Content
December 2022, Volume 11, Issue 1
- 1-18 The Impact of Financial Derivatives on the Enterprise Value of Chinese Listed Companies: Moderating Effects of Managerial Characteristics
by Ao Yang & Wenqi Li & Brian Sheng Xian Teo & Jaizah Othman - 1-18 The Other Side of the “League of Stars”: Analysis of the Financial Situation of Spanish Football
by Rudemarlyn Urdaneta-Camacho & Juan Carlos Guevara-Pérez & Emilio Martín Vallespín & Néstor Le Clech - 1-21 Stock Movement Prediction Using Machine Learning Based on Technical Indicators and Google Trend Searches in Thailand
by Kittipob Saetia & Jiraphat Yokrattanasak - 1-22 The Impact of Sustainability Practices on Share Performance with Mediation of Board Members Experience: A Study on Malaysian Listed Companies
by Uzair Bhatti & Noralfishah Sulaiman - 1-22 Do Financial Crises Matter for Nonlinear Exchange Rate and Stock Market Cointegration? A Heterogeneous Nonlinear Panel Data Model with PMG Approach
by Mosab I. Tabash & Umaid A. Sheikh & Ali Matar & Adel Ahmed & Dang Khoa Tran - 1-27 Investor Sentiment Index: A Systematic Review
by Sourav Prasad & Sabyasachi Mohapatra & Molla Ramizur Rahman & Amit Puniyani - 1-27 Adoption Factors of FinTech: Evidence from an Emerging Economy Country-Wide Representative Sample
by Khaled Mahmud & Md. Mahbubul Alam Joarder & Kazi Muheymin-Us-Sakib
December 2022, Volume 10, Issue 4
- 1-14 Do Customers Want to Communicate with Insurers on Social Media? An Investigation of the Swiss Market
by Carlo Pugnetti & Johannes Becker & Cristian Zani - 1-16 Relationship between Stock Returns and Trading Volume at the Bourse Régionale des Valeurs Mobilières, West Africa
by Jean-Pierre Gueyie & Mouhamadou Saliou Diallo & Mamadou Fadel Diallo - 1-17 A Structural Time Series Analysis of the Effect of Quantitative Easing on Stock Prices
by George B. Tawadros & Imad A. Moosa
October 2022, Volume 10, Issue 4
- 1-10 The Role of Motivated Financial Institutions on Community Currencies Loans
by Rodrigo de Oliveira Leite & Layla dos Santos Mendes & Roberto Tommasetti & Vinicius Mothe Maia & Rodrigo Soto Larrain - 1-14 Being Naked - et Quo hinc ?: Developing a ‘Skin-in-the-Game’ Solution for Credit Default Swaps
by Shanuka Senarath & Pelma Rajapakse & Jan Job de Vries Robbé & Naveen Wickremeratne & Maduka Subasinghage - 1-15 Improving Returns on Strategy Decisions through Integration of Neural Networks for the Valuation of Asset Pricing: The Case of Taiwanese Stock
by Yi-Chang Chen & Shih-Ming Kuo & Yonglin Liu & Zeqiong Wu & Fang Zhang - 1-15 Inappropriate Corporate Strategies: Latin American Companies That Increase Their Value by Short-Term Liabilities
by Jorge Feregrino & Juan Felipe Espinosa-Cristia & Nelson Lay & Luis Leyton - 1-18 Impact of Bank Efficiency on the Profitability of the Banks in India: An Empirical Analysis Using Panel Data Approach
by Suzan Dsouza & Mustafa Raza Rabbani & Iqbal Thonse Hawaldar & Ajay Kumar Jain - 1-18 Volatility Spillover Effects of the US, European and Chinese Financial Markets in the Context of the Russia–Ukraine Conflict
by Mohamed Beraich & Karim Amzile & Jaouad Laamire & Omar Zirari & Mohamed Amine Fadali - 1-19 FinTech Entrepreneurial Ecosystems: Exploring the Interplay between Input and Output
by Ekaterina Koroleva - 1-23 Optimal Stopping Methods for Investment Decisions: A Literature Review
by Zhenya Liu & Yuhao Mu - 1-24 Financial Uncertainty from a Dual Shock at Global Level–Insights from Kuwait
by Talal A. N. M. S. Alotaibi & Lucía Morales - 1-26 Market Reaction to Local Attention around Earnings Announcements in China: Evidence from Internet Search Activity
by Qian Chen & Xiang Gao & Jianming Mo & Zhouling Xu - 1-29 How Do Banking Characteristics Influence Companies’ Debt Features and Performance during COVID-19? A Study of Portuguese Firms
by Pedro Manuel Nogueira Reis & António Pedro Soares Pinto
November 2022, Volume 10, Issue 4
- 1-10 Holiday Effect and Stock Returns: Evidence from Stock Exchanges of Gulf Cooperation Council
by Prakash Pinto & Shakila Bolar & Iqbal Thonse Hawaldar & Aleyamma George & Abdelrhman Meero - 1-12 Accrual Management and Firm-Specific Risk
by Yuni Pristiwati Noer Widianingsih & Doddy Setiawan & Y. Anni Aryani & Evi Gantyowati - 1-13 The Global Pandemic, Laboratory of the Cashless Economy?
