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Content
2024, Volume 96, Issue PA
- S1057521924005696 Smirking in the energy market: Evidence from the Chinese crude oil options market
by Yue, Tian & Li, Lu-Lu & Ruan, Xinfeng & Zhang, Jin E.
- S1057521924005702 The effect of financial statement comparability on the gaps between credit ratings and bond implied ratings: Focusing on the moderating effect of Korean business groups
by Kim, Tae-San & Kim, Yong-Shik
- S1057521924005714 How supply chain digitalization investment affects firm's financial and non-financial performance: Evidence from listed companies in China
by Wu, Yongqiu & Wang, Jie & Yang, Pianpian
- S1057521924005726 Underwriting syndicate structure and foreign IPO underpricing: A team production perspective
by Huang, Wenhui & Shen, Zhihan & Lin, Yu & Zhao, Ruocheng
- S1057521924005738 Impact of the regional financial reform on corporate financialization: Evidence from China
by Song, Simiao & Wang, Fan & Liu, Xia
- S1057521924005751 Spillover between investor sentiment and volatility: The role of social media
by Yang, Ni & Fernandez-Perez, Adrian & Indriawan, Ivan
- S1057521924005763 Portfolio optimization with transfer entropy constraints
by Ardakani, Omid M.
- S1057521924005775 How does implementing the social insurance law affect enterprises' investment preferences?
by Zhu, Yafang & Guo, Yuanyuan
- S1057521924005787 How do ex ante review systems improve firms' labor income shares: Empirical evidence from the fair competition review system
by Chen, Jierong & Wang, Zezheng
- S1057521924005799 Relationship between business environment and regional innovation level: Examining the moderating role of digital finance
by Zhang, Huaqing & Cai, Cen & Zhang, Xiangjian & Tu, Yongqian & Zhu, Qianyu
- S1057521924005805 Board independence, litigation risk, and expense stickiness: Moderating role of economic policy
by Li, Huxing & Liu, Dongming & Tan, Haoyu & Tu, Yongqian & Zhao, Liang
- S1057521924005817 Is more digital always better? A nonlinear perspective on corporate digital transformation and OFDI
by He, Zheng & Liu, Zhengkai & Zhao, Yiaxin & Zhao, Yuanjun
- S1057521924005829 Fintech, financing constraints and corporate green innovation
by Li, Yuan & Chu, Erming & Nie, Shiqi & Peng, Xiaoyan & Yi, Yuyao
- S1057521924005842 Cross-border capital flows and low-carbon economic development: Examining the impact of foreign shareholding
by Yang, Wen & Zhao, Keqing
- S1057521924005854 How does vertical fiscal imbalance affect corporate green innovation? Empirical evidence from China
by Hu, Zhifei & Liu, Xihe & Li, Xinyu & Wu, Jun
- S1057521924005866 Digital economy, risk attitudes, and entrepreneurial decision-making in urban and rural households in China
by Xiong, Wei & Jiang, Mengzhen & Liu, Yingying
- S1057521924005878 Moderating effect of business environment on the relationship between fiscal science and technology expenditure and venture capital
by Bai, Chengyu & Zheng, Jun
- S1057521924005908 Unveiling the Nexus: Carbon finance and climate technology advancements
by Dunbar, Kwamie & Owusu-Amoako, Johnson & Treku, Daniel N.
- S1057521924005921 Innovative routes: The impact of strategic deviance on corporate success
by Lee, Chien-Chiang & Wang, Chih-Wei & Hsu, Hsuan
- S1057521924005933 Forecasting disorientation in the tax avoidance map: Tax haven subsidiaries and analyst forecasts
by Jin, Long & Pan, Changchun & Huang, Yuzhe
- S1057521924006008 Would carbon tax policy promote real estate prices?
by Ma, Li & Sang, Di
- S105752192400468X The path of digital transformation driving enterprise growth: The moderating role of financing constraints
by Li, Mou & Wei, Lei
- S105752192400485X Impact of media attention on corporate green innovation: What is the role of dual environmental regulation?
by Chen, Ning & Yan, Nan & Xie, Henglang & Ou, Yifan
- S105752192400499X Impact of an increase in tax deductibility of R&D expenditure on firms' ESG: Evidence from China
by Zeng, Jing & Ling, Wen & Hua, Min & Chan, Kam C.
