Volume 138, Issue 1, 2020
1. Limited liability and investment: Evidence from changes in marital property laws in the US South, 1840–1850
Peter Koudijs, Laura Salisbury
2. Information arrival, delay, and clustering in financial markets with dynamic freeriding
Cyrus Aghamolla, Tadashi Hashimoto
3. Fiscal policy driven bond risk premia
Lorenzo Bretscher, Alex Hsu, Andrea Tamoni
4. Location choice, portfolio choice
Ioannis Branikas, Harrison Hong, Jiangmin Xu
5. On the performance of volatility-managed portfolios
Scott Cederburg, Michael S. O’Doherty, Feifei Wang, Xuemin (Sterling) Yan
6. IQ from IP: Simplifying search in portfolio choice
Huaizhi Chen, Lauren Cohen, Umit Gurun, Dong Lou, Christopher Malloy
7. Regulatory cooperation and foreign portfolio investment
Mark Lang, Mark Maffett, James D. Omartian, Roger Silvers
8. Can ethics be taught? Evidence from securities exams and investment adviser misconduct
Zachary T. Kowaleski, Andrew G. Sutherland, Felix W. Vetter
9. The effect of exogenous information on voluntary disclosure and market quality
Sivan Frenkel, Ilan Guttman, Ilan Kremer
10. Debt collection agencies and the supply of consumer credit
Viktar Fedaseyeu
11. Liquidity risk and exchange-traded fund returns, variances, and tracking errors
Kyounghun Bae, Daejin Kim
12. The timing and consequences of seasoned equity offerings: A regression discontinuity approach
Amy Dittmar, Ran Duchin, Shuran Zhang
13. How does labor market size affect firm capital structure? Evidence from large plant openings
Hyunseob Kim