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Submissions from 2023

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The Role of Education in Capital Markets’ Liquidity, David Y. Aharon, Ahmed S. Baig, and Hassan A. Butt

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Unusual Changes in the U.S. Treasury Security Market During the Fourth Round of Quantitative Easing, Kyle D. Allen and Scott E. Hein

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Money Market Reforms: The Effect on the Commercial Paper Market, Kyle Allen, Pritam Saha, Matthew Whitledge, and Drew Winters

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COVID-19 Intensity Across U.S. States and the Liquidity of U.S. Equity Markets, Ahmed Baig, Jason Berkowitz, Ronald Jared DeLisle, and Todd Griffith

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Tobin’s Q Approximation as a Metric of Firm Performance: An Empirical Evaluation, Moeen Naseer Butt, Ahmed S. Baig, and Fazal Jawad Seyyed

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Risk Factor Disclosures: Do Managers and Markets Speak the Same Language?, Joshua J. Filzen, Garrett A. McBrayer, and Kyle S. Shannon

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Do Online Consumers Value Corporate Social Responsibility More in Times of Uncertainty?: Evidence from Online Auctions Conducted During the Onset of the COVID-19 Pandemic, Andrew S. Manikas, James R. Kroes, E. Shaunn Mattingly, and Garrett A. McBrayer

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Improving Sales in Online Auctions: The Impact of Emphasizing Corporate Social Responsibility in Item Descriptions, Andrew S. Manikas, James R. Kroes, Shaunn Mattingly, and Garrett A. McBrayer

Submissions from 2022

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The Impact of Government Interventions on Cross-Listed Securities: Evidence from the COVID-19 Pandemic, David Y. Aharon, Ahmed S. Baig, and R. Jared DeLisle

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The Impact of Robinhood Traders on the Volatility of Cross-Listed Securities, David Y. Aharon, Ahmed S. Baig, and R. Jared Delisle

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Community Bank Liquidity: Natural Disasters as a Natural Experiment, Kyle D. Allen, Matthew D. Whitledge, and Drew B. Winters

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Settling Down: T+2 Settlement Cycle and Liquidity, Ahmed Baig, Stephen Breeze, Justin Cox, and Todd Griffith

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Index Mutual Fund Ownership and Financial Reporting Quality, Ahmed Baig, R. Jared DeLisle, and Gulnara R. Zaynutdinova

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Do Retail Traders Destabilize Financial Markets?: An Investigation Surrounding the COVID-19 Pandemic, Ahmed S. Baig, Benjamin M. Blau, Hassan A. Butt, and Awaid Yasin

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Estimating Value-at-Risk Models for Non-Conventional Equity Market Index, Ahmed S. Baig, Hassan A. Butt, and Rizwan Khalid

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Did the COVID-19 Pandemic (Really) Positively Impact the IPO Market?: An Analysis of Information Uncertainty, Ahmed S. Baig and Mengxi Chen

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The Search for a New Reference Rate, Ahmed Baig and Drew B. Winters

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Natural Disaster Risk and Residential Mortgage Lending Standards, Jun Duanmu, Yongjia Li, Meimei Lin, and Salman Tahsin

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Executive Networks and Global Stock Liquidity, Jared F. Egginton, Garrett A. McBrayer, and William R. McCumber

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Natural Disasters, Risk Salience, and Corporate ESG Disclosure, Qiping Huang, Yongjia Li, Meimei Lin, and Garrett A. McBrayer

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Consideration Sets as Resources for Business Model Generation, E. Shaunn Mattingly and Garrett A. McBrayer

Submissions from 2021

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Funding Liquidity Risk and the Dynamics of Hedge Fund Lockups, Adam L. Aiken, Christopher P. Clifford, Jesse A. Ellis, and Qiping Huang

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Auditor Response to Changing Risk: Money Market Funds During the Financial Crisis, Kyle D. Allen and Drew B. Winters

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CSR Disclosure of Foreign versus U.S. Firms: Evidence from ADRs, Reza H. Chowdhury, Chengbo Fu, Qiping Huang, and Nanying Lin

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Can Hedge Funds Benefit from Corporate Social Responsibility Investment?, Jun Duanmu, Qiping Huang, Yongjia Li, and Garrett A. McBrayer

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Active Factor Investing: Hedge Funds versus the Rest of Us, Jun Duanmu, Yongjia Li, and Alexey Malakhov