by Jeremy Srouji & Dominique Torre - 1-14 The Size Anomaly in Islamic Stock Indices: A Stochastic Dominance Approach
by Osamah AlKhazali & Hooi Hooi Lean & Taisier Zoubi - 1-16 Impact of Carbon Tax and Environmental Regulation on Inbound Cross-Border Mergers and Acquisitions Volume: An Evidence from India
by Chandrika Raghavendra & Mahesh Rampilla & Venkata Ramana Thanikella & Isha Gupta - 1-18 The Determinants and Impact of Key Audit Matters Disclosure in the Auditor’s Report
by Hidaya Al Lawati & Khaled Hussainey - 1-19 ASEAN-5 Stock Price Index Valuation after COVID-19 Outbreak through GBM-MCS and VaR-SDPP Methods
by Hersugondo Hersugondo & Endang Tri Widyarti & Di Asih I Maruddani & Trimono Trimono - 1-22 Conciseness, Financial Disclosure, and Market Reaction: A Textual Analysis of Annual Reports in Listed Chinese Companies
by Fahd Alduais & Nashat Ali Almasria & Abeer Samara & Ali Masadeh - 1-23 Decentralized Finance (DeFi) Projects: A Study of Key Performance Indicators in Terms of DeFi Protocols’ Valuations
by Dominik Metelski & Janusz Sobieraj - 1-25 Corporate Cash Holdings and Exposure to Macroeconomic Conditions
by YoungHa Ki & Ramesh Adhikari - 1-30 Risk-Oriented Efficiency Assessment within the Level of Capitalization for Financial Institutions: Evidence from Turkish Securities Firms
by Gokben Cevikcan & Oktay Tas
September 2022, Volume 10, Issue 4
- 1-16 Working Capital Management and Shareholder’s Wealth Creation: Evidence from Manufacturing Companies Listed in Oman
by Shrikant Krupasindhu Panigrahi & Maryam Juma Al Farsi & Sumathi Kumaraswamy & Muhammad Waris Ali Khan & Faisal Rana - 1-17 Risk Awareness for Vietnamese’s Life Insurance on Financial Protection: The Case Study of Daklak Province, Vietnam
by Tran Thi Lan - 1-18 Management Accounting Practices in the Hospitality Industry: The Portuguese Background
by Filipa Campos & Conceição Gomes & Lucília Cardoso & Luís Lima Santos - 1-19 Does Trade Credit Financing Affect Firm Performance? Evidence from an Emerging Market
by Abdullah Al Mahmud & Muhammad Shahin Miah & Mohammad Rakib Uddin Bhuiyan - 1-20 Examining the Factors Affecting the Adoption of Blockchain Technology in the Banking Sector: An Extended UTAUT Model
by Rabindra Kumar Jena - 1-23 CSR Disclosures, CSR Awards and Corporate Governance as Determinants of the Cost of Debt: Evidence from Malaysia
by Shyamala Dhoraisingam Samuel & Sakthi Mahenthiran & Ravindran Ramasamy - 1-26 CSR in Professional Football in Times of Crisis: New Ways in a Challenging New Normal
by Severin J. S. Oeckl & Stephen Morrow - 1-34 Busy Boards, Entrenched Directors and Corporate Innovation
by Brian Bolton & Jing Zhao
July 2022, Volume 10, Issue 3
- 1-12 Lessening Effects of SOX on the Relationship between Executive Compensation Components and Cost of Equity Capital
by Kanyarat (Lek) Sanoran - 1-14 Dependence Structure between Bitcoin and Economic Policy Uncertainty: Evidence from Time–Frequency Quantile-Dependence Methods
by Samia Nasreen & Aviral Kumar Tiwari & Zhuhua Jiang & Seong-Min Yoon - 1-14 Gender Diversity in Leadership: A Bibliometric Analysis and Future Research Directions
by Elisabete Vieira & Mara Madaleno & Júlio Lobão - 1-16 A Deep Learning Approach to Dynamic Interbank Network Link Prediction
by Haici Zhang - 1-16 The Role of Internal Audit to Reduce the Effects of Creative Accounting on the Reliability of Financial Statements in the Jordanian Islamic Banks
by Baker Akram Falah Jarah & Mufleh Amin AL Jarrah & Murad Ali Ahmad Al-Zaqeba & Mefleh Faisal Mefleh Al-Jarrah - 1-18 How Does Economic Policy Uncertainty Affect Momentum Returns? Evidence from China
by Peizhi Zhao & Yuyan Wang - 1-19 Corporate Governance and Performance of Pension Funds in Ghana: A Mixed-Method Study
by Isaac Akomea-Frimpong & Emmanuel Senior Tenakwah & Emmanuel Junior Tenakwah & Mary Amponsah - 1-20 Towards Financing System of Integrated Enterprise Development in the Time of COVID-19 Outbreak
