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Content
2023, Volume 55, Issue C
- S1566014123000365 Can corporate financing through the stock market create systemic risk? Evidence from the BRVM securities market
by Kanga, Désiré & Soumaré, Issouf & Amenounvé, Edoh
- S1566014123000377 Public bank lending in Africa in times of crisis
by Léon, Florian
- S156601412200070X Environmental practices, family control, and corporate performance: Evidence from Chinese family firms
by Li, Xinlan & Li, Changhong & Guo, Xiaoli
- S156601412200084X How to reduce the default contagion risk of intercorporate credit guarantee networks? Evidence from China
by Lv, Jiamin & Ben, Shenglin & Huang, Wenli & Xu, Yueling
- S156601412300033X Banks' leverage in foreign exchange derivatives in times of crisis: A tale of two countries
by Giraldo, Carlos & Giraldo, Iader & Gomez-Gonzalez, Jose E. & Uribe, Jorge M.
2023, Volume 54, Issue C
- S1566014122000371 Analysis of the performance of Islamic gold-backed cryptocurrencies during the bear market of 2020
by Wasiuzzaman, Shaista & Muhd Azwan, Ayu Nadhirah & Hj Nordin, Aina Nazurah
- S1566014122000383 The dark side of Bitcoin: Do Emerging Asian Islamic markets help subdue the ethical risk?
by Karim, Sitara & Lucey, Brian M. & Naeem, Muhammad Abubakr & Vigne, Samuel A.
- S1566014122000553 Risk substitution in cryptocurrencies: Evidence from BRICS announcements
by Goodell, John W. & Alon, Ilan & Chiaramonte, Laura & Dreassi, Alberto & Paltrinieri, Andrea & Piserà, Stefano
- S1566014122000644 Are business groups different from other family firms? Evidence from corporate investments during political uncertainty
by Wadhwa, Kavita & Syamala, Sudhakara Reddy
- S1566014122000668 Consumer credit in an emerging economy: Demand, supply, and liquidity restrictions
by Arango, Luis E. & Cardona-Sosa, Lina
- S1566014122000899 Sectoral credit reallocation: An excessive bank risk-taking explanation
by Pozo, Jorge
- S1566014122001042 Inflation and west African sectoral stock price indices: An asymmetric kernel method analysis
by Doho, Libaud Rudy Aurelien & Somé, Sobom Matthieu & Banto, Jean Michel
- S1566014122001054 Salience theory and mutual fund flows: Empirical evidence from China
by Hu, Shiyang & Xiang, Cheng & Quan, Xiaofeng
- S1566014122001066 Interpersonal versus interbank lending networks: The role of intermediation in risk-sharing
by Berlinger, Edina & Gosztonyi, Márton & Havran, Dániel & Pollák, Zoltán
- S1566014122001091 Turkey: From a thriving economic past towards a rugged future? - An empirical analysis on the Turkish financial markets
by Stoupos, Nikolaos & Nikas, Christos & Kiohos, Apostolos
- S1566014122001108 What drives the growth of shadow banks? Evidence from emerging markets
by Arora, Dhulika & Kashiramka, Smita
- S1566014122001121 A machine learning approach for comparing the largest firm effect
by Kim, Jang Ho & Han, Jiwoon & Kang, Taehyeon & Fabozzi, Frank J.
- S1566014123000018 The evolution of consumption inequality and risk-insurance in Chile
by Madeira, Carlos
- S1566014123000031 The impact of proximity within elite corporate networks on the Shariah governance-firm performance nexus: Evidence from the global Shariah elite
by Kok, Seng Kiong & Shahgholian, Azar
- S1566014123000043 FinTech and the COVID-19 pandemic: Evidence from electronic payment systems
by Tut, Daniel
- S1566014123000055 Political career concerns and bank lending in China
by Tian, Yunlin & Pan, Xiaofei & Pang, Baoqing & Wu, Yiping
- S1566014123000067 Credit gaps as banking crisis predictors: A different tune for middle- and low-income countries
by Bouvatier, Vincent & El Ouardi, Sofiane
- S1566014123000079 Spillovers and connectedness among BRICS stock markets, cryptocurrencies, and uncertainty: Evidence from the quantile vector autoregression network
by Khalfaoui, Rabeh & Hammoudeh, Shawkat & Rehman, Mohd Ziaur
- S1566014123000080 Economic policy uncertainty, non-financial enterprises' shadow banking activities and stock price crash risk
by Han, Xun & Hsu, Sara & Li, Jianjun & An, Ran
- S1566014123000109 Margin trading and spillover effects: Evidence from the Chinese stock markets
by Zhou, Shengjie & Ye, Qing
- S156601412200067X Profitability of politically corrupt firms: Evidence from Romania
by Park, SeHyun
- S156601412200108X The COVID-19 pandemic and financial markets in Central Europe: Macroeconomic measures and international policy spillovers
by Grabowski, Wojciech & Janus, Jakub & Stawasz-Grabowska, Ewa
- S156601412200111X Credit risk in Islamic microfinance institutions: The role of women, groups, and rural borrowers
by Mohamed, Toka S. & Elgammal, Mohammed M.
