Elsevier
Pacific-Basin Finance Journal
Contact information of Elsevier:
Web page: http://www.elsevier.com/locate/pacfin
Download restrictions: Full text for ScienceDirect subscribers only
Editor: K. Chan
Editor:
For corrections or technical questions regarding this series, please contact
(Wendy Shamier)
Series handle: repec:eee:pacfin
Citations RSS feed: at CitEc
Impact factors:
Simple,
Recursive,
Discounted,
Recursive discounted,
H-Index,
Aggregate
Access and download statistics
Top item: By citations. By downloads (last 12 months).
More pages of listings: 0| 1| 2
2013, Volume 22, Issue C
- 1-13 Corporate restructuring, financial deregulation, and firm value: Evidence from Japanese “spin-ins”
by Choi, Yoon K. & Han, Seung Hun - 14-36 Death spiral issues in emerging market: A control related perspective
by Kim, Woochan & Kim, Woojin & Kim, Hyungseok - 37-49 Yen/Dollar volatility and Chinese fear of floating: Pressures from the NDF market
by Gu, Li & McNelis, Paul D. - 50-68 Tunneling and the decision to go private: Evidence from Hong Kong
by Du, Julan & He, Qing & Yuen, San Wing - 69-87 Can US economic variables predict the Chinese stock market?
by Goh, Jeremy C. & Jiang, Fuwei & Tu, Jun & Wang, Yuchen - 88-106 Does having a credit rating leave less money on the table when raising capital? A study of credit ratings and seasoned equity offerings in China
by Poon, Winnie P.H. & Chan, Kam C. & Firth, Michael A. - 107-124 Can we treat empirical regularities as state variables in the ICAPM? Evidence from Australia
by Docherty, Paul & Chan, Howard & Easton, Steve
2013, Volume 21, Issue 1
- 881-898 Corporate governance, violations and market reactions
by Kouwenberg, Roy & Phunnarungsi, Visit - 899-913 The price of sin in the Pacific-Basin
by Durand, Robert B. & Koh, SzeKee & Tan, Paul LiJian - 914-931 State ownership and bank equity in the Asia-Pacific region
by Hossain, Mahmud & Jain, Pankaj K. & Mitra, Santanu - 932-951 Investors' information advantage and order choices in an order-driven market
by Tsai, Shih-Chuan - 952-966 An empirical study of credit spreads in an emerging market: The case of Korea
by Park, Keehwan & Ahn, Chang Mo & Kim, Dohyeon & Kim, Saekwon - 967-983 Measuring the effect of postal saving privatization on the Japanese banking industry: Evidence from the 2005 general election
by Sawada, Michiru - 984-1007 The price impact of options and futures volume in after-hours stock market trading
by Chang, Chuang-Chang & Hsieh, Pei-Fang & Lai, Hung-Neng - 1008-1023 Commonality in individuals' trading: A systematic path between behavioral bias and expected returns
by Chae, Joon & Yang, Cheol-Won - 1024-1045 The relation of trade size and price contribution in a traditional foreign exchange brokered market
by Ligon, James A. & Liu, Hao-Chen - 1046-1061 Opportunistic insider trading
by Tirapat, Sunti & Visaltanachoti, Nuttawat - 1062-1078 Is transaction price more value relevant compared to accounting information? An investigation of a time-series approach
by Tswei, Keshin - 1079-1101 Political connections, corporate governance and preferential bank loans
by Yeh, Yin-Hua & Shu, Pei-Gi & Chiu, Shean-Bii - 1102-1115 The house money effect on investment risk taking: Evidence from Taiwan
by Hsu, Yuan-Lin & Chow, Edward H. - 1116-1135 Information asymmetry, price discovery, and the Chinese B-share discount puzzle
by Doukas, John A. & Wang, Liu - 1136-1159 CEO gender, executive compensation and firm performance in Chinese‐listed enterprises
by Lam, Kevin C.K. & McGuinness, Paul B. & Vieito, João Paulo - 1160-1174 Is there a reversal in the price discovery process under different market conditions? Evidence from Korean ADRs and their underlying foreign securities
by Wang, Ming-Chieh - 1175-1190 Asset returns and liquidity effects: Evidence from a developed but small market
by Nguyen, Nhut H. & Lo, Ka Hei - 1191-1208 Weekly momentum by return interval ranking
by Pan, Li & Tang, Ya & Xu, Jianguo - 1209-1231 Liquidity commonality among Asian equity markets
by Wang, Jianxin - 1232-1248 Short selling by individual investors: Destabilizing or price discovering?