by Kateryna Boichenko & Ștefan Cristian Gherghina & António Abreu & Mário Nuno Mata & José Moleiro Martins - 1-20 Working Capital Behavior of Firms during an Economic Downturn: An Analysis of the Financial Crisis Era
by Erik Hofmann & Juuso Töyli & Tomi Solakivi - 1-20 Quality of Work Life (QWL) and Its Impact on the Performance of the Banking Industry in Saudi Arabia
by Mohammad Ishfaq & Heitham Al-Hajieh & Majed Alharthi - 1-21 Does Managerial Ability Lead to Different Cost Stickiness Behavior? Evidence from ASEAN Countries
by Mitha Dwi Restuti & Lindawati Gani & Elvia R. Shauki & Lianny Leo - 1-22 Cryptocurrencies Intraday High-Frequency Volatility Spillover Effects Using Univariate and Multivariate GARCH Models
by Apostolos Ampountolas - 1-22 Basel III Capital Regulations and Bank Efficiency: Evidence from Selected African Countries
by Ayodeji Michael Obadire & Vusani Moyo & Ntungufhadzeni Freddy Munzhelele - 1-32 Asymptotic Dependence Modelling of the BRICS Stock Markets
by Caston Sigauke & Rosinah Mukhodobwane & Wilbert Chagwiza & Winston Garira
August 2022, Volume 10, Issue 3
- 1-11 Earnings Management and Annual Report Readability: The Moderating Effect of Female Directors
by Elvia R. Shauki & Eva Oktavini - 1-14 The Effects of New Accounting Standards on Firm Value: The K-IFRS 1116 Lease
by Hae Jin Chung - 1-15 The Consequence of Takeover Methods: Schemes of Arrangement vs. Takeover Offers
by Hala Alqobali & Daniel Li - 1-18 Key Strategic Decisions and Their Influences on the Management and Success of the Bank of America Chicago Marathon and the Marathon Valencia Trinidad Alfonso
by Juan L. Paramio-Salcines & Ramón Llopis-Goig - 1-19 Markowitz Mean-Variance Portfolio Optimization with Predictive Stock Selection Using Machine Learning
by Apichat Chaweewanchon & Rujira Chaysiri - 1-21 Taxing the Digital Economy through Consumption Taxes (VAT) in African Countries: Possibilities, Constraints and Implications
by Favourate Y. Mpofu - 1-22 The Impact of Financial Literacy on Retirement Planning with Serial Mediation of Financial Risk Tolerance and Saving Behavior: Evidence of Medium Entrepreneurs in Indonesia
by Subur Harahap & Armanu Thoyib & Sumiati Sumiati & Atim Djazuli - 1-23 Is Platinum a Real Store of Wealth?
by Marek Vochozka & Andrea Bláhová & Zuzana Rowland - 1-23 The Influential Factors of Internal Audit Effectiveness: A Conceptual Model
by Ayman Abdelrahim & Husam-Aldin N. Al-Malkawi - 1-24 Capital Preservation and Current Spending with Sovereign Wealth Funds and Endowment Funds: A simulation Study
by Knut Anton Mork & Haakon Andreas Trønnes & Vegard Skonseng Bjerketvedt - 1-27 Zero-Leverage Puzzle Revisited: Evidence from Acquisition Behaviors
by Chang Suk Bae & Hae Jin Chung - 1-30 Dynamic Asymmetric Effect of Currency Risk Pricing of Exchange Rate on Equity Markets: A Regime-Switching Based C-Vine Copulas Method
by Benjamin Mudiangombe Mudiangombe & John Weirstrass Muteba Mwamba - 1-32 Sustainability Performance and the Cost of Capital
by Tiago Cruz Gonçalves & João Dias & Victor Barros
June 2022, Volume 10, Issue 3
- 1-19 Inward FDI, IFRS Adoption and Institutional Quality: Insights from the MENA Countries
by Andrzej Cieślik & Sarhad Hamza
September 2022, Volume 10, Issue 3
- 1-15 Impacts of Insurers’ Financial Insolvency on Non-Life Insurance Companies’ Profitability: Evidence from Bangladesh
by Md. Nur Alam Siddik & Md. Emran Hosen & Md. Firoze Miah & Sajal Kabiraj & Shanmugan Joghee & Swamynathan Ramakrishnan - 1-15 On the Role of Gender and Age in the Use of Digital Financial Services in Zimbabwe
by Richard Chamboko - 1-16 Recurring Rural Destination Sport Events: A Study on Participants’ Direct Spending
by Eugenia Tzoumaka & Stella Leivadi & Kyriaki (Kiki) Kaplanidou - 1-18 Unravelling Factors Influencing Firm Performance: Evidence from the SMEs in Tourism Industry
by Sarminah Samad - 1-19 The Financial/Accounting Impact of FFP on Participating in European Competitions: An Analysis of the Spanish League
