No. 30-5, November 2024
Index
- A success dressed as a failure? Evidence from post‐IPO withdrawal outcomes in Europe
- Benefit corporation certification and financial performance: Capital structure matters
- Bond return predictability: Macro factors and machine learning methods
- Can quantitative investment improve market efficiency?—Evidence from China
- Do customers matter in currency hedging policies? Evidence from product warranties
- Euro area banks' asset‐liability dependency and unconventional monetary policy over the years 2013–2021: Does size matter?
- Issue Information: European Financial Management 5/2024
- Mandatory ESG disclosure, information asymmetry, and litigation risk: Evidence from initial public offerings
- Mortgage rates and credit risk: Evidence from mortgage pools
- So different and yet so alike: A comparative analysis of firms' connectedness in the stock and corporate bond markets
- Spillover in higher‐order moments across carbon and energy markets: A portfolio view
- Spillovers of PE investments
- The impact of credit reforms on bank loans and firm leverage around the world
- The influence of initial sponsor backing on post‐IPO acquisition activity