- S156601412300002X Capacity utilization shifting or resource-seeking? Benefits for Chinese enterprises participating in the belt and road initiative
by Cai, Guowei & Zhang, Xuejiao & Yang, Hao
2022, Volume 53, Issue C
- S1566014122000280 Monetary policy and wage inequality in South Africa
by Merrino, Serena
- S1566014122000310 Other people's money: A comparison of institutional investors
by Eraslan, Veysel & Omole, John & Sensoy, Ahmet & Ozdamar, Melisa
- S1566014122000322 Does government transparency shape firm decentralization? Evidence from a natural experiment in China
by Zhu, Ling & Kong, Dongmin
- S1566014122000346 CEO facial masculinity, fraud, and ESG: Evidence from South Korea
by Kim, Y. Han (Andy) & Park, Junho & Shin, Hojong
- S1566014122000541 Information assimilation and stock return synchronicity: Evidence from an investor relations management platform
by Cong, Yunyu & Sun, Fangfang & Wang, Fusheng & Ye, Qiang
- S1566014122000565 How do emerging debt market participants recognize firm internationalization?Evidence from effects on credit ratings
by Li, Wanli & Lai, Yin & Wang, Chaohui & Tan, Bowen
- S1566014122000577 Strategic behavior of insiders in initial underpricing and long-run underperformance
by Yang, Baohua & Zhou, Yingluo & Zhou, Zhong-Guo
- S1566014122000589 Female analysts and COVID-19 corporate donation
by Wang, Yang & Zhang, Yifei & Kang, Wei & Ahmed, Ahmed Hassan
- S1566014122000590 Bank liquidity and exposure to industry shocks: Evidence from Ukraine
by Arias, Jose & Talavera, Oleksandr & Tsapin, Andriy
- S1566014122000607 Does a sustainability risk premium exist where it matters the most?
by Ferrat, Yann & Daty, Frédéric & Burlacu, Radu
- S1566014122000619 Does corporate social responsibility benefit society? Evidence from Latin America
by Galinato, Gregmar I. & Hyland, Marie & Islam, Asif M.
- S1566014122000620 Does financial liberalization reduce income inequality? Evidence from Africa
by Koudalo, Yawovi M.A. & Wu, Ji
- S1566014122000632 Greenium in the Chinese corporate bond market
by Hu, Xiaolu & Zhong, Angel & Cao, Youdan
- S156601412200053X Macroprudential policies, economic growth and banking crises
by Belkhir, Mohamed & Naceur, Sami Ben & Candelon, Bertrand & Wijnandts, Jean-Charles
2022, Volume 52, Issue C
- S1566014122000127 Monetary policy surprises and interest rates under China's evolving monetary policy framework
by Fu, Liang & Ho, Chun-Yu
- S1566014122000140 The value of official business group affiliation: Evidence from a change in Korean chaebol designation policy
by Lee, Sangwon
- S1566014122000218 Banking relationship and default priority in consumer credit: Evidence from Thai microdata
by Saengchote, Kanis & Samphantharak, Krislert
- S1566014122000231 Factor investing in Brazil: Diversifying across factor tilts and allocation strategies
by Alles Rodrigues, Alexandre & Casalin, Fabrizio
- S1566014122000243 Does the nature of political connection matter for corporate social responsibility engagement? Evidence from China
by Dang, Vinh Q.T. & Otchere, Isaac & So, Erin P.K.