by Jung, Chan Shik & Kim, Woojin & Lee, Dong Wook
2012, Volume 20, Issue 3
- 329-348 Intraday dynamics of volatility and duration: Evidence from Chinese stocks
by Liu, Chun & Maheu, John M. - 349-362 How close a relationship does a capital market have with other such markets? The case of Taiwan from the Asian financial crisis
by Lee, Chingnun & Shie, Fu Shuen & Chang, Chiao Yi - 363-377 Corporate philanthropy: Insights from the 2008 Wenchuan Earthquake in China
by Gao, Fox & Faff, Robert & Navissi, Farshid - 378-397 Pricing and information content of block trades on the Shanghai Stock Exchange
by Fan, Longzhen & Hu, Bill & Jiang, Christine - 398-415 Multiple founders and firm value
by Chen, En-Te & Gray, Stephen & Nowland, John - 416-437 The investment value of the value premium
by Brailsford, Tim & Gaunt, Clive & O'Brien, Michael A. - 438-458 Economic conditions, lending competition, and evaluation effect of credit line announcements on borrowers
by Liu, Yong-Chin & Chen, Hsiang-Ju - 459-482 Blockholding and market reactions to equity offerings in China
by Cheung, William & Lam, Keith S.K. & Tam, Lewis H.K. - 483-505 Decoupling the distressed banks and their clients, and coupling the distressed firms and their lending banks
by Wang, Chien-An & Shen, Chung-Hua - 506-520 Short-sale constraints: Reductions in costs of capital or overvaluation? Evidence from Hong Kong
by Chang, Eric C. & Cheng, Joseph W. & Pinegar, J. Michael & Yu, Yinghui - 521-541 Enter the dragon: Interactions between Chinese, US and Asia-Pacific equity markets, 1995–2010
by Burdekin, Richard C.K. & Siklos, Pierre L.
2012, Volume 20, Issue 2
- 173-197 Bank-based and market-based financial systems: Time-series evidence
by Lee, Bong-Soo - 198-227 Evaluating asset pricing models in the Korean stock market
by Kim, Soon-Ho & Kim, Dongcheol & Shin, Hyun-Soo - 228-246 Size and performance of Chinese mutual funds: The role of economy of scale and liquidity
by Tang, Ke & Wang, Wenjun & Xu, Rong - 247-270 Volatility spillovers between the Chinese and world equity markets
by Zhou, Xiangyi & Zhang, Weijin & Zhang, Jie - 271-291 Testing financial contagion on heteroskedastic asset returns in time-varying conditional correlation
by Choe, Kwang-il & Choi, Pilsun & Nam, Kiseok & Vahid, Farshid - 292-309 Unintended regulatory consequences: Evidence from the Korean IPOs
by Chang, Kiyoung & Kim, Yong-Cheol & Kim, Young Sang & Thornton, John H. - 310-327 How do investors react under uncertainty?
by Bird, Ron & Yeung, Danny
2011, Volume 19, Issue 5
- 447-469 A tool for scrutinizing bank bailouts based on multi-period peer benchmarking
by Avkiran, Necmi K. & Goto, Mika - 470-490 Connected transactions and firm value: Evidence from China-affiliated companies
by Lei, Adrian C.H. & Song, Frank M. - 491-510 Style analysis and Value-at-Risk of Asia-focused hedge funds
by Weng, Haijie & Trück, Stefan - 511-534 How does ownership concentration exacerbate information asymmetry among equity investors?
