Content
December 2015, Volume 1, Issue 1
- 1-2 Editor’s Introduction
by Gang Kou - 1-8 A process model on P2P lending
by Huaiqing Wang & Kun Chen & Wei Zhu & Zhenxia Song - 1-9 Systemic risk management and investment analysis with financial network analytics: research opportunities and challenges
by Daning Hu & Gerhard Schwabe & Xiao Li - 1-11 How signaling and search costs affect information asymmetry in P2P lending: the economics of big data
by Jiaqi Yan & Wayne Yu & J. Leon Zhao - 1-11 Exploring the critical factors influencing online lending intentions
by Peng Wang & Haichao Zheng & Dongyu Chen & Liangchao Ding - 1-12 Volatility spillover effect between financial markets: evidence since the reform of the RMB exchange rate mechanism
by Zhengde Xiong & Lijun Han - 1-12 Invigorating foreign aid administration: remittances’ strategy, pro-poor and gender focus
by Adebayo Adedokun - 1-13 Determining pledged loan-to-value ratio: an option pricing perspective
by Ran Zhang & Jing Zhang & Shuang Xu - 1-14 Heterogeneous expectations, IPO Underpricing and issuing mechanism
by Xiao-cheng Zhang & Miaomiao Zhang & Shao-an Huang & Yongsheng Zhou - 1-17 Performance of Islamic and conventional stock indices: empirical evidence from an emerging economy
by Md Ejaz Rana & Waheed Akhter - 1-18 Social credit: a comprehensive literature review
by Lean Yu & Xinxie Li & Ling Tang & Zongyi Zhang & Gang Kou - 1-18 Value of big data to finance: observations on an internet credit Service Company in China
by Shaofeng Zhang & Wei Xiong & Wancheng Ni & Xin Li - 1-20 The information content of financial survey response data
by J Christopher Westland - 1-20 Economics of eBay’s buyer protection plan
by J. Christopher Westland - 1-21 A credit risk assessment model based on SVM for small and medium enterprises in supply chain finance
by Lang Zhang & Haiqing Hu & Dan Zhang - 1-24 Harnessing Internet finance with innovative cyber credit management
by Zhangxi Lin & Andrew B. Whinston & Shaokun Fan - 1-27 Will high-frequency trading practices transform the financial markets in the Asia Pacific Region?
by Robert J. Kauffman & Yuzhou Hu & Dan Ma - 1-31 Cash holdings, corporate governance, and acquirer returns
by Seoungpil Ahn & Jaiho Chung