- S1566014122000255 How does economic policy uncertainty affect cross-border M&A: Evidence from Chinese firms
by Li, Wanli & Su, Yueying & Wang, Kaixiu
- S1566014122000267 Are green bonds priced lower than their conventional peers?
by Wu, Yue
- S1566014122000279 Macroprudential policy efficiency in Russia: Assessment for the uncollateralized consumer loans
by Kozlovtceva, Irina & Penikas, Henry & Petreneva, Ekaterina & Ushakova, Yulia
- S1566014122000292 Interconnectedness between convertible bonds and underlying stocks in the Chinese capital market: A multilayer network perspective
by Ling, Yu-Xiu & Xie, Chi & Wang, Gang-Jin
- S1566014122000309 Measuring credit procyclicality: A new database
by Bouvatier, Vincent & Delatte, Anne-Laure & Rehault, Pierre-Nicolas
- S1566014122000334 Effects of monetary policy news on financial assets: Evidence from Brazil on a bivariate VAR-GARCH model (2006–17)
by da Silva, Tarciso Gouveia & de Carvalho Guillén, Osmani Teixeira & Morcerf, George Augusto Noronha & de Melo Modenesi, Andre
- S1566014122000358 Beyond religion and culture: The economic consequences of the institutionalization of sharia law
by Lattanzio, Gabriele
- S156601412200022X Transmission of central bank communication to emerging economies: Evidence from the Korean stock market
by Jang, Hyeonung & Seo, Byoung Ki
- S156601412200036X Risk spillover of banking across regions: Evidence from the belt and road countries
by Zhao, Hong & Li, Jiayi & Lei, Yiqing & Zhou, Mingming
2022, Volume 51, Issue PB
- S1566014121000881 Do firms manipulate earnings after winning public-private partnership bids? Evidence from China
by Majeed, Muhammad Ansar & Yan, Chao & Zhong, Huijie
- S1566014121000893 What drives portfolio capital inflows into emerging market economies? The role of the Fed's and ECB's balance sheet policies
by Ledóchowski, Michał & Żuk, Piotr
- S1566014121000911 Corporate governance and investment sensitivity to policy uncertainty in Brazil
by Caixe, Daniel Ferreira
- S1566014122000012 Bank board network and financial stability in emerging markets
by Biswas, Shreya & Kumar, Rajnish
- S1566014122000024 Evidence of arbitrage trading activity: The case of Chinese metal futures contracts
by Li, Yang & Brooks, Robert
- S1566014122000036 Political capital and physical capital: Substitute or complement? Evidence from China's anti-corruption campaign
by Cheng, Lei
- S1566014122000048 Public participation, investment networks, and China's outward FDI: Evidence from 58 countries along the belt and road
by Li, Dongkun & Chen, Xiaohong & Wohlfarth, Paul
- S1566014122000061 Sanctions against Iran, political connections and speed of adjustment
by Aflatooni, Abbas & Ghaderi, Kaveh & Mansouri, Kefsan
- S1566014122000073 Systemic risk, Islamic banks, and the COVID-19 pandemic: An empirical investigation
by Rizwan, Muhammad Suhail & Ahmad, Ghufran & Ashraf, Dawood
- S1566014122000085 Machine learning portfolios with equal risk contributions: Evidence from the Brazilian market
by Rubesam, Alexandre
- S1566014122000097 Geographic proximity and M&As: Evidence from China
by Li, Chao & Li, Han & Zhao, Zhao
- S1566014122000103 Price limits, investor sentiment, and initial public offering underpricing: A quasi-natural experiment based on ChiNext
by Dong, Yan & Huang, Jun
- S1566014122000115 Dependence dynamics of stock markets during COVID-19
by Rehman, Mobeen Ur & Ahmad, Nasir & Shahzad, Syed Jawad Hussain & Vo, Xuan Vinh
- S156601412100090X Does the green loan policy boost greener production? – Evidence from Chinese firms
by Zhang, Dongyang
- S156601412200005X Institutional determinants of emerging market returns and flows
by Sonenshine, Ralph & Erickson, Bradley O.