by Byun, Hae-Young & Hwang, Lee-Seok & Lee, Woo-Jong - 535-553 Does corporate diversification by business groups create value? Evidence from Korean chaebols
by Bae, Sung C. & Kwon, Taek Ho & Lee, Jang W. - 554-570 Do corporate governance mechanisms matter for cash holdings and firm value?
by Kusnadi, Yuanto - 571-585 Are stock and real estate markets integrated? An empirical study of six Asian economies
by Lin, Tsoyu Calvin & Lin, Zong-Han - 586-603 Exchange rates and FDI strategies of multinational enterprises
by Lee, Bong-Soo & Min, Byung S.
2011, Volume 19, Issue 4
- 351-373 Regulatory changes, market integration and spillover effects in the Chinese A, B and Hong Kong equity markets
by Chen, Jing & Buckland, Roger & Williams, Julian - 374-389 Seize the moment: Opportunism in Australian capital markets
by Koh, SzeKee & Durand, Robert B. & Watson, Iain - 390-403 Currency hedging failure in international equity investments and an efficient hedging strategy: The perspective of Korean investors
by Suh, Sangwon - 404-419 The cyclical behavior of the risk of value strategy: Evidence from Taiwan
by Huang, I-Hsiang - 420-434 An Ohlson valuation framework for valuing corporate governance: The case of Taiwan
by Lee, Shih-Cheng & Lin, Chien-Ting & Chang, Pei-Ting - 435-446 Difference of opinion and the cross-section of equity returns: Australian evidence
by Gharghori, Philip & See, Quin & Veeraraghavan, Madhu
2011, Volume 19, Issue 3
- 261-277 Agency cost, top executives' overconfidence, and investment-cash flow sensitivity -- Evidence from listed companies in China
by Huang, Wei & Jiang, Fuxiu & Liu, Zhibiao & Zhang, Min - 278-297 Corporate governance and risk-taking: Evidence from Japanese firms
by Nguyen, Pascal - 298-307 The impact of trading halts on liquidity and price volatility: Evidence from the Australian Stock Exchange
by Frino, Alex & Lecce, Steven & Segara, Reuben - 308-329 Effects of prior voluntary disclosure on earnings announcements in an environment with low information and regulation
by Cheng Chee Mun, Eugene & Courtenay, Stephen M. & Rahman, Asheq R. - 330-349 Prospect theory and the effectiveness of price limits
by Lin, Mei-Chen & Chou, Pin-Huang
2011, Volume 19, Issue 2
- 173-193 Do liquidity or credit effects explain the behavior of the BKBM-LIBOR differential?
by Poskitt, Russell & Waller, Bradley - 194-207 Stealth trading: The case of the Tokyo Stock Exchange
by Ascioglu, Asli & Comerton-Forde, Carole & McInish, Thomas H. - 208-229 Size effect in January and cultural influences in an emerging stock market: The perspective of behavioral finance
by Chen, Tsung-Cheng & Chien, Chin-Chen - 230-244 Corporate name changes: Price reactions and long-run performance
by Kot, Hung Wan - 245-259 Corporate dividend policy in practice: Evidence from an emerging market with a tax-free environment
by Chazi, Abdelaziz & Boubakri, Narjess & Zanella, Fernando
2011, Volume 19, Issue 1
- 1-20 Stock price volatility and overreaction in a political crisis: The effects of corporate governance and performance
by Huang, Hsu-Huei & Chan, Min-Lee & Huang, I-Hsiang & Chang, Chih-Hsiang - 21-40 Optimal dividend policy, debt policy and the level of investment within a multi-period DCF framework
by Lally, Martin - 41-70 The impacts of large trades by trader types on intraday futures prices: Evidence from the Taiwan Futures Exchange
