Volume 145, Issue 2, 2022
1. News as sources of jumps in stock returns: Evidence from 21 million news articles for 9000 companies
Yoontae Jeon, Thomas H. McCurdy, Xiaofei Zhao
2. Fund manager skill in an era of globalization: Offshore concentration and fund performance
John Jianqiu Bai, Yuehua Tang, Chi Wan, H. Zafer Yüksel
3. Skill versus reliability in venture capital
Naveen Khanna, Richmond D. Mathews
4. Machine learning in the Chinese stock market
Markus Leippold, Qian Wang, Wenyu Zhou
5. A frog in every pan: Information discreteness and the lead-lag returns puzzle
Shiyang Huang, Charles M.C. Lee, Yang Song, Hong Xiang
6. The effect of media-linked directors on financing and external governance
Alberta Di Giuli, Paul A. Laux
7. Gravity, counterparties, and foreign investment
Cristian Badarinza, Tarun Ramadorai, Chihiro Shimizu
8. Value creation in shareholder activism
Rui Albuquerque, Vyacheslav Fos, Enrique Schroth
9. Intermediation in the interbank lending market
Ben Craig, Yiming Ma
10. The value of intermediation in the stock market
Marco Di Maggio, Mark Egan, Francesco Franzoni
11. Music sentiment and stock returns around the world
Alex Edmans, Adrian Fernandez-Perez, Alexandre Garel, Ivan Indriawan
12. Financial education affects financial knowledge and downstream behaviors
Tim Kaiser, Annamaria Lusardi, Lukas Menkhoff, Carly Urban
13. Asset pricing with return extrapolation
Lawrence J. Jin, Pengfei Sui
14. Sitting bucks: Stale pricing in fixed income funds
Jaewon Choi, Mathias Kronlund, Ji Yeol Jimmy Oh
15. Financing constraints, home equity and selection into entrepreneurship
Thais Laerkholm Jensen, Søren Leth-Petersen, Ramana Nanda