Ausgabe 2/2020
Inhalt (13 Artikel)
The substitutive relation between voluntary disclosure and corporate governance in their effects on firm performance
Luminita Enache, Khaled Hussainey
The impact of corporate tax avoidance on analyst coverage and forecasts
Guanming He, Helen Mengbing Ren, Richard Taffler
Systemic risk-shifting in U.S. commercial banking
Angelos Kanas, Panagiotis D. Zervopoulos
Private placements, market discounts and firm performance: the perspective of corporate life cycle analysis
Kai-Shi Chuang
Adoption of performance-vested equity incentives under investor pressure: window dressing or taking the window of opportunity?
Chii-Shyan Kuo, Chandra Subramaniam, Xu Wang, Shih-Ti Yu
In search of winning mutual funds in the Chinese stock market
Dimitrios Koutmos, Bochen Wu, Qi Zhang
Corporate risk-taking after adoption of compensation clawback provisions
Yin Liu, Huiqi Gan, Khondkar Karim
An improved of Hull–White model for valuing Employee Stock Options (ESOs)
Erwinna Chendra, Kuntjoro A. Sidarto
Investor learning, earnings signals, and stock returns
Peng-Chia Chiu, Timothy D. Haight
Share repurchases and accounting conservatism
Gerald J. Lobo, Ashok Robin, Kean Wu
Lucky lots and unlucky investors
Tao Chen, Andreas Karathanasopoulos, Stanley Iat-Meng Ko, Chia Chun Lo
The market pricing of negative special items through time: an unintended consequence of regulation change?
Thomas J. Lopez, Craig A. Sisneros, Trevor Sorensen