquisitions to avoid taxes?
- Issue Information
- The cross‐sectional return predictability of employment growth: A liquidity risk explanation
- The more we know, the less we agree: A test of the trading horizon heterogeneity theory