2022, Volume 51, Issue PA
- S1566014121000509 Fintech development and savings, borrowing, and remittances: A comparative study of emerging economies
by Lyons, Angela C. & Kass-Hanna, Josephine & Fava, Ana
- S1566014121000510 Anti-corruption campaign and corporate cash holdings: Evidence from China
by Cai, Weixing & Hu, Feng & Xu, Fangming & Zheng, Liyi
- S1566014121000534 Does societal trust affect corporate capital structure?
by Chauhan, Yogesh & Jaiswall, Manju & Goyal, Vinay
- S1566014121000546 Building financial resilience through financial and digital literacy in South Asia and Sub-Saharan Africa
by Kass-Hanna, Josephine & Lyons, Angela C. & Liu, Fan
- S1566014121000558 Insider trading and information asymmetry: Evidence from the Korea Exchange
by Ryu, Doojin & Yang, Heejin & Yu, Jinyoung
- S1566014121000716 Exchange rate exposure for exporting and domestic firms in central and Eastern Europe
by Asif, Raheel & Frömmel, Michael
- S1566014121000728 Testing technical trading strategies on China's equity ETFs: A skewness perspective
by Jin, Xiaoye
- S1566014121000741 Political favoritism towards resource allocation: Evidence of grants by natural science foundation in China
by Liu, Zihua & Zhou, Sili
- S1566014121000753 Air pollution, political costs, and earnings management
by Yang, Mian & Tang, Wenliang
- S1566014121000765 Residual state ownership, foreign ownership and firms' financing patterns
by Liu, Yu & Xu, Jian
- S1566014121000832 Spillovers of U.S. monetary policy uncertainty on inflation targeting emerging economies
by Azad, Nahiyan Faisal & Serletis, Apostolos
- S1566014121000844 How does financial inclusion affect bank stability in emerging economies?
by Wang, Rui & Luo, Hang (Robin)
- S1566014121000868 Early warning system for risk of external liquidity shock in BRICS countries
by An, Hui & Wang, Hao & Delpachitra, Sarath & Cottrell, Simon & Yu, Xiao
- S156601412100073X Does political turnover affect corporate investment? Evidence from China
by Chen, Yanyan
- S156601412100087X Women to women: Enabling innovation and firm performance in developing countries
by Azeem, Muhammad Masood & Sheridan, Alison & Adapa, Sujana
2022, Volume 50, Issue C
- S1566014121000285 Outside directors, firm life cycle, corporate financial decisions and firm performance
by Alqahtani, Jubran & Duong, Lien & Taylor, Grantley & Eulaiwi, Baban
- S1566014121000303 Does air pollution influence investor trading behavior? Evidence from China
by Guo, Mengmeng & Wei, Mengxin & Huang, Lin
- S1566014121000315 Institutional conditions, economic policy uncertainty and foreign institutional investment in China
by He, Lerong & Huang, Liying & Fang, Liting
- S1566014121000406 Low liquidity beta anomaly in China
by Frömmel, Michael & Han, Xing & Li, Youwei & Vigne, Samuel A.
- S1566014121000418 Dual liability and the moderating effect of corporate social responsibility–Evidence from Belt&Road investment of Chinese firms
by Gu, Lulu & Yang, Guohua & Zuo, Rui
- S1566014121000431 Environmental regulations and innovation for sustainability? Moderating effect of political connections
by Wu, Bao & Fang, Hanqing & Jacoby, Gady & Li, Geling & Wu, Zhenyu
- S1566014121000443 Identifying systemically important financial institutions in complex network: A case study of Chinese stock market
by Chen, Wei & Hou, Xiaoli & Jiang, Manrui & Jiang, Cheng
- S1566014121000455 The process of female borrower discouragement
by Naegels, Vanessa & Mori, Neema & D'Espallier, Bert
- S1566014121000467 Do financial constraints in an unstable emerging economy mitigate the opportunistic behavior of entrenched family owners?
by Kabbach-de-Castro, Luiz Ricardo & Kalatzis, Aquiles Elie Guimarães & Pellicani, Aline Damasceno
- S1566014121000479 How fiscal rules can reduce sovereign debt default risk
by Gomez-Gonzalez, Jose E. & Valencia, Oscar M. & Sánchez, Gustavo A.
- S1566014121000480 Dividend policy and religion: International evidence from firms with Islamic Label
by Ben-Nasr, Hamdi & Ghouma, Hatem H.
- S1566014121000492 Does share pledging affect firms' use of derivatives? Evidence from China
by Shen, Haomin & Cheng, Xiaoke & Ouyang, Caiyue & Li, Ya & Chan, Kam C.
- S1566014121000522 Endogenous market development for government securities in lower-income economies
by Endo, Tadashi
- S156601412100039X Social progress, business formation, and access to investment capital
by Boulton, Thomas J.