by Chou, Robin K. & Wang, George H.K. & Wang, Yun-Yi & Bjursell, Johan - 71-97 Cross-border venture capital performance: Evidence from China
by Wang, Lanfang & Wang, Susheng - 98-114 International diversification with American Depository Receipts (ADRs)
by Kabir, M. Humayun & Hassan, M. Kabir & Maroney, Neal - 115-139 Asset growth and stock returns: Evidence from Asian financial markets
by Yao, Tong & Yu, Tong & Zhang, Ting & Chen, Shaw - 140-156 Contrarian investment strategies work better for dually-traded stocks: Evidence from Hong Kong
by Ramiah, Vikash & Cheng, Ka Yeung & Orriols, Julien & Naughton, Tony & Hallahan, Terrence - 157-171 A long-term assessment of finance research performance among Asia-Pacific academic institutions (1990-2008)
by Chan, Kam C. & Chen, Carl R. & Lee, Tan (Charlene)
2010, Volume 18, Issue 5
- 427-441 Stock splits in a retail dominant order driven market
by Pavabutr, Pantisa & Sirodom, Kulpatra - 442-459 Price, volume and spread effects associated with the expiry of lock-in agreements: Evidence from the Hong Kong IPO market
by Goergen, Marc & Mazouz, Khelifa & Yin, Shuxing - 460-476 Changes in Malaysia: Capital controls, prime ministers and political connections
by Mitchell, Heather & Joseph, Saramma - 477-493 Mutual fund herding its impact on stock returns: Evidence from the Taiwan stock market
by Hung, Weifeng & Lu, Chia-Chi & Lee, Cheng F. - 494-508 Post-restructuring performance in Japan
by Inoue, Kotaro & Uchida, Konari & Bremer, Marc - 509-520 Market liquidity risk factor and financial market anomalies: Evidence from the Chinese stock market
by Narayan, Paresh Kumar & Zheng, Xinwei - 521-535 The Impact of Short-Sales Constraints on Liquidity and the Liquidity-Return Relations
by Chuang, Wen-I & Lee, Hsiu-Chuan
2010, Volume 18, Issue 4
- 335-350 Asian sovereign debt and country risk
by Johansson, Anders C. - 351-368 Retail minority shareholders and corporate reputation as determinant of dividend policy in Australia
by Lee, King Fuei - 369-389 What should we know about momentum investing? The case of the Australian Security Exchange
by Galariotis, Emilios C. - 390-402 Foreign investors and corporate governance in Korea
by Kim, In Joon & Eppler-Kim, Jiyeon & Kim, Wi Saeng & Byun, Suk Joon - 403-425 On the predictability of Chinese stock returns
by Chen, Xuanjuan & Kim, Kenneth A. & Yao, Tong & Yu, Tong
2010, Volume 18, Issue 3
- 241-253 Cutting the hedge: Exporters' dynamic currency hedging behaviour
by Fabling, Richard & Grimes, Arthur - 254-271 Predicting Japanese bank stock performance with a composite relative efficiency metric: A new investment tool
by Avkiran, Necmi K. & Morita, Hiroshi - 272-289 Asymmetry in return and volatility spillover between equity and bond markets in Australia
by Dean, Warren G. & Faff, Robert W. & Loudon, Geoffrey F. - 290-305 The appropriateness of default investment options in defined contribution plans: Australian evidence
by Basu, Anup K. & Drew, Michael E. - 306-318 Financial constraints and stock returns -- Evidence from Australia
by Chan, Howard & Chang, Xin & Faff, Robert & Wong, George - 319-334 An examination of the impact of India's performance in one-day cricket internationals on the Indian stock market
by Mishra, Vinod & Smyth, Russell
