Volume 131, Issue 2, 2019

1. Regulating a model
Yaron Leitner, Bilge Yilmaz

2. The CAPM strikes back? An equilibrium model with disasters
Hang Bai, Kewei Hou, Howard Kung, Erica X.N. Li, Lu Zhang

3. Collateralizing liquidity
Cecilia Parlatore

4. Inferring latent social networks from stock holdings
Harrison Hong, Jiangmin Xu

5. Who benefits in a crisis? Evidence from hedge fund stock and option holdings
George O. Aragon, J. Spencer Martin, Zhen Shi

6. The profitability and investment premium: Pre-1963 evidence
Sunil Wahal

7. How effective are trading pauses?
Nikolaus Hautsch, Akos Horvath

8. Mark Twain’s Cat: Investment experience, categorical thinking, and stock selection
Xing Huang

9. The impact of jumps on carry trade returns
Suzanne S. Lee, Minho Wang

10. Firms’ innovation strategy under the shadow of analyst coverage
Bing Guo, David Pérez-Castrillo, Anna Toldrà-Simats

11. Trade credit and supplier competition
Jiri Chod, Evgeny Lyandres, S. Alex Yang