No. 41-9-10, November 2014
Index
- Accounting Ratios and the Cross‐section of Expected Stock Returns
- CEO Overconfidence and Earnings Management During Shifting Regulatory Regimes
- CEO Risk‐taking Incentives and Bank Loan Syndicate Structure
- Does Limited Attention Constrain Investors’ Acquisition of Firm‐specific Information?
- Individuals’ Trading Prior to Earnings Announcements
- Stable Shareholdings, the Decision Horizon Problem and Earnings Smoothing
- Supplier Financing and Earnings Quality
- Taxes, International Clienteles and the Value of ADR Dividends
- The Informativeness of Dividends and Associated Tax Credits
- When Good News Is Not So Good: Economy‐wide Uncertainty and Stock Returns