We are pleased to announce that Issue 1 of Volume 29 of the Review of Finance is now available.
Contents:
- Liquidity and the strategic value of information (Summary here)
by Ohad Kadan and Asaf Manela - Securities financing and asset markets: new evidence (Summary here)
by Tomas Breach and Thomas B King - Trust and delegated investing: a Money Doctors experiment
by Maximilian Germann, Lukas Mertes, Martin Weber, and Benjamin Loos - Tradable Risk Factors for Institutional and Retail Investors (Summary here)
by Andreas Johansson, Riccardo Sabbatucci, and Andrea Tamoni - Margin constraints and asset prices
by Jungkyu Ahn - Credit ratings: strategic issuer disclosure and optimal screening
by Jonathan B Cohn, Uday Rajan, and Günter Strobl - Large orders in small markets: execution with endogenous liquidity supply (Summary here)
by Agostino Capponi, Albert J. Menkveld, and Hongzhong Zhang - Empirical determinants of momentum: a perspective using international data (Summary here)
by Amit Goyal, Narasimhan Jegadeesh, and Avanidhar Subrahmanyam - It’s not (only) personal, it’s business: personal bankruptcy exemptions and business credit (Summary here)
by Rebel A Cole, Jason Damm, John Hackney, and Masim Suleymanov
To access the complete issue, please click here.