by Alberto Calahorro-López & Melinda Ratkai & Julio Vena-Oya - 1-22 Do Rare Earths and Energy Commodities Drive Volatility Transmission in Sustainable Financial Markets? Evidence from China, Australia, and the US
by Inzamam UI Haq & Hira Nadeem & Apichit Maneengam & Saowanee Samantreeporn & Nhan Huynh & Thasporn Kettanom & Worakamol Wisetsri - 1-24 Optimal Portfolios of National Currencies, Commodities and Fuel, Agricultural Commodities and Cryptocurrencies during the Russian-Ukrainian Conflict
by Nikolaos A. Kyriazis - 1-26 From White Collar to Influencer Marketing? How Banks Can Reach Young Customers
by Nicole Walzhofer & Marcus Riekeberg & Florian Follert
June 2022, Volume 10, Issue 2
- 1-12 Dynamic Factor Rotation Strategy: A Business Cycle Approach
by Dohyoung Kwon - 1-14 Innovation Capabilities in the Banking Sector Post-COVID-19 Period: The Moderating Role of Corporate Governance in an Emerging Country
by Cao Dinh Kien & Nguyen Huu That - 1-14 Retirement Preparedness of Generation X Compared to Other Cohorts in the United States
by Jia Qi & Swarn Chatterjee & Yingyi Liu - 1-15 ICT as a Key Determinant of Efficiency: A Bootstrap-Censored Quantile Regression (BCQR) Analysis for Vietnamese Banks
by Tu D. Q. Le & Thanh Ngo & Tin H. Ho & Dat T. Nguyen - 1-20 Corporate Social Responsibility Risk and Firm Performance: A Network Perspective
by Jiaqi Luo & Mingxiao Bi & Dandan Jia - 1-21 Politically Connected Independent Commissioners and Independent Directors on the Cost of Debt
by Onong Junus & Iman Harymawan & Mohammad Nasih & Muslich Anshori - 1-21 Determinants of Time for Publication Annual Reports: Empirical Evidence from Non-Financial Listed Companies in Vietnam
by Anh Huu Nguyen & Hieu Thanh Nguyen & Chung Quang Tran & Lien Quynh Le - 1-27 Exploring Online Payment System Adoption Factors in the Age of COVID-19—Evidence from the Turkish Banking Industry
by Melih Coskun & Ebru Saygili & Mehmet Oguz Karahan
March 2022, Volume 10, Issue 2
- 1-20 Toxic Asset Subsidies and the Early Redemption of TALF Loans
by Linus Wilson
April 2022, Volume 10, Issue 2
- 1-16 Markowitz Mean-Variance Portfolio Selection and Optimization under a Behavioral Spectacle: New Empirical Evidence
by Jules Clément Mba & Kofi Agyarko Ababio & Samuel Kwaku Agyei - 1-17 The Moderating Effects of Host Country Governance and Trade Openness on the Relationship between Cultural Distance and Financial Performance of Foreign Subsidiaries in Latin America
by Henrique Correa da Cunha & Nursel Selver Ruzgar & Vikkram Singh - 1-21 Comovement across BRICS and the US Stock Markets: A Multitime Scale Wavelet Analysis
by Musumba Batondo & Josine Uwilingiye - 1-21 The Dynamic Typology in the Development Process of Credit Union Movements
by Chien-Min Kang & Ming-Chieh Wang & Lin Lin - 1-24 A Textual Analysis of Logograms in Chinese IPO Roadshows: How Agreement between Investors and Management Relates to Pricing and Performance
by James C. Brau & James Cicon & Stephen R. Owen - 1-25 Financial Distress Prediction of Cooperative Financial Institutions—Evidence for Taiwan Credit Unions
by Chien-Min Kang & Ming-Chieh Wang & Lin Lin - 1-29 Quantifying Foreign Exchange Risk in the Selected Listed Sectors of the Johannesburg Stock Exchange: An SV-EVT Pairwise Copula Approach
by Joel Hinaunye Eita & Charles Raoul Tchuinkam Djemo
May 2022, Volume 10, Issue 2
- 1-14 Factors Affecting Internal Audit Effectiveness: Empirical Evidence from Vietnam
by Thu Trang Ta & Thanh Nga Doan - 1-15 The Value of Social Capital for the Success of SPAC IPOs
by Roszaini Haniffa & Mohammad Hudaib & Tasawar Nawaz - 1-16 A Study of Financial Literacy of Investors—A Bibliometric Analysis
by Yasmeen Ansari & Mansour Saleh Albarrak & Noorjahan Sherfudeen & Arfia Aman - 1-17 Corporate Governance, Financial Innovation and Performance: Evidence from Taiwan’s Banking Industry
by Lie-Huey Wang & Xin-Yuan Cao - 1-17 Sentiment and Style: Evidence from Republican Managers
by Serkan Karadas & Jorida Papakroni & Minh Tam Tammy Schlosky - 1-17 Generational Differences, Risk Tolerance, and Ownership of Financial Securities: Evidence from the United States