2010, Volume 18, Issue 2
- 139-157 Post earnings announcement drift and the roles of drift-enhanced factors in New Zealand
by Truong, Cameron - 158-174 The impact of divergence in voting and cash-flow rights on the use of bank debt
by Chong, Beng Soon - 175-185 Herding and the role of foreign institutions in emerging equity markets
by Chang, Charles - 186-198 A trading strategy based on Callable Bull/Bear Contracts
by Cheung, Yan-Leung & Cheung, Yin-Wong & He, Angela W.W. & Wan, Alan T.K. - 199-216 Noise and efficient variance in the Indonesia Stock Exchange
by Henker, Thomas & Husodo, Zaäfri A. - 217-239 The overconfidence of investors in the primary market
by Hsu, Yenshan & Shiu, Cheng-Yi
2010, Volume 18, Issue 1
- 1-23 Diversification, rationality and the Asian economic crisis
by Bowman, Robert G. & Chan, Kam Fong & Comer, Matthew R. - 24-46 Agency costs, ownership structure and corporate governance compliance: A private contracting perspective
by Henry, Darren - 47-63 Unfunded pension liabilities and stock returns
by Nakajima, Kan & Sasaki, Takafumi - 64-76 Changes in equity returns and volatility across different Australian industries following the recent terrorist attacks
by Ramiah, Vikash & Cam, Marie-Anne & Calabro, Michael & Maher, David & Ghafouri, Shahab - 77-89 What comprises IPO initial returns: Evidence from the Chinese market
by Gao, Yan - 90-115 Liquidity and stock returns in Japan: New evidence
by Chang, Yuk Ying & Faff, Robert & Hwang, Chuan-Yang - 116-137 The dynamics of individual and institutional trading on the Shanghai Stock Exchange
by Lee, Bong Soo & Li, Wei & Wang, Steven Shuye
2009, Volume 17, Issue 5
- 525-526 Foreword by the Guest Editor
by Comerton-Forde, C. - 527-532 The implications of liquidity and order flows for neoclassical finance
by Subrahmanyam, Avanidhar - 533-546 Order aggressiveness of institutional and individual investors
by Duong, Huu Nhan & Kalev, Petko S. & Krishnamurti, Chandrasekhar - 547-564 Intraweek and intraday trade patterns and dynamics
by Kalev, Petko S. & Pham, Linh T. - 565-579 Momentum profits in the Australian equity market: A matched firm approach
by Bettman, Jenni L. & Maher, Thomas R.B. & Sault, Stephen J. - 580-593 Default risk and equity returns: Australian evidence
by Gharghori, Philip & Chan, Howard & Faff, Robert - 594-610 Cash dividends, stock dividends and subsequent earnings growth
by Huang, Chin-Sheng & You, Chun-Fan & Lin, Szu-Hsien - 611-627 U.S. and Japanese macroeconomic news and stock market volatility in Asia-Pacific
by Vrugt, Evert B. - 628-650 Do Japanese CEOs matter?
by Ahn, Sanghoon & Bhattacharya, Utpal & Jung, Taehun & Nam, Giseok
2009, Volume 17, Issue 4
- 395-412 Regulation and target takeover returns: Is there a link?
by Marshall, Ben R. & Anderson, Hamish D. - 413-443 Determinants of state equity ownership, and its effect on value/performance: China's privatized firms
by Ng, Alex & Yuce, Ayse & Chen, Eason - 444-459 Stock index reaction to large price changes: Evidence from major Asian stock indexes
by Mazouz, Khelifa & Joseph, Nathan Lael & Palliere, Clement - 460-478 The impact of disclosure reform on the NZX's financial information environment
by Huang, Meng & Marsden, Alastair & Poskitt, Russell - 479-493 Do momentum-based strategies work in emerging currency markets?
