Volume 135, Issue 2, 2020

1. Shrinking the cross-section
Serhiy Kozak, Stefan Nagel, Shrihari Santosh

2. Trading and arbitrage in cryptocurrency markets
Igor Makarov, Antoinette Schoar

3. Show me the money: The monetary policy risk premium
Ali Ozdagli, Mihail Velikov

4. Quantify the quantitative easing: Impact on bonds and corporate debt issuance
Karamfil Todorov

5. Trading out of sight: An analysis of cross-trading in mutual fund families
Alexander Eisele, Tamara Nefedova, Gianpaolo Parise, Kim Peijnenburg

6. An ill wind? Terrorist attacks and CEO compensation
Yunhao Dai, P. Raghavendra Rau, Aris Stouraitis, Weiqiang Tan

7. Measuring skewness premia
Hugues Langlois

8. Reputations and credit ratings: Evidence from commercial mortgage-backed securities
Ramin P. Baghai, Bo Becker

9. Financing dies in darkness? The impact of newspaper closures on public finance
Pengjie Gao, Chang Lee, Dermot Murphy

10. An inconvenient cost: The effects of climate change on municipal bonds
Marcus Painter

11. Institutional shareholders and corporate social responsibility
Tao Chen, Hui Dong, Chen Lin

12. Inventor CEOs
Emdad Islam, Jason Zein

13. Is information risk priced? Evidence from abnormal idiosyncratic volatility
Yung Chiang Yang, Bohui Zhang, Chu Zhang