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Home Price Appreciation and Residential Lending Standards, Yongjia Li and Salman Tahsin

Submissions from 2020

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Crisis Regulations: The Unexpected Consequences of Floating NAV for Money Market Funds, Kyle D. Allen and Drew B. Winters

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Capturing Hedge Fund Risk Factor Exposures: Hedge Fund Return Replication with ETFs, Jun Duanmu, Yongjia Li, and Alexey Malakhov

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Correlated Behavior in Limit Order Cancellations, Comovement in Asset Returns, and Commonality in Liquidity, Jared Egginton and Ethan D. Watson

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On the Market Timing of Hedging: Evidence from U.S. Oil and Gas Producers, Liu Hong, Yongjia Li, Kangzhen Xie, and Claire J. Yan

Submissions from 2019

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A Relationship Among Neighborhood Traits, Home Sales and Mortgage Fraud: The Atlanta Market Leading into the Mortgage Crash of 2008, M. Cary Collins, Ann Fulmer, Keith Harvey, and Peter J. Nigro

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Does It Pay to Be Forthcoming?: Evidence from CSR Disclosure and Equity Market Liquidity, Jared F. Egginton and Garrett A. McBrayer

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Cash Flow Volatility and Trade Credit in Asia, Chris Harris, Scott Roark, and Zhe Li

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Exploring the Relationship Between Agricultural Intensification and Changes in Cropland Areas in the US, Meimei Lin and Qiping Huang

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Credit Ratings and the Cost of Issuing Seasoned Equity, Garrett A. McBrayer

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Return and Liquidity Response to Fraud and SEC Investigations, Brandon C.L. Morris, Jared F. Egginton, and Kathleen P. Fuller

Submissions from 2018

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An Event Study Analysis of Too-Big-to-Fail After the Dodd-Frank Act: Who is Too Big to Fail?, Kyle D. Allen, Ken B. Cyree, Matthew D. Whitledge, and Drew B. Winters

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The Robust "Maximum Daily Return Effect as Demand for Lottery" and "Idiosyncratic Volatility Puzzle", Jared Egginton and Jungshik Hur

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Does Persistence Explain ESG Disclosure Decisions?, Garret A. McBrayer

Submissions from 2016

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Perceived and Realized Risk Tolerance: Changes During the 2008 Financial Crisis, Diane K. Schooley and Debra Drecnik Worden

Submissions from 2015

SASB: A Pathway to Sustainability Reporting in the United States, Diane K. Schooley and Denise M. English

Submissions from 2013

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Branding Basques, Bilbao, and Boise: Marketing as Metaphor for History, John Bieter and Nina M. Ray

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Accumulating and Spending Retirement Assets: A Behavioral Finance Explanation, Diane K. Schooley-Pettis and Debra Drecnik Worden

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Leading a Multiple Project Mobile Learning Initiative: The Approach at Boise State University, Susan E. Shadle, Ross A. Perkins, Doug J. Lincoln, Michael J. Humphrey, and R. Eric Landrum

Books from 2012

Capital as Money, Brian McGrath and L. Dwayne Barney

Submissions from 2010

Mortgage Brokers and Mortgage Rate Spreads: Their Pricing Influence Depends on Neighborhood Type, M. Cary Collins and Keith D. Harvey

Target Date Funds: Simple in Concept but Complex in Practice, Matthew Maher, Harry White, and Diane Schooley-Pettis

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Fueling the Credit Crisis: Who Uses Consumer Credit and What Drives Debt Burden?, Diane Schooley-Pettis and Debra Drecnik Worden

Shareholder Proposals, Board Composition, and Leadership Structure, Diane Schooley-Pettis, Celia Renner, and Mary Allen

Submissions from 2009

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Using Corporate Inflation Protected Securities to Hedge Interest Rate Risk, L. Dwayne Barney and Keith D. Harvey

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Substituting Corporate Saving for Personal Saving: An Explanation for Falling Personal Saving Rates, L. Dwayne Barney, Diane K. Schooley-Pettis, and Harry White

Maintenance of Latvian Business Language, Culture, and Community through Heritage Tourism and the Internet, Gundars Kaupins, Nina M. Ray, and Andris Berzins

Submissions from 2006

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Case Study: Promoting Design Automation by Rural Manufacturers, Steve Tennyson, Gary McCain, Steve Hatten, and Rudy Eggert