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Content
2020, Volume 46, Issue C
- S1044028318301534 Hyperbolic distance function, technical efficiency and stability to shocks: A comparison between Islamic banks and conventional banks in MENA region
by Chaffai, Mohamed
- S1044028318302035 Sharia supervisory boards, governance structures and operational risk disclosures: Evidence from Islamic banks in MENA countries
by Elamer, Ahmed A. & Ntim, Collins G. & Abdou, Hussein A. & Pyke, Chris
- S1044028318302114 Impact of the 2008–2009 financial crisis on the external and internal linkages of European frontier stock markets
by Nikkinen, Jussi & Piljak, Vanja & Rothovius, Timo
- S1044028318302321 Efficiency in Islamic vs. conventional banking: The role of capital and liquidity
by Bitar, Mohammad & Pukthuanthong, Kuntara & Walker, Thomas
- S1044028318302953 Macroprudential policy in the EU: A political economy perspective
by Bengtsson, Elias
- S1044028318302977 Estimating risk efficiency in Middle East banks before and after the crisis: A metafrontier framework
by Colesnic, Olga & Kounetas, Konstantinos & Michael, Polemis
- S1044028319300109 US macroeconomic news effects around the US and European financial crises: Evidence from Brazilian and Mexican equity indices
by Hussain, Syed Mujahid & Ben Omrane, Walid & Al-Yahyaee, Khamis
- S1044028319301632 Is the disposition effect in bonds as strong as in stocks? Evidence from an emerging market
by Hincapié-Salazar, Juliana & Agudelo, Diego A.
- S1044028319303400 Islamic finance in Russia: A market review and the legal environment
by Kalimullina, Madina
- S104402831930078X Vulnerability of fixed-rate funds-supplying operations to overbidding: An experimental approach
by Funaki, Yukihiko & Shino, Junnosuke & Uto, Nobuyuki
2020, Volume 45, Issue C
- S1044028318301625 Historic risk and implied volatility
by Dicle, Mehmet F. & Levendis, John
- S1044028318301790 The bank lending channel in the Malaysian Islamic and conventional banking system
by Caporale, Guglielmo Maria & Çatık, Abdurrahman Nazif & Helmi, Mohamad Husam & Menla Ali, Faek & Tajik, Mohammad
- S1044028318302023 What is the investment loss due to uncertainty?
by Panagiotidis, Theodore & Printzis, Panagiotis
- S1044028318302308 Internet search volumes of UK banks during the crisis: The role of banking structure and business model
by Arnold, Ivo J.M.
- S1044028318302631 Investment efficiency: Dual-class vs. Single-class firms
by Cheng, Xiaoyan & Mpundu, Heminigild & Wan, Huishan
- S1044028318302679 VPIN, liquidity, and return volatility in the U.S. equity markets
by Yildiz, Serhat & Van Ness, Bonnie & Van Ness, Robert
- S1044028319300249 Corporate social responsibility and earnings quality: Evidence from China
by Rezaee, Zabihollah & Dou, Huan & Zhang, Huili
- S1044028319300298 On the financial market impact of euro area monetary policy: A comparative study before and after the Global Financial Crisis
by Collingro, Franziska & Frenkel, Michael
2020, Volume 44, Issue C
- S1044028317301370 Are investors compensated for their sophistication and informedness for company takeovers – An Australian study
by McAdam, Chris
- S1044028317301679 Better directors or distracted directors? An international analysis of busy boards
by Ferris, Stephen P. & Jayaraman, Narayanan & Liao, Min-Yu (Stella)
- S1044028317302417 The effects of ownership structure on dividend policy: Evidence from seasoned equity offerings (SEOs)
by Ngo, Anh & Duong, Hong & Nguyen, Thanh & Nguyen, Liem
- S1044028317304787 Does relative valuation work for banks?