- S156601412100042X Diversification and financialization of non-financial corporations: Evidence from China
by Feng, Yumei & Yao, Shouyu & Wang, Chunfeng & Liao, Jing & Cheng, Feiyang
2021, Volume 49, Issue C
- S1566014119301062 Where are the fundamental traders? A model application based on the Shanghai Stock Exchange
by Pu, Yun & Zulauf, Carl
- S1566014119304984 The value of independent directors: Evidence from China
by Wu, Yihan & Dong, Bin
- S1566014119306302 Mixed ownership and firm performance: Evidence from the Chinese venture capital industry
by Ke, Bin & Wang, Lanfang
- S1566014120301394 Government subsidies and firm performance: Evidence from high-tech start-ups in China
by Luo, Xingwu & Huang, Feifei & Tang, Xiaobo & Li, Jialong
- S1566014120302235 The effect of stimulus policy on lending behavior and bank risk: Evidence from the Chinese banking sector
by Dong, Yan & Wang, Cong
- S1566014120302326 The effect of corporate philanthropy on corporate performance of Chinese family firms: The moderating role of religious atmosphere
by Li, Xinlan & Li, Changhong & Wang, Zhan & Jiao, Wenting & Pang, Yiwen
- S1566014120302697 Military executives and corporate outcomes: Evidence from China
by Lin, Lin & Nguyen, Nhut Hoang & Young, Martin & Zou, Liping
- S1566014120303435 Unintended investor sentiment on bank financial products: Evidence from China
by Chen, Rongda & Wu, Ling & Jin, Chenglu & Wang, Shengnan
- S1566014120305884 Path dependence and resource availability: Process of innovation activities in Chinese family and non-family firms
by Eng, Li Li & Fang, Hanqing & Tian, Xi & Yu, T. Robert
- S1566014121000030 News media and insider trading profitability: An emerging country perspective
by Sun, Fangcheng & Dutta, Shantanu & Huang, Hui & Zhu, Pengcheng
- S1566014121000108 Political uncertainty and city bank lending in China: Evidence from city government official changes
by Cheng, Maoyong & Guo, Pin & Jin, Justin Yiqiang & Geng, Hongyan
- S1566014121000261 Anti-corruption intensity and loan contracting: Evidence from non-state owned firms in China
by Li, Guangzi & Chan, Kam C.
- S1566014121000297 Retail attention, retail trades, and stock price crash risk
by Cheng, Feiyang & Wang, Chunfeng & Chiao, Chaoshin & Yao, Shouyu & Fang, Zhenming
- S156601411830298X Dynamic linkage between the Chinese and global stock markets: A normal mixture approach
by Wan, Li & Han, Liyan & Xu, Yang & Matousek, Roman
- S156601412100011X The gambling preference and stock price: Evidence from China's stock market
by Zhu, Hong-bing & Zhang, Bing & Yang, Li-hua
2021, Volume 48, Issue C
- S1566014120301552 Female directors, board committees, and firm performance: Time-series evidence from Turkey
by Ararat, Melsa & Yurtoglu, B. Burcin
- S1566014120301564 The gender composition of corporate boards and firm performance: Evidence from Russia
by Garanina, Tatiana & Muravyev, Alexander
- S1566014120301576 Corporate governance in emerging markets: A selective review and an agenda for future research
by Ararat, Melsa & Claessens, Stijn & Yurtoglu, B. Burcin
- S1566014120301588 Do bank loans still convey information to investors? Evidence from the split share structure reform in China
by Lu, Liping & Tumer-Alkan, Gunseli & Zhang, Haiyang & Xu, Binbin & Wu, Weixing
- S1566014120301618 Determinants of corporate governance practices in Brazil
by de Carvalho, Antonio Gledson & Dal'Bó, Filipe & Sampaio, Joelson
- S1566014120302971 Government-decentralized power: Measurement and effects
by Chen, Shaoling & Gao, Qing & Peng, Qing & Yang, Haisheng
- S1566014120305860 The inner workings of the board: Evidence from emerging markets
by De Haas, Ralph & Ferreira, Daniel & Kirchmaier, Tom
- S1566014120306002 Learning representation of stock traders and immediate price impacts
by Xie, Wen-Jie & Li, Mu-Yao & Zhou, Wei-Xing
- S1566014121000121 Ability parity model for optimal fund allocation: Evidence from China's mutual fund markets
by Liu, Weiyi & Liu, Yangyi & Luo, Ronghua & Ding, Yue
- S1566014121000157 Female leadership and bank performance in Latin America
by Baselga-Pascual, Laura & Vähämaa, Emilia
- S1566014121000169 CEO given names and corporate green investment
by Jia, Fansheng & Li, Guangzhong & Lu, Xiaoyan & Xie, Sujuan
- S1566014121000236 Geo-politics and the impact of China's outward investment on developing countries: evidence from the Great Recession
by Gawellek, Bastian & Lyu, Jingjing & Süssmuth, Bernd
- S1566014121000248 Multiple large shareholders, control contests, and forced CEO turnover
by Zhong, Ruohan & Li, Yanxi & Wang, Yun
- S1566014121000273 Innovation quantity or quality? The role of political connections
by Liu, Shiyuan & Du, Jiang & Zhang, Weike & Tian, Xiaoli & Kou, Gang
- S156601412100025X ChiNext IPOs' initial returns before and after the 2013 stock market reform: What can we learn?
