Financial Markets The Asymmetric Response of Sovereign Credit Spreads to Risk Aversion, Investor Sentiment, and Monetary Policy Shocks
Financial Markets Sovereign Bonds and Flight to Safety: Implications of the COVID-19 Crisis for Sovereign Debt Markets in the G-7 and E-7 Economies
Financial Markets Which Commodity Sectors Effectively Hedge Emerging Eastern European Stock Markets? Evidence from MGARCH Models
Financial Markets Switching Spillovers, Connectedness, and Portfolio Design Among the Green Bond, Oil, and Stock Markets
Corporate Finance and Governance Gender Diversity on Audit Committee and Audit Fees: Evidence from France