Issue 2 of Volume 29 of the Review of Finance is now available!

We are pleased to announce that Issue 2 of Volume 29 of the Review of Finance is now available.

Contents:

  1. What drives commodity price variation? (Summary here)
    by Meng Han, Lammertjan Dam, Walter Pohl
  2. Corporate Governance, Meritocracy and Careers (Summary here)
    by Marco Pagano and Luca Picariello
  3. Supervisory cooperation and regulatory arbitrage
    by Thorsten Beck, Consuelo Silva-Buston, Wolf Wagner
  4. Bank Regulation, Investment, and Capital Requirements Under Adverse Selection
    by Thomas J Rivera
  5. A Good Sketch is Better than A Long Speech: Evaluate Delinquency Risk through Real-Time Video Analysis
    by Xiangyu Chang, Lili Dai, Lingbing Feng, Jianlei Han, Jing Shi, Bohui Zhang
  6. Saving Externality: When Depositing Too Much Breaks the Bank (Summary here)
    by Agnese Leonello, Caterina Mendicino, Ettore Panetti, Davide Porcellacchia
  7. How do corporate tax hikes affect investment allocation within multinationals? (Summary here)
    by Antonio De Vito, Martin Jacob, Dirk Schindler, Guosong Xu
  8. Do salient climatic risks affect shareholder voting? (Summary here)
    by Eliezer M Fich and Guosong Xu
  9. Blockbuster or Bust? Silver Screen Effect and Stock Returns (Summary here)
    by Sanghyun Hong and Xiaopeng Wei
  10. Correction to: Margin constraints and asset prices

To access the complete issue, please click here.

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