Stock Market Volatility

As the vast field of finance continues to rapidly expand, it becomes increasingly important to present the latest research and applications to academics, practitioners, and students in the field.

An active and timely forum for both traditional and modern developments in the financial sector, this finance series aims to promote the whole spectrum of traditional and classic disciplines in banking and money, general finance and investments (economics, econometrics, corporate finance and valuation,treasury management, and asset and liability management), mergers and acquisitions, hinsurance, tax and accounting, and compliance and regulatory issues. The series also captures new and modern developments in risk management (market risk, credit risk, operational risk, capital attribution, and liquidity risk), behavioral finance, trading and financial markets innovations, financial engineering,alternative investments and the hedge funds industry, and financial crisis management.