No. 27-1, January 2021
Index
- Banks' noninterest income and securities holdings in a low interest rate environment: The case of Italy
- Disentangling types of liquidity and testing limits‐to‐arbitrage theories in the CDS–bond basis
- ESG preferences, risk and return
- Firm vertical boundaries, internal capital markets, and firm performance
- How to build a factor portfolio: Does the allocation strategy matter?
- Issue Information: European Financial Management 1/2021
- Recovering the market risk premium from higher‐order moment risks
- Taxes