- S105752192400509X The determinants of voluntary disclosure: Integration of eXtreme gradient boost (XGBoost) and explainable artificial intelligence (XAI) techniques
by Lu, Yu-Hsin & Lin, Yu-Cheng
- S105752192400512X Climate policy regime change and mutual fund flows: Insights from the 2020 US election
by Fang, Fei & Parida, Sitikantha
- S105752192400526X The role of accounting standards in financial inclusion
by Taylor, Daniel & Osei-Tutu, Francis & Awuye, Isaac S.
- S105752192400543X Fee structure and equity fund manager’s optimal locking in profits strategy
by Dickinson, David & Han, Xuyuan & Liu, Zhenya & Zhan, Yaosong
- S105752192400557X Beyond the balance sheet: Assessing corporate governance through the Lens of debtholders
by Al-Gamrh, Bakr & Farooq, Umar & Ahsan, Tanveer
- S105752192400560X Pragmatic attitude to large-scale Markowitz’s portfolio optimization and factor-augmented derating
by Hui, Yongchang & Shi, Mengjie & Wong, Wing-Keung & Zheng, Shurong
- S105752192400574X Monetary policy uncertainty and green investment decisions: A cross-national spillover perspective
by Ren, Yi-Shuai & Klein, Tony & Jiang, Yong
2024, Volume 95, Issue PC
- S1057521924003521 Who funds zombie firms: Banks or non-banks?
by Tuuli, Saara
- S1057521924003910 Objective acceptability indexes
by Zhao, Shengli
- S1057521924003946 Spillover effects of financial deregulation: The unintended consequences of the OCC preemption rule on mortgage lending practices
by Wu, Di & Sam, Abdoul G. & Wang, Xiangrui
- S1057521924003983 Presenting a new deep learning-based method with the incorporation of error effects to predict certain cryptocurrencies
by Fallah, Mir Feiz & Pourmansouri, Rezvan & Ahmadpour, Bahador
- S1057521924004058 FinTech and sustainable development: A systematic thematic analysis using human- and machine-generated processing
by Hasan, Morshadul & Hoque, Ariful & Abedin, Mohammad Zoynul & Gasbarro, Dominic
- S1057521924004071 How good are banks’ forecasts?
by Heckmann-Draisbach, Lotta & Memmel, Christoph
- S1057521924004083 A machine learning approach in stress testing US bank holding companies
by Moffo, Ahmadou Mustapha Fonton
- S1057521924004198 Index tracking using shapley additive explanations and one-dimensional pointwise convolutional autoencoders
by Zhang, Yanyi & De Smedt, Johannes
- S1057521924004253 Commodity sectors and factor investment strategies
by Nakagawa, Kei & Sakemoto, Ryuta
- S1057521924004319 What has inflation targeting done for household consumption?
by McCloud, Nadine
- S1057521924004332 When Hollywood movies steal the show, stock returns dance more with the market!
by Do, Hung X. & Nguyen, Nhut H. & Nguyen, Quan M.P. & Nguyen, Thach V.H. & Truong, Cameron
- S1057521924004356 Mutual fund herding and performance: Evidence from China
by Fan, Yaoyao & Song, Qinhao & Guan, Rong & Ly, Kim Cuong & Jiang, Yuxiang
- S1057521924004368 Industry effects of corporate environmental and social scandals: Evidence from China
by Wu, Zhenshu & Pownall, Rachel & Shih, Yi-Cheng & Wang, Yao
- S1057521924004423 The impact of the U.S. export controls on Chinese firms' innovation: Evidence from Chinese high-tech firms
by Shen, Haomin & Gao, Yuan & Cheng, Xiaoke & Wang, Qi
- S1057521924004435 Firm-level climate risk and accounting conservatism: International evidence
by Ferdous, Lutfa Tilat & Atawnah, Nader & Yeboah, Richard & Zhou, Yifan
- S1057521924004447 The impact of environmental court construction on the quality of corporate environmental information disclosure
by Lv, Yan & Wang, Fan & Liu, Guoliang & Ren, Ruixue
- S1057521924004459 Monetary policy and uncertainty spillovers: Evidence from a wavelet and frequency connectedness analysis
by Apostolakis, George N. & Giannellis, Nikolaos
- S1057521924004472 How does tail risk spill over between Chinese and the US stock markets? An empirical study based on multilayer network
by Ouyang, Yingbo & Xie, Chi & Li, Kelong & Mo, Tingcheng & Feng, Yusen
- S1057521924004484 Impact of long-term care insurance on the financial asset allocation of middle-aged and elderly households: Evidence from China
by Shao, Zhanqiang & Chen, Chen
- S1057521924004496 The link between abnormal numbers and price movements of financial securities: How does Benford’s law predict stock returns?