by Forte, Gianfranco & Gianfrate, Gianfranco & Rossi, Emanuele
- S1044028318300073 Informed trading in hybrid bond markets
by Valseth, Siri
- S1044028318300322 The cost of capital: U.S.-based multinational corporations versus U.S. domestic corporations
by Wang, Zhimin & Ettinger, Marilyn & Xie, Yuying & Xu, Li
- S1044028318300942 The information content of director trading: Evidence from acquisition announcements in Australia
by Hossain, Md Mosharraf & Heaney, Richard & Yu, Jing
- S1044028319300638 The state of research on sovereign wealth funds
by Megginson, William L. & Gao, Xuechen
2020, Volume 43, Issue C
- S1044028317301837 Financing preferences and practices of Indian SMEs
by Kent Baker, H. & Kumar, Satish & Rao, Purnima
- S1044028317302089 Determinants of profit reinvestment undertaken by SMEs in the small island countries
by Wellalage, Nirosha Hewa & Reddy, Krishna
- S1044028317303757 Lost in Translation: The determinants and the effect of soft information dispersion in bank lending
by Porzio, Claudio & Sampagnaro, Gabriele & Verdoliva, Vincenzo
- S1044028317304106 Does corporate social responsibility help the survivorship of SMEs and large firms?
by Gangi, Francesco & Meles, Antonio & Monferrà, Stefano & Mustilli, Mario
- S1044028317304660 Credit rationing and the relationship between family businesses and banks in Italy
by Ferri, Giovanni & Murro, Pierluigi & Pini, Marco
- S1044028317304891 Assessing the credit worthiness of Italian SMEs and mini-bond issuers
by Altman, Edward I. & Esentato, Maurizio & Sabato, Gabriele
2019, Volume 42, Issue C
- v:42:y:2019:i:c:s1044028317304349 Size effects and economies of scale in European real estate companies
by Ambrose, Brent W. & Fuerst, Franz & Mansley, Nick & Wang, Zilong
- v:42:y:2019:i:c:s1044028317302028 In search of distress risk in China's stock market
by Gao, Li & He, Wei & Wang, Qian
- v:42:y:2019:i:c:s1044028317302259 What is a better cross-hedge for energy: Equities or other commodities?
by Olson, Eric & Vivian, Andrew & Wohar, Mark E.
- v:42:y:2019:i:c:s1044028317304374 Capitalization rates and transaction activity in international office markets: A global perspective
by Devaney, Steven & Livingstone, Nicola & McAllister, Pat & Nanda, Anupam
- v:42:y:2019:i:c:s1044028317304337 The risk and return of private equity real estate funds
by Farrelly, Kieran & Stevenson, Simon
- v:42:y:2019:i:c:s1044028317304659 Why companies do not pay cash dividends: The Turkish experience
by Kent Baker, H. & Kilincarslan, Erhan
- v:42:y:2019:i:c:s104402831730323x Foreign acquisitions and firm performance: The moderating role of prior foreign experience
by Agyei-Boapeah, Henry
2019, Volume 41, Issue C
- 1-12 First-move advantage in seasoned equity offerings: Evidence from European banks
by Botta, Marco
- 13-31 Why have many U.S.-listed Chinese firms announced delisting recently?
by Hu, Gang & Lin, Ji-Chai & Wong, Owen & Yu, Manning
- 32-43 Stock market integration between the UK and the US: Evidence over eight decades
by Aladesanmi, Olalekan & Casalin, Fabrizio & Metcalf, Hugh
- 44-59 Competitive environment and innovation intensity
by Cornett, Marcia Millon & Erhemjamts, Otgontsetseg & Tehranian, Hassan
- 60-78 Cross-asset relations, correlations and economic implications
by McMillan, David G.
- 79-89 Faith-based norms and portfolio performance: Evidence from India
by Dharani, M. & Hassan, M. Kabir & Paltrinieri, Andrea
- 90-103 The substitution hypothesis of agency conflicts: Evidence on Shariah compliant equities
by Azmi, Wajahat & Anwer, Zaheer & Mohamad, Shamsher & Shah, Mohamed Eskandar
- 104-112 Latin American Corporate Emerging Markets Bond Indices (CEMBIs): Their recent evolution
by López-Herrera, Francisco & Santillán-Salgado, Roberto J. & Cabello, Alejandra
- 113-127 Government venture capital and cross-border investment
by Soleimani Dahaj, Arash & Cozzarin, Brian Paul
- 128-145 The real earnings management of cross-listing firms
by Beckmann, Klaus S. & Escobari, Diego A. & Ngo, Thanh
- 146-157 Is the venture capital market liquid? Evidence from India
by Dominic, James & Gopalaswamy, Arun Kumar
2019, Volume 40, Issue C
- 1-12 Thresholds in the nexus between financial deepening and firm performance: Evidence from Indonesia
by Soedarmono, Wahyoe & Trinugroho, Irwan & Sergi, Bruno S.
