We are pleased to announce the publication of Volume 28, Issue 1 of the Review of Finance. Below, you will find a list of the articles (and short summaries for some) included in this issue.
Contents:
- “Do Anomalies Really Predict Market Returns? New Data and New Evidence“ by Nusret Cakici, Christian Fieberg, Daniel Metko, and Adam Zaremba. (Summary here)
- “Low Carbon Mutual Funds“ by Marco Ceccarelli, Stefano Ramelli, and Alexander F. Wagner. (Summary here)
- “Are Carbon Emissions Associated with Stock Returns?“ by Jitendra Aswani, Aneesh Raghunandan, and Shiva Rajgopal.
- “Discussion on Carbon Emissions and Stock Returns“ by Patrick Bolton and Marcin Kacperczyk.
- “Response to Carbon Emissions and Stock Returns Discussion“ by Jitendra Aswani, Aneesh Raghunandan, and Shiva Rajgopal.
- “Impact of Corporate Subsidies on Borrowing Costs of Local Governments: Evidence from Municipal Bonds“ by Sudheer Chava, Baridhi Malakar, and Manpreet Singh.
- “Asymmetric Information and Corporate Lending: Insights from SME Bond Markets“ by Alessandra Iannamorelli, Stefano Nobili, Antonio Scalia, and Luana Zaccaria. (Summary here)
- “Regulatory Sandboxes and Fintech Funding: Evidence from the UK“ by Giulio Cornelli, Sebastian Doerr, Leonardo Gambacorta, and Ouarda Merrouche. (Summary here)
- “Optimal Capital Structure and Risk Management Strategies of Banks Employing CoCo Futures to Mitigate Financial-Sector Risk“ by Robert S. Goldstein and Fan Yang.
- “Do Insiders Hire CEOs with High Managerial Talent?“ by Jason D. Kotter and Yelena Larkin. (Summary here)
- “Inefficient Regulation: Mortgages versus Total Credit“ by Artashes Karapetyan, Jens Soerlie Kvaerner, and Maximilian Rohrer. (Summary here)
- “Do Banks Worry about Attentive Depositors? Evidence from Multiple-Brand Banks“ by Matthieu Chavaz and Pablo Slutzky. (Summary here)
To access the complete issue, please click here and for the full list of digests (short summaries), please click here.