by Ben Hamida, Amal & de Peretti, Christian & Belkacem, Lotfi
- S1057521924004502 Trading on trends: How the ordering of historical volume predicts Chinese stock returns?
by Li, Yihan
- S1057521924004605 Corporate strategic aggression and environmental investment decisions: Evidence from A-share listed firms
by Zhang, Xinyuan & Wu, Jiangqiu & Nor, Mohammad Nazri Bin Mohd & Quah, Chee Heong
- S1057521924004629 Retraction notice to “ Towards sustainable development: How does ESG performance promotes corporate green transformation”
by Wang, Zhen & Chu, Erming & Hao, Yukai
- S1057521924004630 The constraining impact mechanism of financial cognitive ability on the effective demand for housing reverse mortgages in China
by Han, Wei & Zhang, Bo & Li, Wei
- S105752192400396X Related party M&A, goodwill impairment and stock price crash risk: Evidence from Chinese capital market
by Xu, Lingjuan & Zhang, Bindan & Huynh, Luu Duc Toan & Dai, Peng-Fei
- S105752192400423X Mixed ownership reform and trade credit: Evidence from China
by Song, Gaoya & Li, Quan
- S105752192400440X How does ESG performance determine the level of specific financing in capital structure? New insights from China
by Zhao, Xinlu & Zhang, Huixue
2024, Volume 95, Issue PB
- S1057521924002977 State ownership, probability of informed trading, and profitability potential: Evidence from the Warsaw Stock Exchange
by Kropiński, Paweł & Bosek, Bartłomiej & Pudo, Mikołaj
- S1057521924003156 Ecological money and finance.Introducing sustainable monetary diversity
by Didier, Raphaël & Lagoarde-Ségot, Thomas
- S1057521924003193 Financial regulation, financing constraints, and enterprise innovation performance
by Wang, Chenxi & Deng, Xincai & Wang, Deli & Pan, Xingguang
- S1057521924003211 Does digital literacy reduce intergenerational income dependency?
by Wang, Haijun & Ge, Chen & Du, Xiance & Feng, Yiqiang & Wang, Weicheng
- S1057521924003326 The effect of shale gas booms on environmental CSR activity
by Choi, Changhwan & Chung, Chune Young
- S1057521924003338 Corrigendum to “Beyond active share: Boosting fund performance through common holdings with same-benchmark mutual funds” [International Review of Financial Analysis (2024) 1–24/103095]
by Wang, Danxia
- S1057521924003351 The impact of artificial intelligence application on company environmental investment in Chinese manufacturing companies
by Dong, Zhenlin & Xin, Zijun & Liu, Dewen & Yu, Fangkun
- S1057521924003363 Competitive imitation and corporate innovation in private enterprises
by He, Feng & Chen, Longxuan & Wu, Haomin
- S1057521924003375 Corporate fraud detection based on linguistic readability vector: Application to financial companies in China
by Zhang, Yi & Liu, Tianxiang & Li, Weiping
- S1057521924003387 Implied volatility is (almost) past-dependent: Linear vs non-linear models
by Wen, Conghua & Zhai, Jia & Wang, Yinuo & Cao, Yi
- S1057521924003399 Bilateral conflicts and corporate investment
by Xiong, Mengxu & Lu, Jiajia & Kong, Dongmin
- S1057521924003405 The impact of population aging on capital structure decisions and capital market efficiency: Evidence from China
by Wang, Hua & Chen, Yaorui
- S1057521924003417 Bank loan renegotiation and financial institutions' network
by Godlewski, Christophe J. & Sanditov, Bulat
- S1057521924003429 Convertible bond maturity and debt overhang
by Gan, Liu & Xia, Xin & Xu, Wenyang & Zhang, Hai