by Chong, Terence Tai-Leung & Ip, Hugo Tak-Sang - 494-505 The conservatism bias in an emerging stock market: Evidence from Taiwan
by Wu, Chen-Hui & Wu, Chin-Shun & Liu, Victor W. - 506-523 A study on foreign exchange dealers' bid-ask spread quote behavior
by Hua, Mingshu
2009, Volume 17, Issue 3
- 295-318 Risk premia in international equity markets revisited
by Brown, Stephen J. & Hiraki, Takato & Arakawa, Kiyoshi & Ohno, Saburo - 319-337 Information based trade, the PIN variable, and portfolio style differences: Evidence from Tokyo stock exchange firms
by Kubota, Keiichi & Takehara, Hitoshi - 338-351 Index membership and predictability of stock returns: The case of the Nikkei 225
by Liu, Shinhua - 352-371 Monetary and exchange rate stability in South and East Asia
by Bauer, Christian & Herz, Bernhard - 372-393 Tunneling and propping up: An analysis of related party transactions by Chinese listed companies
by Cheung, Yan-Leung & Jing, Lihua & Lu, Tong & Rau, P. Raghavendra & Stouraitis, Aris
2009, Volume 17, Issue 2
- 145-162 Impaired bank health and default risk
by Fukuda, Shin-ichi & Kasuya, Munehisa & Akashi, Kentaro - 163-174 Increased presence of foreign investors and dividend policy of Japanese firms
by Baba, Naohiko - 175-188 What drives Yen interventions in Tokyo?: Do off-shore foreign exchange markets matter more than Tokyo market?
by Hall, Yosuke & Kim, Suk-Joong - 189-208 Informed trading under different market conditions and moneyness: Evidence from TXO options
by Chan, Kam C. & Chang, Yuanchen & Lung, Peter P. - 209-223 Dividends for tunneling in a regulated economy: The case of China
by Chen, Donghua & Jian, Ming & Xu, Ming - 224-242 The style and innate structure of the stock markets in China
by Long, Wen & Mok, Henry M.K. & Hu, Yan & Wang, Huiwen - 243-256 Inter-temporal examination of the trading activities of foreign investors in the Korean stock market
by Kim, Jaemin & Landi, James & Yoo, Sean Sehyun - 257-270 Do active fund managers care about capital gains tax efficiency?
by Fong, Kingsley Y.L. & Gallagher, David R. & Lau, Sarah S.W. & Swan, Peter L. - 271-293 Multiple board appointments and firm performance in emerging economies: Evidence from India
by Sarkar, Jayati & Sarkar, Subrata
2009, Volume 17, Issue 1
- 1-27 Portfolio pumping: An examination of investment manager quarter-end trading and impact on performance
by Gallagher, David R. & Gardner, Peter & Swan, Peter L. - 28-40 Are magnet effects caused by uninformed traders? Evidence from Taiwan Stock Exchange
by Wong, Woon K. & Chang, Matthew C. & Tu, Anthony H. - 41-57 Can margin traders predict future stock returns in Japan?
by Hirose, Takehide & Kato, Hideaki Kiyoshi & Bremer, Marc - 58-79 Market imperfections and the information content of implied and realized volatility
by Wong, Woon K. & Tu, Anthony H. - 80-99 Commonality in liquidity: Evidence from the Stock Exchange of Thailand
by Pukthuanthong-Le, Kuntara & Visaltanachoti, Nuttawat - 100-124 Investor biases in Japan: Another pathology of Keiretsu
by Hiraki, Takato & Ito, Akitoshi - 125-144 Islamic banking: Interest-free or interest-based?
