Vol. 3 No. 1 (2011): Banking and Finance Review
What Drive Banks’ Abnormal Returns?
Xiaolou Yang, Peter Woodlock
Examining the Uncertainty-Investment Relationship under Various Stochastic Processes
George Yungchih Wang
Corporate Governance: Implications for Canadian Cross-border Acquisitions
Imen Tebourbi
The Impact of TARP Bailouts on Stock Market Volatility and Investor Fear
Daniel Huerta, Daniel Perez-Liston, Dave Jackson
Dealers' Response to Industry-wide Information: Evidence from intraday short-sale data
Wei Zhang
The Role of Executive Blockholder in a Completed Merger
Khaled Abdou, Paramita Gupt