Journal of Risk and Financial Management Issues Research Articles in May 2020 Edition
May 28, 2020
May 28, 2020
BASEL, Switzerland, May 28 -- The Journal of Risk and Financial Management, a peer-reviewed open access journal on risk and financial management, published research articles on the following topics in its May 2020 edition:
* Analyst Forecast Dispersion and Market Return Predictability: Does Conditional Equity Premium Play a Role?
* Competition, Debt Maturity, and Adjustment Speed in China: A Dynamic Fractional Estimation Approach
* Corporate Governance and . . .
* Analyst Forecast Dispersion and Market Return Predictability: Does Conditional Equity Premium Play a Role?
* Competition, Debt Maturity, and Adjustment Speed in China: A Dynamic Fractional Estimation Approach
* Corporate Governance and . . .