by Chong, Beng Soon & Liu, Ming-Hua
2008, Volume 16, Issue 5
- 493-521 Conducting event studies with Asia-Pacific security market data
by Corrado, Charles J. & Truong, Cameron - 522-538 The effect of price limits on intraday volatility and information asymmetry
by Kim, Yong H. & Yang, J. Jimmy - 539-554 Warrants in IPOs: Evidence from Hong Kong
by Mazouz, Khelifa & Saadouni, Brahim & Yin, Shuxing - 555-571 The profitability of asset sales as an explanation of asset divestitures
by Shin, G. Hwan - 572-590 Intraboard heterogeneity and the role of bank-dispatched directors in Japanese firms: An empirical study
by Saito, Takuji & Odagiri, Hiroyuki - 591-605 Corporate governance and tunneling: Empirical evidence from China
by Gao, Lei & Kling, Gerhard - 606-623 Executive pay and firm performance in the Philippines
by Unite, Angelo A. & Sullivan, Michael J. & Brookman, Jeffrey & Majadillas, Mary Anne & Taningco, Angelo
2008, Volume 16, Issue 4
- 341-369 The role of investment banks in M&A transactions: Fees and services
by Walter, Terry S. & Yawson, Alfred & Yeung, Charles P.W. - 370-388 Interaction of investor trades and market volatility: Evidence from the Tokyo Stock Exchange
by Bae, Kee-Hong & Yamada, Takeshi & Ito, Keiichi - 389-410 Banks as lenders and shareholders: Evidence from Japan
by Gao, Wenlian - 411-435 The accuracy of analysts' dividend forecasts around the world
by Brown, Philip & How, Janice C.Y. & Verhoeven, Peter - 436-452 Sudden stops and liability dollarization: Evidence from Asia's financial intermediaries
by Chue, Timothy K. & Cook, David - 453-475 Evaluating the impact of market reforms on Value-at-Risk forecasts of Chinese A and B shares
by da Veiga, Bernardo & Chan, Felix & McAleer, Michael - 476-492 Momentum strategies and stock returns: Chinese evidence
by Naughton, Tony & Truong, Cameron & Veeraraghavan, Madhu
2008, Volume 16, Issue 3
- 183-203 Behavioral explanations of trading volume and short-horizon price patterns: An investigation of seven Asia-Pacific markets
by Ding, David K. & McInish, Thomas H. & Wongchoti, Udomsak - 204-223 Stochastic dominance analysis of Asian hedge funds
by Wong, Wing-Keung & Phoon, Kok Fai & Lean, Hooi Hooi - 224-235 Auctions versus book-built IPOs in Japan: A comparison of aftermarket volatility
by Pettway, Richard H. & Thosar, Satish & Walker, Scott - 236-251 The impact of corporate governance on corporate performance: Evidence from Japan
by Bauer, Rob & Frijns, Bart & Otten, Rogér & Tourani-Rad, Alireza - 252-267 Investment returns under right- and left-wing governments in Australasia
by Anderson, Hamish D. & Malone, Christopher B. & Marshall, Ben R. - 268-297 Debt maturity structure of Chinese companies
by Cai, Kailan & Fairchild, Richard & Guney, Yilmaz - 298-315 Do Thai stock prices deviate from fundamental values?
by Jirasakuldech, Benjamas & Emekter, Riza & Rao, Ramesh P. - 316-340 Price reaction to rights issues in the Indian capital market
by Marisetty, Vijaya B. & Marsden, Alastair & Veeraraghavan, Madhu
2008, Volume 16, Issue 1-2
- 1-7 Behavioral finance in Asia
by Kim, Kenneth A. & Nofsinger, John R. - 8-25 The house money effect and local traders on the Sydney Futures Exchange
by Frino, Alex & Grant, Joel & Johnstone, David - 26-43 Investors' trading behavior and performance: Online versus non-online equity trading in Korea
by Oh, Natalie Y. & Parwada, Jerry T. & Walter, Terry S. - 44-60 Individual investors and gender similarities in an emerging stock market
by Feng, Lei & Seasholes, Mark S. - 61-77 Herding behavior in Chinese stock markets: An examination of A and B shares
by Tan, Lin & Chiang, Thomas C. & Mason, Joseph R. & Nelling, Edward - 78-94 The role of salience in portfolio formation
by da Silva Rosa, Raymond & Durand, Robert B. - 95-120 Culture and stock price clustering: Evidence from The Peoples' Republic of China
by Brown, Philip & Mitchell, Jason - 121-159 Hubris amongst Japanese bidders
by Lin, Bing-Xuan & Michayluk, David & Oppenheimer, Henry R. & Reid, Sean F. - 160-181 Testing pecking order prediction from the viewpoint of managerial optimism: Some empirical evidence from Taiwan
by Lin, Yueh-hsiang & Hu, Shing-yang & Chen, Ming-shen
2007, Volume 15, Issue 5
- 409-433 Does insider trading regulation deter private information trading? International evidence
by Durnev, Art A. & Nain, Amrita S. - 434-451 The impacts of "shock therapy" on large and small clients: Experiences from two large bank failures in Japan
by Fukuda, Shin-ichi & Koibuchi, Satoshi - 452-480 Asset pricing in China's domestic stock markets: Is there a logic?