by Johnson Antwi & Cephas B. Naanwaab - 1-26 On the Deterministic-Shift Extended CIR Model in a Negative Interest Rate Framework
by Marco Di Francesco & Kevin Kamm - 1-27 Market Manipulation around Seasoned Equity Offerings: Evidence Prior to the Global Financial Crisis of 2007–2009
by Charlie Charoenwong & David K. Ding & Ping Wang
January 2022, Volume 10, Issue 1
- 1-4 Acknowledgment to Reviewers of International Journal of Financial Studies in 2021
by International Journal of Financial Studies Editorial Office - 1-11 Cannabis Stocks Returns: The Role of Liquidity and Investors’ Attention via Google Metrics
by Stephanos Papadamou & Alexandros Koulis & Constantinos Kyriakopoulos & Athanasios P. Fassas - 1-15 Effect of Religiosity, Perceived Risk, and Attitude on Tax Compliant Intention Moderated by e-Filing
by Mekar Satria Utama & Umar Nimran & Kadarisman Hidayat & Arik Prasetya - 1-20 Consequences of Social and Environmental Corporate Responsibility Practices: Managers’ Perception in Mozambique
by Eulália Madime & Tiago Cruz Gonçalves - 1-20 Portfolio Constraints: An Empirical Analysis
by Guido Abate & Tommaso Bonafini & Pierpaolo Ferrari - 1-21 Moderating Effects of Financial Cognitive Abilities and Considerations on the Attitude–Intentions Nexus of Stock Market Participation
by Tahmina Akhter & Mohammad Enamul Hoque - 1-23 Bootstrapping Time-Varying Uncertainty Intervals for Extreme Daily Return Periods
by Katleho Makatjane & Tshepiso Tsoku - 1-28 The COVID-19 Outbreak and Risk–Return Spillovers between Main and SME Stock Markets in the MENA Region
by Nassar S. Al-Nassar & Beljid Makram
February 2022, Volume 10, Issue 1
- 1-10 Do ADR Firms Have Different Dividend Policies Than U.S. Firms? A Comparative Study
by Shenghui Tong & James Murtagh & Richard Proctor - 1-16 Intraday Patterns of Liquidity on the Warsaw Stock Exchange before and after the Outbreak of the COVID-19 Pandemic
by Jakub Kubiczek & Marcin Tuszkiewicz - 1-16 Gender Diversity on the Board and Firms’ Corporate Social Responsibility
by Cristina Gaio & Tiago Cruz Gonçalves - 1-18 Towards Money Market in General Equilibrium Framework
by Truong Hong Trinh - 1-23 Equity Carve-Outs, Dual Directors, and Internal Labor Markets
by Pengda Fan
March 2022, Volume 10, Issue 1
- 1-15 Efficient Asset Allocation: Application of Game Theory-Based Model for Superior Performance
by Mirza Sikalo & Almira Arnaut-Berilo & Azra Zaimovic - 1-16 Examining Risk Absorption Capacity as a Mediating Factor in the Relationship between Cognition and Neuroplasticity in Investors in Investment Decision Making
by Yadav Devi Prasad Behera & Sudhansu Sekhar Nanda & Shibani Sharma & Tushar Ranjan Sahoo - 1-19 What Do the Consequences of Environmental, Social and Governance Failures Tell Us about the Motivations for Corporate Social Responsibility?
by Richard Walton - 1-19 South African Banks’ Cross-Border Systemic Risk Exposure: An Application of the GAS Copula Marginal Expected Shortfall
by Mathias Mandla Manguzvane & John Weirstrass Muteba Mwamba - 1-23 Real Earnings Management, Firm Value, and Corporate Governance: Evidence from the Korean Market
by Ana Belén Tulcanaza-Prieto & Younghwan Lee - 1-24 Financial Regulation, Financial Inclusion and Competitiveness in the Banking Sector in SADC and SAARC Countries: The Moderating Role of Financial Stability
by João Jungo & Mara Madaleno & Anabela Botelho
December 2021, Volume 10, Issue 1
- 1-12 Expiration-Day Effects of Index Futures in a Frontier Market: The Case of Ho Chi Minh Stock Exchange
by Anh Thi Kim Nguyen & Loc Dong Truong & H. Swint Friday - 1-13 Effect of Financial Clusters on Startup Mergers and Acquisitions
by Saurabh Ahluwalia & Sul Kassicieh - 1-17 FinTech Companies: A Bibliometric Analysis
by Gencay Tepe & Umut Burak Geyikci & Fatih Mehmet Sancak
December 2021, Volume 9, Issue 4
- 1-15 Has the EU-ETS Financed the Energy Transition of the Italian Power System?
