Table of Contents

Date01 February 2016
Published date01 February 2016
DOIhttp://doi.org/10.1111/fire.12081
The Financial Review
FEBRUARY 2016 qVOLUME 51 qNO. 1
Contents
The Debt Trap: Wealth Transfers and Debt-Equity Choices
of Junk-Grade Firms ................................................. 5–35
Palani-Rajan Kadapakkam, Alex Meisami, and John K. Wald
Managerial Social Capital and Financial Development:
A Cross-Country Analysis .......................................... 37–68
David Javakhadze, Stephen P. Ferris, and Dan W. French
How Informative Is Floating NAV When Securities
Trade Infrequently? ................................................. 69–82
Kyle D. Allen, George D. Cashman, and Drew B. Winters
Asymmetric Volatility, Skewness, and Downside Risk in Different
Asset Classes: Evidence from Futures Markets .................... 83–111
Yiuman Tse
The Epstein–Zin Model with Liquidity Extension ............... 113–146
Weimin Liu, Di Luo, and Huainan Zhao

To continue reading

Request your trial

VLEX uses login cookies to provide you with a better browsing experience. If you click on 'Accept' or continue browsing this site we consider that you accept our cookie policy. ACCEPT