Volume 181, 2026
1. Bonding with risk: Corporate investment and savings in risky financial assets
Teng Huang, Stefano Sacchetto
2. Sustainable investing and market governance
Alvin Chen, Deeksha Gupta, Jan Starmans
3. Government litigation risk and the decline in low-income mortgage lending
W. Scott Frame, Kristopher Gerardi, Erik J. Mayer, Billy Y. Xu, Lawrence Chengzhi Zhao
4. Extrapolators and contrarians: Forecast bias and individual investor stock trading
Steffen Andersen, Stephen G. Dimmock, Kasper Meisner Nielsen, Kim Peijnenburg
5. Risk-averse dealers in a risk-free market—The role of trading desk risk limits
Dan Li, Lubomir Petrasek, Mary Tian
6. Flying below the radar: Insider trading by executives below the top
Hans K. Hvide, Kasper Meisner Nielsen
7. Glass box machine learning and corporate bond returns
Sebastian Bell, Ali Kakhbod, Martin Lettau, Abdolreza Nazemi
8. Financial literacy and financial crime: A regression discontinuity approach
Paul G. Freed, John Hackney