- S1057521924003430 Towards an era of multi-source uncertainty: A systematic and bibliometric analysis
by Tan, Xueping & Zhong, Yiran & Vivian, Andrew & Geng, Yong & Wang, Ziyi & Zhao, Difei
- S1057521924003442 State-dependent intra-day volatility pattern and its impact on price jump detection - Evidence from international equity indices
by Tsai, Ping Chen & Eom, Cheoljun & Wang, Chou Wen
- S1057521924003454 Monetary policy shocks and firm investment decisions: Evidence from China
by Jiang, Lunan & Chen, Yinghui & Zhang, Lin
- S1057521924003466 Complements or substitutes? The effect of ETFs on other managed funds
by Tang, Lu & Tan, Eric K.M. & Low, Rand
- S1057521924003478 Sources of funding and performance of microfinance institutions over the life cycle
by Annan, Anthony & Ciccotello, Conrad S. & Rioja, Felix
- S1057521924003491 Foundation-controlled firms and CEO compensation11This research did not receive any specific grant from funding agencies in the public, commercial, or not-for-profit sectors
by Nguyen, Van Diem & Moursli, M. Reda
- S1057521924003508 Can multi-period auto-portfolio systems improve returns? Evidence from Chinese and U.S. stock markets
by Wang, Jianzhou & Lv, Mengzheng & Wang, Shuai & Gao, Jialu & Zhao, Yang & Wang, Qiangqiang
- S1057521924003533 Betting on mean reversion in the VIX? Evidence from ETP flows
by Nielsen, Ole Linnemann & Posselt, Anders Merrild
- S1057521924003545 A universal exponent governing foreign exchange rate risks
by Grobys, Klaus
- S1057521924003557 The influence of regional sentiment on online borrowing
by Bazley, William & Jannati, Sima
- S1057521924003569 Tail connectedness of DeFi and CeFi with accessible banking pillars: Unveiling novel insights through wavelet and quantile cross-spectral coherence analyses
by Ghaemi Asl, Mahdi & Ben Jabeur, Sami
- S1057521924003570 Connectedness at extremes between real estate tokens and real estate stocks
by Aharon, David Y. & Ali, Shoaib & Brahim, Mariem
- S1057521924003582 Trading strategies and Financial Performances: A simulation approach
by Biondo, Alessio Emanuele & Mazzarino, Laura & Pluchino, Alessandro
- S1057521924003594 Does it matter who owns firms? Evidence on the impact of supermajority control on private firms in Europe
by Estrin, Saul & Hanousek, Jan & Shamshur, Anastasiya
- S1057521924003600 Political investing of mutual funds
by Kong, Dongmin & Zhao, Zhao
- S1057521924003612 Why does uncovered interest parity fail empirically?
by Aziz, Nusrate
- S1057521924003624 Can compensation disclosure cause CEO pay escalation?
by Carosi, Andrea & Guedes, José
- S1057521924003636 Retail traders and co-movement: Evidence from Robinhood trading activity
by Haghighi, Afshin & Faff, Robert & Oliver, Barry
- S1057521924003648 Is enterprise risk-taking less sensitive to financial flexibility post COVID-19? Evidence from non-linear patterns
by Hunjra, Ahmed Imran & Bagh, Tanveer & Palma, Alessia & Goodell, John W.
- S1057521924003661 Quantifying the volatility spillover dynamics between financial stress and US financial sectors: Evidence from QVAR connectedness
by Hoque, Mohammad Enamul & Billah, Mabruk & Kapar, Burcu & Naeem, Muhammad Abubakr
- S1057521924003673 Testing rational expectations in a cointegrated VAR with structural change
by Marçal, Emerson Fernandes
- S1057521924003685 Sentiment and information: How ‘over-optimistic’ investors influence differences of opinion and IPO pricing?
