We are pleased to announce that Issue 2 of Volume 30 of the Review of Finance is now available.
- Firm-level green innovation beyond patents (Summary here)
By Markus Leippold and Tingyu Yu - Retail limit orders (Summary here)
By Amber Anand, Mehrdad Samadi, Jonathan Sokobin, and Kumar Venkataraman - Losing is optional: retail option trading and expected announcement volatility
By Tim de Silva, Eric C So, and Kevin Smith - Biodiversity co-benefits in carbon markets? Evidence from voluntary offset projects (Summary here)
By Zoey Yiyuan Zhou and Douglas Almond - Climate change and individual behavior
By René Bernard, Panagiota Tzamourani, and Michael Weber - Who should pay for ESG ratings? (Summary here)
By Stefano Lovo and Jacques Olivier - Do appraiser and borrower race affect mortgage collateral valuation?
By Brent W Ambrose, James N Conklin, N Edward Coulson, Moussa Diop, and Luis A Lopez - A “bad beta, good beta” anatomy of currency risk premiums and trading strategies (Summary here)
By I-Hsuan Ethan Chiang, and Xi Nancy Mo - Financial intermediary relationships and public market access (Summary here)
By Alexander Tuft, and Emmanuel Yimfor - Housing speculation and entrepreneurship
Xuan Tian, and Yichu Wang
To access the complete issue, please click here.