by Eun, Cheol S. & Huang, Wei - 481-493 An empirical investigation of whether Australian capital gains tax reforms influence individual investor behaviour
by Hanlon, Dean & Pinder, Sean - 494-513 How smart is money? An investigation into investor behaviour in the Australian managed fund industry
by Gharghori, Philip & Mudumba, Shifali & Veeraraghavan, Madhu
2007, Volume 15, Issue 4
- 315-328 SMB -- Arousal, disproportionate reactions and the size-premium
by Durand, Robert B. & Juricev, Alex & Smith, Gary W. - 329-352 Family ownership and performance in Korean conglomerates
by Chang, James Jinho & Shin, Hyun-Han - 353-367 The political economy of SME financing and Japan's regional bank problems
by Choe, Chongwoo - 368-387 Voluntary use of independent valuation advice by target firm boards in takeovers
by Bugeja, Martin - 388-408 The real impact of stock market mispricing -- Evidence from Australia
by Chang, Xin & Tam, Lewis H.K. & Tan, Tek Jun & Wong, George
2007, Volume 15, Issue 3
- 213-252 Group control motive as a determinant of ownership structure in business conglomerates: Evidence from Korea's chaebols
by Kim, Woochan & Lim, Youngjae & Sung, Taeyoon - 253-275 A review of IPO research in Asia: What's next?
by Yong, Othman - 276-291 IPO price performance and block-trading activities: Evidence from Hong Kong
by Cheung, Yan-Leung & Liu, Yang - 292-314 Share allocations and performance of KLSE second board IPOs
by How, Janice & Jelic, Ranko & Saadouni, Brahim & Verhoeven, Peter
2007, Volume 15, Issue 2
- 105-120 Is China's corporate governance beginning to come of age? The case of CEO turnover
by Fan, Dennis K.K. & Lau, Chung-Ming & Young, Michael - 121-139 Market conditions and the optimal IPO allocation mechanism in China
by Ma, Shiguang & Faff, Robert - 140-153 Determining the contributions to price discovery for Chinese cross-listed stocks
by Su, Qian & Chong, Terence Tai-Leung - 154-172 Long-term performance following mergers of Japanese companies: The effect of diversification and affiliation
by Kruse, Timothy A. & Park, Hun Y. & Park, Kwangwoo & Suzuki, Kazunori - 173-194 Herding and the information content of trades in the Australian dollar market
by Carpenter, Andrew & Wang, Jianxin - 195-212 Hedging and choice of currency denomination in international syndicated loan markets
by Esho, Neil & Sharpe, Ian G. & Webster, Kristian H.
2007, Volume 15, Issue 1
- 1-17 The impact of rating changes in Australian financial markets
by Creighton, Adam & Gower, Luke & Richards, Anthony J. - 18-35 Opening and closing behavior following the introduction of call auctions in Singapore
by Comerton-Forde, Carole & Ting Lau, Sie & McInish, Thomas - 36-55 Executive compensation, firm performance, and Chaebols in Korea: Evidence from new panel data
by Kato, Takao & Kim, Woochan & Lee, Ju Ho - 56-79 Corporate governance, top executive compensation and firm performance in Japan
by Basu, Sudipta & Hwang, Lee-Seok & Mitsudome, Toshiaki & Weintrop, Joseph