by Wu, Di & Bu, Danlu
- S1057521924003697 An investigation of sentiment analysis of information disclosure during Initial Coin Offering (ICO) on the token return
by Rasivisuth, Pornpanit & Fiaschetti, Maurizio & Medda, Francesca
- S1057521924003703 Bank sustainability, climate change initiatives and financial performance: The role of corporate governance
by Adu, Douglas A. & Abedin, Mohammad Zoynul & Saa, Vida Y. & Boateng, Frank
- S1057521924003715 The impact of cryptocurrency-related cyberattacks on return, volatility, and trading volume of cryptocurrencies and traditional financial assets
by Cheraghali, Hamid & Molnár, Peter & Storsveen, Mattis & Veliqi, Florent
- S1057521924003727 How do market volatility and risk aversion sentiment inter-influence over time? Evidence from Chinese SSE 50 ETF options
by Gong, Jue & Wang, Gang-Jin & Xie, Chi & Uddin, Gazi Salah
- S1057521924003739 The impact of sustainable development goals in lending-based prosocial crowdfunding: A topic modeling analysis on the kiva platform
by Maiolini, Riccardo & Cappa, Francesco & Franco, Stefano & Quaratino, Giovanni Raimondo
- S1057521924003740 Digital finance and industrial structure upgrading: Evidence from Chinese counties
by Shen, Hongshan & Qin, Mengyao & Li, Tianyi & Zhang, Xuan & Zhao, Yang
- S1057521924003752 Estimation error and partial moments
by Nawrocki, David & Viole, Fred
- S1057521924003764 Multinational corporations and share pledging of the controlling shareholder
by Wen, Chufu & Wen, Fenghua & Lin, Diyue & Zhao, Lili
- S1057521924003776 Can green finance Lead to green investment? Evidence from heavily polluting industries
by Cui, Xiaona & Mohd Said, Ridzwana & Abdul Rahim, Norhuda & Ni, Mengjiao
- S1057521924003788 ESG rating disagreement and analyst forecast quality
by Liu, Xiangqiang & Dai, Jiajie & Dong, Xiaohong & Liu, Jia
- S1057521924003806 Shared analyst coverage, 52-week high, and cross-firm return predictability
by Lin, Mei-Chen
- S1057521924003818 The financial health of a company and the risk of its default: Back to the future
by Dainelli, Francesco & Bet, Gianmarco & Fabrizi, Eugenio
- S1057521924003831 Optimal investment and capital structure under Knightian uncertainty
by Wu, Yaoyao & Hu, Fan
- S1057521924003843 Real estate depreciation and cash policy for innovative firms
by Rong, Zhao & Leng, Fei & Ma, Jun & Ni, Jinlan
- S1057521924003855 Exchange rate stability and expectation management under heterogeneous expectations
by Li, Xiaoping & Wang, Nan & Duan, Jihong & Shi, Wenming
- S1057521924003867 The impact of COVID-19 on global financial markets: A multiscale volatility spillover analysis
by Cheng, Zishu & Li, Mingchen & Cui, Ruhong & Wei, Yunjie & Wang, Shouyang & Hong, Yongmiao
- S1057521924003879 Analysis of rare events using multidimensional liquidity measures
by Zaika, Margarita & Bozdog, Dragos & Florescu, Ionut
- S1057521924003880 Bank-tax-interaction, carbon emission reduction investment and financing decisions for SMEs
by Lu, Ting & Luo, Pengfei
- S1057521924003892 Chief accountants weigh in: How professional leadership of SOEs influence investment efficiency
by Ma, Xiaofang & Chen, Jun & Dong, Wang & Su, Qiaoling
- S1057521924003909 Does CEO agreeableness personality mitigate real earnings management?
by Liu, Shan & Wu, Xingying & Hu, Nan
- S1057521924003922 Post earnings announcement drift: A simple earnings surprise measure, the medium effect of investor attention and investing strategy
by Lan, Qiujun & Xie, Yuxuan & Mi, Xianhua & Zhang, Chunyu
- S1057521924003934 Heterogeneous impact of economic and political uncertainty on green bond volatility: Evidence from the MRS-GARCH-MIDAS-Skewed T model
by Wang, Zhuqing & Wang, Xinyu & Cheng, Qiuying & Shi, Song
- S1057521924003958 Administrative monopoly and state-owned enterprise innovation: Evidence from the fair competition review system in China
by Yang, Xingquan & Zhang, Kexin & Liao, Guanmin & Gao, Pengfei
- S1057521924003971 The writing on the wall: A connectedness-based analysis of ownership structure and bank risk in China
by Wu, Feng-lin & Zhou, Jia-qi & Wang, Ming-hui
- S1057521924003995 Performance of active portfolio managers when the benchmark is not observable
by Chavez-Bedoya, Luis
- S1057521924004009 Stock Liquidity Sidedness and Share Repurchase
by Boubaker, Sabri & Eshraghi, Arman & Liu, Yifan
- S1057521924004010 Labor investment inefficiency and LGBTQ+-friendliness
by Schopohl, Lisa & Urquhart, Andrew & Zhang, Hanxiong
- S1057521924004022 Connectedness in the global banking market network: Implications for risk management and financial policy
by Muñoz Mendoza, Jorge A. & Veloso Ramos, Carmen L. & Delgado Fuentealba, Carlos L. & Araya Gómez, Iván E. & Sepúlveda Yelpo, Sandra M. & Cornejo Saavedra, Edinson E.
