How do we assess the quality of corporate financial reporting? A methodological issue
Md. Shamimul Hasan, Normah Omar
págs. 2-17
The importance of asymmetric autoregressive stochastic volatility models in financial markets
María Carmen García Centeno
págs. 24-45
Viviane Y. Naimy, Joelle Chukri
págs. 46-63
Gaining insights into the efficiency of the Indian banking sector
Rubén Elvira Herranz, Rahul De
págs. 70-89
Investment performance of US and European pension funds. A comparative analysis
Jennifer Foo, Dorota Witkowska
págs. 90-109
págs. 110-127
An examination of the Portuguese banking sector crisis
Vítor Pereira, José Antonio Filipe
págs. 128-143