Information transmission between stock and bond markets during the Eurozone debt crisis: evidence from industry returns
Nuno Silva
págs. 381-394
págs. 395-408
Variance risk premium and expected currency return: the story is different at the tails of the distribution
Baki Cem Sahin
págs. 409-422
The speed of adjustment in net operating working capital: an international study
Sonia Baños-Caballero, Pedro Juan García Teruel , Pedro Martínez Solano
págs. 423-440
International diversification and performance in family firm: exploring nonlinear relationships with the governance structure in an emerging economy
Christian Espinosa Méndez, Mauricio A. Jara Bertín
págs. 441-468
Audit quality and fees: evidence from Spain
Isidoro Guzmán Raja, Mariano González Sánchez , Enrique Rúa Alonso de Corrales, Juan Francisco Sánchez García
págs. 469-492