- S1057521924004034 Green spillover effect of human capital growth—Evidence from the PM enrollment expansion
by Wang, Jiaxin & Huang, Xiang & Xu, Rui & Huang, Rui
- S1057521924004095 Cross-country risk spillovers of ESG stock indices: Dynamic patterns and the role of climate transition risks
by Guo, Kun & Li, Yichong & Zhang, Yunhan & Chen, Yingtong & Ma, Yanran
- S1057521924004101 Dynamic dependence between quantum computing stocks and Bitcoin: Portfolio strategies for a new era of asset classes
by Ben Jabeur, Sami & Gozgor, Giray & Rezgui, Hichem & Mohammed, Kamel Si
- S1057521924004113 Twitter and cryptocurrency pump-and-dumps
by Ardia, David & Bluteau, Keven
- S1057521924004125 How technological innovation influence operational risk: Evidence from banks in China
by Hu, Mingya & Zhang, Yongjie & Feng, Xu & Xiong, Xiong
- S1057521924004137 Financial literacy and FinTech market growth around the world
by AlSuwaidi, Reem Ahmed & Mertzanis, Charilaos
- S1057521924004149 Understanding climate policy uncertainty: Evidence from temporal and spatial domains
by Yin, Libo & Cao, Hong
- S1057521924004150 News or noise? ESG disclosure and stock price synchronicity
by Ruan, Lei & Li, Jianing & Huang, Siqi
- S1057521924004162 Forward-looking disclosure effects on stock liquidity in China: Evidence from MD&A text analysis
by Abedin, Mohammad Zoynul & Goldstein, Michael A. & Huang, Qingcheng & Zeng, Hongjun
- S1057521924004174 Multiscale quantile dependence between China's green bond and green equity: Fresh evidence from higher-order moment perspective
by Hau, Liya & Yang, Xiaomei & Zhang, Yongmin
- S1057521924004186 How do the gold intra-day returns and volatility react to monetary policy shocks?
by Awartani, Basel & Hussain, Syed Mujahid & Virk, Nader
- S1057521924004204 Family firm governance and working capital management policy
by Hong, Liu & Jain, Bharat A. & Shao, Yingying
- S1057521924004216 New but naughty. The evolution of misconduct in FinTech
by Brogi, Marina & Lagasio, Valentina
- S1057521924004228 Cash is queen? Impact of gender-diverse boards on firms' cash holdings during COVID-19
by Elamer, Ahmed A. & Utham, Vinay
- S1057521924004241 Sustainable investments in volatile times: Nexus of climate change risk, ESG practices, and market volatility
by Naseer, Mirza Muhammad & Guo, Yongsheng & Bagh, Tanveer & Zhu, Xiaoxian
- S1057521924004265 Environment-specific political risk discourse and expected crash risk: The role of political activism
by Rahman, Sohanur & Sinnewe, Elisabeth & Chapple, Larelle
- S1057521924004277 ESG rating disagreement and corporate green innovation bubbles: Evidence from Chinese A-share listed firms
by Geng, Yuan & Chen, Jinyu & Liu, Ran
- S1057521924004289 Climate litigation and financial markets: A disciplinary effect?
by Dulak, Thomas & Gnabo, Jean-Yves
- S1057521924004290 Climate stress testing for mortgage default probability
by Zanin, Luca & Calabrese, Raffaella & Thorburn, Connor Innes
- S1057521924004307 Representative investors versus best clienteles: Performance evaluation disagreement in mutual funds
by Chrétien, Stéphane & Kammoun, Manel
- S1057521924004320 Does financial market liberalization promote corporate radical innovation? Evidence from China
by Li, Xiao-Lin & Si, Deng-Kui
- S1057521924004344 Should Basel-style liquidity requirements be set countercyclically? Evidence from a numerical analysis
by Huang, Chao & Moreira, Fernando & Archibald, Thomas W.