- 13-27 The effectiveness of foreign exchange intervention in Latin America: A nonlinear approach to the coordination channel
by Gamboa-Estrada, Fredy
- 28-34 Short-sale constraints and stock price informativeness
by Ebrahimnejad, Ali & Hoseinzade, Saeid
- 35-47 Duration of poor performance and risk shifting by hedge fund managers
by Li, Ying & Holland, A. Steven & Kazemi, Hossein B.
- 48-64 Municipal financing costs following disasters
by Bourdeau-Brien, Michael & Kryzanowski, Lawrence
- 65-73 The impact of political connections and business groups on cash holdings: Evidence from Chinese listed firms
by Lin, Tsui-Jung & Chang, Hai-Yen & Yu, Hui-Fun & Kao, Ching-Pao
- 74-84 Stock Market Valuation, Foreign Investment, and Cross-Country Arbitrage
by Wang, Liu
- 85-103 Tests of technical trading rules and the 52-week high strategy in the corporate bond market
by Montgomery, William & Raza, Ahmad & Ülkü, Numan
2019, Volume 39, Issue C
- 1-2 Introduction to the special issue: Prudential financial regulation
by Evanoff, Douglas
- 3-9 Evolving micro- and macroprudential regulations in the United States: A primer
by Hancock, Diana
- 10-16 Regulatory responses to banking crisis: Lessons from Japan
by Imai, Masami
- 17-20 The regulatory response to the sovereign-bank nexus
by Laeven, Luc
- 21-25 The costs and benefits of bank capital requirements
by De Nicolò, Gianni
- 26-29 Capital regulation: What is an appropriate minimum level?
by Carey, Mark
- 30-38 The interplay between liquidity regulation, monetary policy implementation and financial stability
by Keister, Todd
- 39-43 An overview of regulatory stress-testing and steps to improve it
by Pritsker, Matt
- 44-57 Predicting European bank stress tests: Survival of the fittest
by Kolari, James W. & López-Iturriaga, Félix J. & Sanz, Ivan Pastor
- 58-62 Principles for financial regulatory reform
by Dudley, William C.
2018, Volume 38, Issue C
- 1-12 Is corporate social responsibility a value-increasing investment? Evidence from antitakeover provisions
by Sheikh, Shahbaz
- 13-23 Does sustainability make banks more cost efficient?
by Liang, Lien-Wen & Chang, Hai-Yen & Shao, Hao-Ling
- 24-29 Benchmark error and socially responsible investments
by Sturm, Ray R. & Field, Casey Margarite
- 30-44 Investor implications of divesting from fossil fuels
by Henriques, Irene & Sadorsky, Perry
- 45-64 ESG performance and firm value: The moderating role of disclosure
by Fatemi, Ali & Glaum, Martin & Kaiser, Stefanie
- 65-81 CSR engagement and financial risk: A virtuous circle? International evidence
by Chollet, Pierre & Sandwidi, Blaise W.
- 82-96 Are more corporate social investments better? Evidence of non-linearity effect on costs of U.S. Bank loans
by Bae, Sung C. & Chang, Kiyoung & Yi, Ha-Chin
- 97-109 Are socially responsible firms less likely to restate earnings?
by Chepurko, Iuliia & Dayanandan, Ajit & Donker, Han & Nofsinger, John
2018, Volume 37, Issue C
- 1-24 Ownership structure, audit quality, board structure, and stock price crash risk: Evidence from China
by Yeung, Wing Him & Lento, Camillo
- 25-38 The effect of managerial entrenchment on analyst bias
by Ulupinar, Bahar
- 39-56 Disentangling the impacts of industrial and global diversification on firm risk
by Jafarinejad, Mohammad & Ngo, Thanh & Escobari, Diego
- 57-78 Diversification and bank efficiency in six ASEAN countries
by Nguyen, Thi Lam Anh
- 79-99 Waiting for guidance: Disclosure noise, verification delay, and the value-relevance of good-news versus bad-news management earnings forecasts
by Cohen, Lee Jeremy & Marcus, Alan J. & Rezaee, Zabihollah & Tehranian, Hassan
- 100-122 The co-insurance effect hypothesis and the cost of bank loans: Evidence from Indonesian pyramidal business groups
by Chandera, Yane & Utama, Cynthia Afriani & Husodo, Zaäfri Ananto & Setia-Atmaja, Lukas
- 123-137 Institutional determinants of cash holdings speed of adjustment
by Orlova, Svetlana V. & Sun, Li
- 138-151 Payout policy in industrial and financial firms
by Kent Baker, H. & De Ridder, Adri
- 152-167 The determinants of retail trading activity in emerging markets: A cross-market analysis
by Alderighi, Stefano
- 168-172 Future exchange rates and Siegel's paradox
by Mallahi-Karai, Keivan & Safari, Pedram
- 173-185 How corporate governance affects productivity in civil-law business environments: Evidence from Latin America
by Gaitán, Sandra & Herrera-Echeverri, Hernán & Pablo, Eduardo
- 186-198 The impact of Chinese financial markets on commodity currency exchange rates
by Ma, Xiuying & Yang, Zhihua & Xu, Xiangyun & Wang, Chengqi
- 199-218 A firm-level analysis of the upstream-downstream dichotomy in the oil-stock nexus
by Swaray, Raymond & Salisu, Afees A.