by Massimiliano Caporin & Fulvio Fontini & Samuele Segato - 1-15 The Role of Ownership Structure and Board Characteristics in Stock Market Liquidity
by Wajih Abbassi & Ahmed Imran Hunjra & Suha Mahmoud Alawi & Rashid Mehmood - 1-16 Consequences of COVID-19 on Banking Sector Index: Artificial Neural Network Model
by Hamzeh F. Assous & Dania Al-Najjar - 1-16 A Transmission of Beta Herding during Subprime Crisis in Taiwan’s Market: DCC-MIDAS Approach
by Yi-Chang Chen & Hung-Che Wu & Yuanyuan Zhang & Shih-Ming Kuo - 1-17 Adverse Selection in P2P Lending: Does Peer Screening Work Efficiently?—Empirical Evidence from a P2P Platform
by Yao Wang & Zdenek Drabek - 1-18 Impact of MiFID II on Romanian Stock Market Liquidity—Comparative Analysis with a Developed Stock Market
by Marius Cristian Miloș & Laura Raisa Miloș & Flavia Barna & Claudiu Boțoc - 1-20 Bibliometric Analysis for Working Capital: Identifying Gaps, Co-Authorships and Insights from a Literature Survey
by Vítor João Pereira Domingues Martinho - 1-21 The Effect of Corporate Social Responsibility on Earnings Management: Bibliometric Review
by José Manuel Santos-Jaén & Ana León-Gómez & José Serrano-Madrid - 1-29 Information Disclosure in China’s Rising Securitization Market
by Xueer Chen & Chao Wang
November 2021, Volume 9, Issue 4
- 1-13 The Relation between Intraday Limit Order Book Depth and Spread
by Alexandre Aidov & Olesya Lobanova - 1-20 CEO Compensation in Korea: Is It Different than in the US? A Comparison between Korean Non-Life Insurance Firms and US Property-Liability Insurance Firms
by Sangyong Han & Hyejeong Mun - 1-21 Do CEO Duality and Ownership Concentration Impact Dividend Policy in Emerging Markets? The Moderating Effect of Crises Period
by Anis El Ammari - 1-21 Board Gender Diversity and Cash Holdings: Empirical Evidence from the European Sport and Leisure Sector
by Panagiotis E. Dimitropoulos & Konstantinos Koronios - 1-22 Validation of Corporate Probability of Default Models Considering Alternative Use Cases
by Michael Jacobs - 1-33 Reliability and Accuracy of Alternative Default Prediction Models: Evidence from Slovakia
by Daniela Rybárová & Helena Majdúchová & Peter Štetka & Darina Luščíková
September 2021, Volume 9, Issue 4
- 1-17 Corporate Social Practices and Firm Financial Performance: Empirical Evidence from France
by Sonia Boukattaya & Abdelwahed Omri - 1-18 Uncovering Real Earnings Management: Pay Attention to Risk-Taking Behavior
by Samar Alharbi & Md Al Mamun & Nader Atawnah - 1-21 Buy Now and Pay (Dearly) Later: Unraveling Consumer Financial Spinning
by Olivier Mesly
October 2021, Volume 9, Issue 4
- 1-17 Supply Chain Finance: Cost–Benefit Differentials under Reverse Factoring with Extended Payment Terms
by Hans-Martin Beyer & Bodo Herzog - 1-18 Did Financial Consumers Benefit from the Digital Transformation? An Empirical Investigation
by Soojin Park & Prida Erni Kesuma & Man Cho - 1-19 The Effect of Quantitative Easing through Google Metrics on US Stock Indices
by Nikoletta Poutachidou & Stephanos Papadamou - 1-42 Artificial Intelligence Approach to Momentum Risk-Taking
by Ivan Cherednik
August 2021, Volume 9, Issue 3
- 1-12 The Effects of Business Model on Bank’s Stability
by Thuy Thu Nguyen & Hai Hong Ho & Duy Van Nguyen & Anh Cam Pham & Trang Thu Nguyen - 1-14 The Impact of the Introduction of Index Futures on the Daily Returns Anomaly in the Ho Chi Minh Stock Exchange
by Loc Dong Truong & H. Swint Friday - 1-14 Corporate Social Responsibility Proposals and Firm Valuation
by Pyung Kun Chu - 1-15 Efficiency in Vietnamese Banking: A Meta-Regression Analysis Approach
by Tin H. Ho & Dat T. Nguyen & Thanh Ngo & Tu D. Q. Le - 1-16 The Influence of Corporate Networks on the Competitive Advantage of High Technology Enterprises in China: The Mediating Effects of Dynamic Capacities and Ambidextrous Combination