- S1057521924004381 Local environmental organizations and long-term investor value appropriation
by Chung, Chune Young & Doan, Gia Han & Wang, Kainan
- S1057521924004393 Does information content of a corporate social responsibility report matter for stock mispricing? Evidence from China
by Wu, Di & Sun, Qian & Zhang, Wenyu & Xu, Guanghua & Chan, Kam C. & Qin, Jie
- S1057521924004411 Is bank competition conducive to corporate ESG performance?
by Xing, Tiancai & Li, Xue & Feng, Nianqiao
- S1057521924004460 Ecological risk management: Effects of carbon risk on firm innovation investment
by Li, Fangmin & Goodell, John W. & Du, Anna Min & Yang, Tianle
- S105752192400320X CEO's prison experience and corporate risk-taking
by Huang, Shuang & Zhang, Zheng & Nahm, Abraham Y. & Song, Zengji
- S105752192400334X Energy finance research: What happens beneath the literature?
by Kou, Mingting & Zhang, Menglin & Yang, Yuanqi & Shao, Hanqing
- S105752192400348X Macroeconomic environment and the future performance of loans: Evidence from three peer-to-peer platforms
by Baumöhl, Eduard & Lyócsa, Štefan & Vašaničová, Petra
- S105752192400351X Political uncertainty and stock price crash risk: Insights from state-elections in an emerging market
by Wadhwa, Kavita & Goodell, John W.
- S105752192400365X From macro to micro: Sparse macroeconomic risks and the cross-section of stock returns
by Zhu, Lin & Jiang, Fuwei & Tang, Guohao & Jin, Fujing
- S105752192400379X Speculative culture and corporate greenwashing: Evidence from China
by Wang, Jianye & Ke, Yubing & Sun, Lingxia & Liu, Huifen
- S105752192400382X Top managers' environmental experience and corporate environmental violations: Evidence from China
by Dong, Jinting & Liu, Bin & Chen, Yinying
- S105752192400406X Chaos, overfitting and equilibrium: To what extent can machine learning beat the financial market?
by Peng, Yaohao & de Moraes Souza, João Gabriel
- S105752192400437X Is online interactive media monitoring effective? Evidence from corporate tunneling in China
by Zhao, Yujie & Zhang, Yichun & Li, Wen & Chan, Kam C.
2024, Volume 95, Issue PA
- S1057521924002345 Financial statement comparability and expected default risk
by Wang, Yushi & Feng, Yuan & Zhu, Zhangyao & Liu, Jia & Li, Yubin
- S1057521924002382 Social capital, syndication, and investment performance: Evidence from PE investing in LBOs
by Dahya, Jay & Wu, Betty (H.T.)
- S1057521924002412 The investment behavior of China-connected mutual funds in the pandemic: Information advantage through operational link
by Hoang, Lai T. & Tan, Eric K.M. & Yang, Joey W.
- S1057521924002655 Left-tail risk and UK stock return predictability: Underreaction, overreaction, and arbitrage difficulties
by Khasawneh, Maher & McMillan, David G. & Kambouroudis, Dimos
- S1057521924002746 Is there more to asset price linkages in China than meets the eye: Cross-asset momentum and the role of hybrid funds
by Wang, Xiaowei & Wang, Rui & Zhang, Yichun
- S1057521924002758 New evidence of interdependence in forex markets: A connection of connection analysis
by Wu, Tao & Sun, Xiaotong & Xu, Xin & Jia, Nanfei & Xuan, Siyuan
- S1057521924002771 Distribution dynamics and quantile dynamic convergence of the digital economy: Prefecture-level evidence in China
by Zhang, Dongyang & Bai, Dingchuan & Wang, Cao & He, Yurun
- S1057521924002783 Evolving energies: Analyzing stability amidst recent challenges in the natural gas market
by Bouazizi, Tarek & Abid, Ilyes & Guesmi, Khaled & Makrychoriti, Panagiota
- S1057521924002795 Sector-specific calendar anomalies in the US equity market
by Valadkhani, Abbas & O'Mahony, Barry
- S1057521924002801 Gold market volatility and REITs' returns during tranquil and turbulent episodes
by Salisu, Afees A. & Akinsomi, Omokolade & Ametefe, Frank Kwakutse & Hammed, Yinka S.