- 219-226 Unintended consequences of securities regulation: Stock value loss upon potential involuntary delisting in Hong Kong
by Lai, Kam-Wah & Leung, Patrick W.
- 227-247 Do terrorist attacks harm financial markets? A meta-analysis of event studies and the determinants of adverse impact
by Park, Jin Suk & Newaz, Mohammad Khaleq
- 248-261 Spectral measures of risk for international futures markets: A comparison of extreme value and Lévy models
by Mozumder, Sharif & Choudhry, Taufiq & Dempsey, Michael
2018, Volume 36, Issue C
- 1-13 Sovereign credit rating determinants under financial crises
by Teixeira, João C.A. & Silva, Francisco J.F. & Ferreira, Manuel B.S. & Vieira, José A.C.
- 14-22 Capital structure adjustment behaviors of Chinese listed companies: Evidence from the Split Share Structure Reform in China
by He, Wei & Kyaw, NyoNyo A.
- 23-40 Disentangling the relationship between liquidity and returns in Latin America
by French, Joseph J. & Taborda, Rodrigo
- 41-61 Multiple days ahead realized volatility forecasting: Single, combined and average forecasts
by Degiannakis, Stavros
- 62-77 Co-movement of international copper prices, China's economic activity, and stock returns: Structural breaks and volatility dynamics
by Guo, Jin
- 78-95 Governance reforms and performance of MENA banks: Are disclosures effective?
by Ghosh, Saibal
2018, Volume 35, Issue C
- 1-11 Who trades profusely? The characteristics of individual investors who trade frequently
by Richards, Daniel W. & Willows, Gizelle D.
- 12-42 Risk-adjusted inside debt
by Li, Zhichuan Frank & Lin, Shannon & Sun, Shuna & Tucker, Alan
- 43-57 Dividend policy in Turkey: Survey evidence from Borsa Istanbul firms
by Kent Baker, H. & Kilincarslan, Erhan & Arsal, Alper Haktan
- 58-71 Efficiency in BRICS banking under data vagueness: A two-stage fuzzy approach
by Wanke, Peter & Azad, Abul Kalam & Emrouznejad, Ali
- 72-81 CEO ability and corporate opacity
by Uygur, Ozge
- 82-96 Safe-haven and hedge currencies for the US, UK, and Euro area stock markets: A copula-based approach
by Tachibana, Minoru
- 97-105 Volatility of stock market returns and the naira exchange rate
by Tule, Moses & Dogo, Mela & Uzonwanne, Godfrey
- 106-114 R&D investment and risk in Brazil
by da Silva, Raphael Braga & Klotzle, Marcelo Cabus & Pinto, Antonio Carlos Figueiredo & da Motta, Luiz Felipe Jacques
- 115-137 Performance ranking (dis)similarities in commodity markets
by Zhang, Hanxiong & Auer, Benjamin R. & Vortelinos, Dimitrios I.
- 138-146 Implied volatility linkages between the U.S. and emerging equity markets: A note
by Dutta, Anupam
- 147-156 Multi-dimensional portfolio risk and its diversification: A note
by Kim, Woohwan & Kim, Young Min & Kim, Tae-Hwan & Bang, Seungbeom
- 157-169 The effects of options listing and delisting in a short-sale-constrained market: Evidence from the Indian equities markets
by Banerjee, Pradip & Chatrath, Arjun & Christie-David, Rohan & Maitra, Debasish
- 170-176 Neurofinance versus the efficient markets hypothesis
by Ardalan, Kavous
- 177-201 Regression analysis of historic oil prices: A basis for future mean reversion price scenarios
by Weijermars, R. & Sun, Z.