by Huayun Wang & Zhuoran Zhang - 1-16 Fintech Credit and Bank Efficiency: International Evidence
by Tu D. Q. Le & Tin H. Ho & Dat T. Nguyen & Thanh Ngo - 1-18 Do Green Bonds Act as a Hedge or a Safe Haven against Economic Policy Uncertainty? Evidence from the USA and China
by Inzamam Ul Haq & Supat Chupradit & Chunhui Huo
July 2021, Volume 9, Issue 3
- 1-10 Seasoned Equity Offerings and Differences in Share-Price Impact by Firm Categories
by Saeed Md. Abdullah & Simon Zaby - 1-12 The Impact of Higher Education Expansion on the Educational Wage Premium in Taiwan: 1985 to 2015
by Chien-Liang Chen & Lin-Chuan Chen - 1-16 Moderating Effects of Founders’ Role on the Influence of Internationalization on IPO Performance of Listed Companies in Thailand
by Tharitsaya Kongkaew & Supa Tongkong & Sungworn Ngudgratoke - 1-16 Financial Inclusion in Emerging Economies: The Application of Machine Learning and Artificial Intelligence in Credit Risk Assessment
by David Mhlanga
September 2021, Volume 9, Issue 3
- 1-8 Sell Winners and Buy Losers? The Impact of Familiarity on Individual Investors’ Decision-Making: Experimental Results
by Vladislav Zhdanov & Artem Simonov - 1-18 The Predictive Ability of Quarterly Financial Statements
by Hui Zhou & Worapree Ole Maneesoonthorn & Xiangjin Bruce Chen - 1-22 Do Deposit Insurance Systems Promote Banking Stability?
by Nafis Alam & Ganesh Sivarajah & Muhammad Ishaq Bhatti - 1-24 Prosperity or Real Estate Bubble? Exuberance Probability Index of Real Housing Prices in Chile
by Byron J. Idrovo-Aguirre & Francisco J. Lozano & Javier E. Contreras-Reyes - 1-27 The Impact of ESG Management on Investment Decision: Institutional Investors’ Perceptions of Country-Specific ESG Criteria
by So Ra Park & Jae Young Jang - 1-29 The Influence of Government Shareholding on Dividend Policy in Malaysia
by Philip Sinnadurai & Ravichandran Subramaniam & Susela Devi
June 2021, Volume 9, Issue 3
- 1-13 Intellectual Structure and Evolution of Accounting Conservatism Research: Past Trends and Future Research Suggestions
by Umair Bhutta & Jéssica Nunes Martins & Mário Nuno Mata & Ali Raza & Rui Miguel Dantas & Anabela Batista Correia & Muhammad Rafiq - 1-22 CEO Turnovers: Transparency of Announcements and the Outperformance Puzzle
by Paul Farah & Hui Li - 1-36 Are Cryptocurrencies a Backstop for the Stock Market in a COVID-19-Led Financial Crisis? Evidence from the NARDL Approach
by Ahmed Jeribi & Sangram Keshari Jena & Amine Lahiani
March 2021, Volume 9, Issue 2
- 1-13 Tick Size and Price Reversal after Order Imbalance
by Espen Sirnes & Minh Thi Hong Dinh - 1-18 Predicting Extreme Daily Regime Shifts in Financial Time Series Exchange/Johannesburg Stock Exchange—All Share Index
by Katleho Makatjane & Ntebogang Moroke - 1-24 Earnings Management of Insolvent Firms and the Prediction of Corporate Defaults via Discretionary Accruals
by Sam Bock Park & Sung-Kyoo Kim & Sangryul Lee
April 2021, Volume 9, Issue 2
- 1-8 Revisiting Banking Stability Using a New Panel Cointegration Test
by Hassan B. Ghassan & Zakaria Boulanouar & Kabir M. Hassan - 1-12 Common Factors in the Term Structure of Credit Spreads and Predicting the Macroeconomy in Japan
by Takeshi Kobayashi - 1-13 Does Trading Volume Drive Systemic Banks’ Stock Return Volatility? Lessons from the Greek Banking System
by Athanasios Tsagkanos & Konstantinos Gkillas & Christoforos Konstantatos & Christos Floros - 1-15 Exploring Investment Behavior of Women Entrepreneur: Some Future Directions
by Umair Baig & Batool Muhammad Hussain & Vida Davidaviciene & Ieva Meidute-Kavaliauskiene - 1-16 Short-Selling and Financial Performance of SMEs in China: The Mediating Role of CSR Performance
by Wenzhen Mai & Nik Intan Norhan binti Abdul Hamid - 1-25 Improving Audit Reports: A Consensus between Auditors and Users
by Estibaliz Goicoechea & Fernando Gómez-Bezares & José Vicente Ugarte
