We are pleased to announce that Issue 2 of Volume 29 of the Review of Finance is now available.
Contents:
- What drives commodity price variation? (Summary here)
by Meng Han, Lammertjan Dam, Walter Pohl - Corporate Governance, Meritocracy and Careers (Summary here)
by Marco Pagano and Luca Picariello - Supervisory cooperation and regulatory arbitrage
by Thorsten Beck, Consuelo Silva-Buston, Wolf Wagner - Bank Regulation, Investment, and Capital Requirements Under Adverse Selection
by Thomas J Rivera - 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 - Saving Externality: When Depositing Too Much Breaks the Bank (Summary here)
by Agnese Leonello, Caterina Mendicino, Ettore Panetti, Davide Porcellacchia - How do corporate tax hikes affect investment allocation within multinationals? (Summary here)
by Antonio De Vito, Martin Jacob, Dirk Schindler, Guosong Xu - Do salient climatic risks affect shareholder voting? (Summary here)
by Eliezer M Fich and Guosong Xu - Blockbuster or Bust? Silver Screen Effect and Stock Returns (Summary here)
by Sanghyun Hong and Xiaopeng Wei - Correction to: Margin constraints and asset prices
To access the complete issue, please click here.