- 202-222 The influence of supply side factors on firm's borrowing decisions: European evidence
by Krivogorsky, Victoria & Joh, Gun-Ho & DeBoskey, D.G.
- 223-236 Risk, competition and efficiency in banking: Evidence from China
by Tan, Yong & Floros, Christos
2017, Volume 34, Issue C
- 1-15 Dividend policy: A selective review of results from around the world
by Booth, Laurence & Zhou, Jun
- 16-31 The role of the reference rate in an interbank market with imperfect information
by Muto, Ichiro
- 32-42 Mergers and acquisitions in Germany: 1981–2010
by Mager, Ferdinand & Meyer-Fackler, Martin
- 43-53 Sovereign pension and social security reserve funds: A portfolio analysis
by Dreassi, Alberto & Miani, Stefano & Paltrinieri, Andrea
- 54-71 Currency volatility and bid-ask spreads of ADRs and local shares
by Figueiredo, Antonio & Parhizgari, A.M.
- 72-88 Innovations in new venture financing: Evidence from Indian SME IPOs
by Bhattacharya, Arnab
- 89-99 The currency composition of firms' balance sheets, asset value correlations, and capital requirements
by Byström, Hans
2017, Volume 33, Issue C
- 1-26 Cross-border opportunity sets: An international empirical study based on ownership types
by Ang, James & Knill, April & Mauck, Nathan
- 27-37 The effect of the split share structure reform on working capital management of Chinese companies
by He, Wei & Mukherjee, Tarun K. & Kent Baker, H.
- 38-50 How security prices respond to a surge in investor attention: Evidence from Google Search of ADRs
by Tang, Wenbin & Zhu, Lili
- 51-68 Global portfolio investment network and stock market comovement
by Chuluun, Tuugi
- 69-87 Recent advances in explaining hedge fund returns: Implicit factors and exposures
by Stafylas, Dimitrios & Anderson, Keith & Uddin, Moshfique
- 88-103 Did family firms perform better during the financial crisis? New insights from the S&P 500 firms
by Zhou, Haoyong & He, Fan & Wang, Yangbo
2017, Volume 32, Issue C
- 1-15 The evolution and future of the BRICS: Unbundling politics from economics
by Shahrokhi, Manuchehr & Cheng, Huifang & Dandapani, Krishnan & Figueiredo, Antonio & Parhizgari, Ali M. & Shachmurove, Yochanan
- 16-34 Leverage-based index revisions: The case of Dow Jones Islamic Market World Index
by Chen, Haiwei & Ngo, Thanh
- 35-54 Time-varying conditional discrete jumps in emerging African equity markets
by Kuttu, Saint
- 55-61 Ex-dividend date stock behavior and the clientele effect: Evidence around a tax reduction
by Muñoz, Ercio & Rodriguez, Arturo
- 62-82 The world price of sentiment risk
by Keiber, Karl Ludwig & Samyschew, Helene
- 83-96 National culture, population age, and other country factors in volume–price volatility relationship
by Hua, Wei & Wei, Peihwang
- 97-112 Asset prices regime-switching and the role of inflation targeting monetary policy
by Chatziantoniou, Ioannis & Filis, George & Floros, Christos
- 113-127 External monitoring of private firms: A cross-country empirical analysis
by Nikbakht, Ehsan & Sarkar, Sayan & Spieler, Andrew C.
- 128-148 Emerging markets: Is the trend still your friend?
by Conover, C. Mitchell & Jensen, Gerald R. & Johnson, Robert R. & Szakmary, Andrew C.
- 149-165 Range-based and GARCH volatility estimation: Evidence from the French asset market
by Benlagha, Noureddine & Chargui, Sana
- 166-178 Gains from mergers and acquisitions in Japan
by Fatemi, Ali M. & Fooladi, Iraj & Garehkoolchian, Niloofar
2016, Volume 31, Issue C
- 1-17 The curious case of converts
by Li, Xiaoyang & Lin, Shannon & Tucker, Alan L.