June 2021, Volume 9, Issue 2
- 1-18 Innovation and Competitive Intelligence in Business. A Bibliometric Analysis
by Carlos de las Heras-Rosas & Juan Herrera - 1-24 Relativistic Option Pricing
by Vitor H. Carvalho & Raquel M. Gaspar
May 2021, Volume 9, Issue 2
- 1-7 #Bitcoin, #COVID-19: Twitter-Based Uncertainty and Bitcoin Before and during the Pandemic
by Joseph J. French - 1-14 Accounting Comparability and Cash Holdings in Vietnam
by Liem Thanh Nguyen & Khuong Vinh Nguyen - 1-17 Modeling System Risk in the South African Insurance Sector: A Dynamic Mixture Copula Approach
by John Weirstrass Muteba Mwamba & Ehounou Serge Eloge Florentin Angaman - 1-19 The Interactions between COVID-19 Cases in the USA, the VIX Index and Major Stock Markets
by Simon Grima & Letife Özdemir & Ercan Özen & Inna Romānova - 1-22 Assessing Market Risk in BRICS and Oil Markets: An Application of Markov Switching and Vine Copula
by John Weirstrass Muteba Mwamba & Sutene Mwambetania Mwambi
February 2021, Volume 9, Issue 1
- 1-11 Transmission of Trading Orders through Communication Line with Relativistic Delay
by Peter B. Lerner - 1-12 The Role of Betting on Digital Credit Repayment, Coping Mechanisms and Welfare Outcomes: Evidence from Kenya
by Richard Chamboko & Sevias Guvuriro - 1-17 A Note on Universal Bilinear Portfolios
by Alex Garivaltis - 1-43 Nonprofits and Pass-Throughs: Performance Comparison
by Robert Hull & Shane Van Dalsem
January 2021, Volume 9, Issue 1
- 1-4 Acknowledgment to Reviewers of International Journal of Financial Studies in 2020
by International Journal of Financial Studies Editorial Office - 1-11 Analysis of Volatility Volume and Open Interest for Nifty Index Futures Using GARCH Analysis and VAR Model
by Parizad Phiroze Dungore & Sarosh Hosi Patel - 1-13 Does Time Varying Risk Premia Exist in the International Bond Market? An Empirical Evidence from Australian and French Bond Market
by Hira Aftab & A. B. M. Rabiul Alam Beg - 1-13 Leading in Switzerland and Poland: A Case Study of Leadership Practices in Financial Services
by Marc Steinmann & Carlo Pugnetti - 1-16 The Moderating Role of Perceived Risks in the Relationship between Financial Knowledge and the Intention to Invest in the Saudi Arabian Stock Market
by Saleh M. Shehata & Alaa M. Abdeljawad & Loqman A. Mazouz & Lamia Yousif Khalaf Aldossary & Maryam Y. Alsaeed & Mohamed Noureldin Sayed - 1-17 The Impact of Environmental Sustainability Disclosure on Stock Return of Saudi Listed Firms: The Moderating Role of Financial Constraints
by Abdulaziz Mohammed Alsahlawi & Kaouther Chebbi & Mohammed Abdullah Ammer - 1-19 Intraday Volatility Spillovers among European Financial Markets during COVID-19
by Faheem Aslam & Paulo Ferreira & Khurrum Shahzad Mughal & Beenish Bashir - 1-23 The Effects of Government Bonds on Liquidity Risk and Bank Profitability in Cape Verde
by José Carlos Teixeira & Carlos Vieira & Paulo Ferreira
March 2021, Volume 9, Issue 1
- 1-14 Role of ICT Investment and Diffusion in the Economic Growth: A Threshold Approach for the Empirical Evidence from Pakistan
by Habib Ur Rahman & Ghulam Ali & Umer Zaman & Carlo Pugnetti - 1-19 Determinants of Financial Performance in China’s Intelligent Manufacturing Industry: Innovation and Liquidity
by Guanghong Zhang & Yune Lee - 1-20 Why the Par Value of Share Matters to Investors
by Tadeusz Dudycz & Bogumiła Brycz
December 2020, Volume 9, Issue 1
- 1-15 Determinants of Intercorporate Investments: An Empirical Investigation of Indian Firms
by Vedika Saxena & Seshadev Sahoo
October 2020, Volume 8, Issue 4
- 1-10 Dealing with Carbon Risk and the Cost of Debt: Evidence from the European Market
by Fabio Pizzutilo & Massimo Mariani & Alessandra Caragnano & Marianna Zito - 1-13 Compensations of Top Executives and M&A Behaviors: An Empirical Study of Listed Companies
by Jiao Xue & Heng Fan & Zhanxun Dong