by Zhou, Zhong-guo & Hussein, Monica & Deng, Qi
2021, Volume 47, Issue C
- S1566014118304643 Ethical investing and capital structure
by Narayan, Paresh Kumar & Phan, Dinh Hoang Bach & Liu, Guangqiang & Ibrahim, Mansor
- S1566014119304443 How does stock market liberalization influence corporate innovation? Evidence from Stock Connect scheme in China
by Wang, Shuxun
- S1566014120302673 Gender attitudes and the effect of board gender diversity on corporate environmental responsibility
by Wang, Yun & Wilson, Craig & Li, Yanxi
- S1566014120305872 The speed of stock price adjustment to corporate announcements: Insights from Turkey
by Ersan, Oguz & Simsir, Serif Aziz & Simsek, Koray D. & Hasan, Afan
- S1566014120305975 Measuring alternative asset prices in an emerging market: The case of the South African art market
by Binge, Laurie H. & Boshoff, Willem H.
- S1566014120305987 Regulation, ownership and bank performance in the MENA region: Evidence for Islamic and conventional banks
by Mateev, Miroslav & Bachvarov, Petko
- S1566014120305999 War-experienced CEOs and corporate policies: Evidence from the Korean war
by Choi, Sanghak & Jung, Hail & Kim, Daejin
- S1566014121000017 The impact of trade and financial openness on bank loan pricing: Evidence from emerging economies
by Ashraf, Badar Nadeem & Qian, Ningyu & Shen, Yinjie (Victor)
- S1566014121000042 Balance sheet effects of foreign currency debt and real exchange rate on corporate investment: evidence from Turkey
by Demirkılıç, Serkan
- S1566014121000054 Earnings management and firms' investment behavior: The threshold effect of ROE
by Liu, Shengqiang & Lin, Shu & Sun, Zhaoyu & Yuan, Lihua
- S1566014121000066 Executive compensation incentives, risk level and corporate innovation
by Zhou, Bing & Li, Yu-meng & Sun, Fang-cheng & Zhou, Zhong-guo
- S1566014121000078 Political embeddedness, media positioning and corporate social responsibility: Evidence from China
by Yu, Yin & Chi, Jing
- S1566014121000091 Corporate social responsibility, investor protection, and the cost of equity: Evidence from East Asia
by Wang, Kun Tracy & Kartika, Fiki & Wang, Wanbin Walter & Luo, Guqiang
- S1566014121000145 On the prediction of financial distress in emerging markets: What matters more? Empirical evidence from Arab spring countries
by ElBannan, Mona A.
- S156601412100008X National Governance and Corporate Liquidity in Organization of Islamic Cooperation Countries: Evidence based on a Sharia-compliant Liquidity Measure
by Chen, Naiwei & Yu, Min-Teh
2021, Volume 46, Issue C
- S1566014120300704 Customer concentration and corporate social responsibility performance: Evidence from China
by Wen, Wen & Ke, Yun & Liu, Xuejiao
- S1566014120300777 Does corporate social responsibility influence corporate innovation? International evidence
by Chkir, Imed & El Haj Hassan, Boushra & Rjiba, Hatem & Saadi, Samir
- S1566014120300789 Enhancing CSR disclosure through foreign ownership, foreign board members, and cross-listing: Does it work in Russian context?