- S1057521924002813 Environmental, social, and governance performance and corporate debt maturity in China
by Zhou, Mengling & Huang, Zizhen & Jiang, Kangqi
- S1057521924002825 The interplay among corporate bonds, geopolitical risks, equity market, and economic uncertainties
by Alshammari, Saad & Andriosopoulos, Kostas & Kaabia, Olfa & Mohamed, Kamel Si & Urom, Christian
- S1057521924002837 FinTech, systemic risk and bank market power – Australian perspective
by Saklain, Md Sohel
- S1057521924002849 Double-edged sword: Does strong creditor protection in the bankruptcy process affect firm productivity
by Gao, Peng & He, Ling & Hu, Shiyang & Xin, Qingquan
- S1057521924002850 VIX-managed portfolios
by Božović, Miloš
- S1057521924002862 Do bitcoin shocks truly Cointegrate with financial and commodity markets?
by Özer, Mustafa & Frömmel, Michael & Kamişli, Melik & Vuković, Darko B.
- S1057521924002874 Institutional consensus after earnings announcements: Information or crowding?
by Klein, Olga & Klein, Daniel
- S1057521924002886 Online sales and stock price synchronicity: Evidence from China
by Wang, Kai & Zhao, Jingjing & Zhou, Jun
- S1057521924002898 Empirical research on banks' risk disclosure: Systematic literature review, bibliometric analysis and future research agenda
by Mies, Michael
- S1057521924002904 The signaling effect of local government debt: Evidence from China
by Chen, Suyun & Li, Zongze & Xie, Feixue & Xu, Xiaofang
- S1057521924002916 The higher the better? Hedging and investment strategies in cryptocurrency markets: Insights from higher moment spillovers
by He, Xie & Hamori, Shigeyuki
- S1057521924002928 Fund flow diversification: Implications for asset stability, fee-setting and performance
by Casavecchia, Lorenzo & Tiwari, Ashish
- S1057521924002941 The price discovery in the renminbi/USD market: Two spot, two swap, and three forward FX rates
by Kitamura, Yoshihiro
- S1057521924002953 Transmission mechanisms of the effects of geopolitical risk on energy returns and volatility
by Qin, Yun & Zhang, Zitao
- S1057521924002965 CEO power, internal control quality, and entrepreneurial innovation spirit in family enterprises
by Li, Weibin & Huang, Yingling & Zhou, Hongyong & Liu, Xin
- S1057521924002989 Bank liability structure and corporate employment: Evidence from a quasi-natural experiment in China
by Chen, Xiaoxiong & Mu, Jinghao & Liu, Guanchun & Liu, Yuanyuan
- S1057521924002990 Carbon emissions and liquidity management
by Goodell, John W. & Gurdgiev, Constantin & Karim, Sitara & Palma, Alessia
- S1057521924003004 Testing out-of-sample portfolio performance using second-order stochastic dominance constrained optimization approach
by Xu, Peng
- S1057521924003077 Executive pay gap and corporate ESG greenwashing: Evidence from China
by Li, Menghan & Chen, Qi
- S1057521924003089 ESG ratings, business credit acquisition, and corporate value
by Han, Wei & Wu, Di
- S1057521924003090 Dynamic causality between global supply chain pressures and China's resource industries: A time-varying Granger analysis
by Ren, Xiaohang & Fu, Chenjia & Jin, Chenglu & Li, Yuyi
- S1057521924003120 Navigating ESG complexity: An in-depth analysis of sustainability criteria, frameworks, and impact assessment
by Eskantar, Marianna & Zopounidis, Constantin & Doumpos, Michalis & Galariotis, Emilios & Guesmi, Khaled
- S1057521924003132 ESG rating results and corporate total factor productivity
by Xue, Qinyuan & Jin, Yifei & Zhang, Cheng
- S1057521924003144 Firm leverage and employee pay: The moderating role of CEO leadership style
by Gill, Balbinder Singh & Choi, Jongmoo Jay & John, Kose
- S1057521924003168 Open government data and the cost of debt
by Xing, Qiuhang & Xu, Gaoshuang & Wang, Yanping
- S1057521924003181 Biodiversity and stock returns
by Ma, Feng & Wu, Hanlin & Zeng, Qing
- S105752192400276X Realized normal volatility and maximum outlying jumps in high frequency returns for Korean won–US Dollar
by Chae-Deug, Yi
- S105752192400293X The impact of ESG profile on Firm's valuation in emerging markets
by Rahat, Birjees & Nguyen, Pascal
- S105752192400317X Chief executive officer marital status and corporate credit ratings
by Cai, Xiangshang & Gao, Yang & Wu, Zhiting & Yuan, Jiayi
2024, Volume 94, Issue C