by Garanina, Tatiana & Aray, Yulia
- S1566014120300947 Who benefits from mandatory CSR? Evidence from the Indian Companies Act 2013
by Aswani, Jitendra & Chidambaran, N.K. & Hasan, Iftekhar
- S1566014120300959 The institutional analysis of CSR: Learnings from an emerging country
by Khan, Majid & Lockhart, James & Bathurst, Ralph
- S1566014120300960 National culture and socially responsible fund flows
by Labidi, Chiraz & Laribi, Dorra & Ureche-Rangau, Loredana
- S1566014120300972 The effect of voluntary and mandatory corporate social responsibility on earnings management: Evidence from India and the 2% rule
by Hickman, L. Emily & Iyer, Subramanian Rama & Jadiyappa, Nemiraja
- S1566014120300996 Board of director attributes and CSR engagement in emerging economy firms: Evidence from across Asia
by Al-Mamun, Abdullah & Seamer, Michael
- S1566014120302223 How does CSR disclosure affect dividend payments in emerging markets?
by Saeed, Abubakr & Zamir, Farah
- S1566014120303307 Corporate social responsibility in emerging market economies: Determinants, consequences, and future research directions
by Boubakri, Narjess & El Ghoul, Sadok & Guedhami, Omrane & Wang, He (Helen)
- S1566014120305859 Does empathy matter in corporate social responsibility? Evidence from emerging markets
by Chourou, Lamia & Grira, Jocelyn & Saadi, Samir
- S1566014120306014 New and future research in corporate finance and governance in China and emerging markets
by Cumming, Douglas & Verdoliva, Vincenzo & Zhan, Feng
- S1566014121000029 Does corporate internationalization affect corporate social responsibility? Evidence from China
by Zhang, Guiling & Wang, Linjiang & Guo, Fei & Yang, Guochao
- S156601412030073X How does the turnover of local officials make firms more charitable? A comprehensive analysis of corporate philanthropy in China
by Liu, Wei & De Sisto, Marco & Li, Wen Helena
- S156601412030159X Women on board and performance of family firms: Evidence from India
by Sarkar, Jayati & Selarka, Ekta
2020, Volume 45, Issue C
- S1566014118302231 The cyclical behavior of household and corporate credit in emerging economies
by Sim, Seung-Gyu & Lee, Saiah
- S1566014119302195 The primary dealer system in lower-income economies
by Endo, Tadashi
- S1566014119302341 The Chinese equity index options market
by Yue, Tian & Zhang, Jin E. & Tan, Eric K.M.
- S1566014119303395 Fiscal risk and financial fragility
by Silva, Thiago Christiano & Guerra, Solange Maria & Tabak, Benjamin Miranda
- S1566014119304285 Investment behavior of MSMEs during the downturn periods: Empirical evidence from Vietnam
by Trinh, Q. Long & Morgan, Peter J. & Sonobe, Tetsushi
- S1566014119305618 Rating standards around the world: A puzzle?
by Attig, Najah & Driss, Hamdi & El Ghoul, Sadok
- S1566014119305655 IFRS, FDI, economic growth and human development: The experience of Anglophone and Francophone African countries
by Akisik, Orhan & Gal, Graham & Mangaliso, Mzamo P.
- S1566014120300042 Dynamic interdependence of ASEAN5 with G5 stock markets
by Liow, Kim Hiang & Song, Jeongseop
- S1566014120300054 Anticorruption, political connections, and corporate cash policy: Evidence from politician downfalls in China
by Ren, Haohan & Zhao, Xiaofeng
- S1566014120300248 Political connections, political cycles and stock returns: Evidence from Iran
by Faraji, Omid & Kashanipour, Mohammad & MohammadRezaei, Fakhroddin & Ahmed, Kamran & Vatanparast, Nader
- S1566014120300273 Digital start-up access to venture capital financing: What signals quality?
by Nigam, Nirjhar & Benetti, Cristiane & Johan, Sofia A.
- S1566014120300388 Corporate fraud under pyramidal ownership structure: Evidence from a regulatory reform
by Choi, Daewoung & Gam, Yong Kyu & Shin, Hojong
- S1566014120301072 Friend or foe: The divergent effects of FinTech on financial stability
by Fung, Derrick W.H. & Lee, Wing Yan & Yeh, Jason J.H. & Yuen, Fei Lung
- S1566014120302284 Diversification, efficiency and risk of banks: Evidence from emerging economies
by Wu, Ji & Chen, Limei & Chen, Minghua & Jeon, Bang Nam
- S156601411930264X Investor participation and the volatility-volume relation: Evidence from an emerging market
by Bian, Jiangze & Chan, Kalok & Fong, Wai-Ming
- S156601412030203X Hybrid bond issuances by insurance firms
by Ryu, Doojin & Yu, Jinyoung
2020, Volume 44, Issue C
- S1566014117304806 Decomposing the value premium: The role of intangible information in the Chinese stock market
by Ho, Kin-Yip & An, Jiyoun
- S1566014118302620 Selective pump-and-dump: The manipulation of their top holdings by Chinese mutual funds around quarter-ends
by Ouyang, Liangyi & Cao, Bolong
- S1566014118303832 Credit risk and bank competition in Sub-Saharan Africa
by Brei, Michael & Jacolin, Luc & Noah, Alphonse
- S1566014118305016 More shareholders, higher liquidity? Evidence from an emerging stock market
by Chia, Yee-Ee & Lim, Kian-Ping & Goh, Kim-Leng
- S1566014119300780 Disclosure for whom? Government involvement, CSR disclosure and firm value
by Xu, Shen & Chen, Xia & Li, Antai & Xia, Xinping
- S1566014119303656 Company visits and stock price crash risk: Evidence from China
by Yang, Jun & Lu, Jing & Xiang, Cheng
- S1566014119305072 State ownership and corporate innovative efficiency
by Cao, Xiaping & Cumming, Douglas & Zhou, Sili
- S1566014119305205 The role of China's aid and ODI in the economic growth of African countries
by Dong, Yan & Fan, Cijun
- S1566014119305254 Which firms do prefer Islamic debt? An analysis and evidence from global sukuk and bonds issuing firms
by Uddin, Md Hamid & Kabir, Sarkar Humayun & Hossain, Mohammed Sawkat & Wahab, Nor Shaipah Abdul & Liu, Jia
- S1566014119306077 Measuring China's monetary policy uncertainty and its impact on the real economy
by Li, Li & Tang, Yao & Xiang, Jingjie
- S1566014119306314 Is organizational slack honey or poison? Experimental research based on external investors' perception
by You, Xialei & Jia, Shenghua & Dou, Junsheng & Su, Emma
- S1566014120300303 Corporate cash holdings and promoter ownership
by Gupta, C.P. & Bedi, Prateek
- S1566014120300649 The value of family control during political uncertainty: Evidence from Thailand's constitutional change in 201411We are grateful for helpful comments and suggestions provided by Shu-Ching Chou, Woochan Kim, Nicolas Eugster, Yu-Shan Wei and participants at the 32nd Australasian Finance and Banking Conference (AFBC) as well as seminar participants at University of Wollongong. We are equally greatful to the two referees whose comments have improved the quality of the paper. All remaining errors are our sole responsibility
by Swanpitak, Tanapond & Pan, Xiaofei & Suardi, Sandy
- S1566014120302429 In search for good news: The relationship between accounting information, bounded rationality and hard-to-value stocks
by Figlioli, Bruno & Lemes, Sirlei & Lima, Fabiano Guasti
2020, Volume 43, Issue C
- S1566014118303327 Arbitrage risk and the cross-section of stock returns: Evidence from China
by Lin, Yu En & Chu, Chien Chi & Omura, Akihiro & Li, Bin & Roca, Eduardo
- S1566014118303789 SME lending and banking system stability: Some mechanisms at work
by Brei, Michael & Gadanecz, Blaise & Mehrotra, Aaron
- S1566014119301104 What causes Chinese listed firms to switch bank loan provider? Evidence from a survival analysis
by Huang, Jiayi & Matthews, Kent & Zhou, Peng
- S1566014119301724 Financing patterns in transition economies: Privatized former SOEs versus ab initio private firms
by Liu, Yu & Sah, Nilesh & Ullah, Barkat & Wei, Zuobao
- S1566014119302031 Intraday-of-the-week effects: What do the exchange rate data tell us?
by Khademalomoom, Siroos & Narayan, Paresh Kumar
- S1566014119302080 What is the best proxy for liquidity in the presence of extreme illiquidity?
by Będowska-Sójka, Barbara & Echaust, Krzysztof