- 18-30 Oil price shocks and exchange rate movements
by Volkov, Nikanor I. & Yuhn, Ky-hyang
- 31-41 Did EMU membership cause the “Dutch disease” in the PIGS nations?
by Batavia, Bala & Nandakumar, Parameswar
- 42-56 Hostility and deal completion likelihood in international acquisitions: The moderating effect of information leakage
by Ngo, Thanh & Susnjara, Jurica
- 57-72 Do exchange rate changes have symmetric or asymmetric effects on stock prices?
by Bahmani-Oskooee, Mohsen & Saha, Sujata
- 73-87 Liquidity, ownership concentration, corporate governance, and firm value: Evidence from Thailand
by Prommin, Panu & Jumreornvong, Seksak & Jiraporn, Pornsit & Tong, Shenghui
2016, Volume 30, Issue C
- 1-9 More on intangibles: Do stockholders benefit from brand values?
by Chehab, Adham & Liu, Jeanny & Xiao, Yibo
- 10-26 Investor response to online value line rank changes: Foreign versus local stocks
by Prombutr, Wikrom & Lockwood, Jimmy & Zhang, Ying & Le, Steven V.
- 27-44 Debt covenants and credit spread valuation: The special case of Chinese global bonds
by Chang, Sean Tat & Ross, Donald
- 45-65 Stock returns and economic forces—An empirical investigation of Chinese markets
by Chen, Xiaoyu & Chiang, Thomas C.
- 66-76 Islamic finance and economic growth: The Malaysian experience
by Kassim, Salina
- 77-93 Foreign banks and credit in Mexico
by Serrano, Alejandro
2016, Volume 29, Issue C
- 1-11 Finance methodology of Free Cash Flow
by Yaari, Uzi & Nikiforov, Andrei & Kahya, Emel & Shachmurove, Yochanan
- 12-23 Volatility spillovers between oil prices and the stock market under structural breaks
by Ewing, Bradley T. & Malik, Farooq
- 24-41 Intra-day realized volatility for European and USA stock indices
by Degiannakis, Stavros & Floros, Christos
- 42-69 Corporate social responsibility and stakeholder governance around the world
by Jo, Hoje & Song, Moon H. & Tsang, Albert
- 70-84 Asymmetric information, volatility components and the volume–volatility relationship for the CAC40 stocks
by Slim, Skander & Dahmene, Meriam
2015, Volume 28, Issue C
- 1-9 Trades in commodities, financial assets, and currencies: A triangle of arbitrage, hedging and speculative designs
by Ghosh, Dilip K. & Arize, Augustine & Ghosh, Dipasri
- 10-23 Female directors in bank boardrooms and their influence on performance and risk-taking
by Gulamhussen, Mohamed Azzim & Santa, Sílvia Fonte
- 24-37 Realized spill-over effects between stock and foreign exchange market: Evidence from regional analysis
by Do, Hung Xuan & Brooks, Robert & Treepongkaruna, Sirimon
- 38-67 Global dividend payout patterns: The US and the rest of the world and the effect of financial crisis
by Bildik, Recep & Fatemi, Ali & Fooladi, Iraj
- 68-83 Political risk and the factors that affect international bids
by Glambosky, Mina & Gleason, Kimberly & Murdock, Maryna
- 84-94 Tracking error decomposition and return attribution for leveraged exchange traded funds
by Bansal, Vipul K. & Marshall, John F.
- 95-110 Price discovery in the dual-platform US Treasury market
by Sun, Zhuowei & Dunne, Peter G. & Li, Youwei
- 111-131 Should we trust the Z-score? Evidence from the European Banking Industry
by Chiaramonte, Laura & Croci, Ettore & Poli, Federica
- 132-146 US stock market regimes and oil price shocks
by Angelidis, Timotheos & Degiannakis, Stavros & Filis, George
2015, Volume 27, Issue C
- 1-17 Do firms change earnings management behavior after receiving financial forecast warnings?
by Chung, Yu-Hsuan & Pan, Lee-Hsien & Huang, Shaio Yan & Chen, K.C.
- 18-45 Corporate social responsibility and stakeholder governance around the world
by Jo, Hoje & Song, Moon H. & Tsang, Albert
- 46-72 Informational efficiency and spurious spillover effects between spot and derivatives markets
by Sogiakas, Vasilios & Karathanassis, George
- 73-97 Liquidity and stock returns: Evidence from international markets
by Chiang, Thomas C. & Zheng, Dazhi
- 98-111 Causal nexus between economic growth, inflation, and stock market development: The case of OECD countries
by Pradhan, Rudra P. & Arvin, Mak B. & Bahmani, Sahar
- 112-118 Does stealth trading coexist with high levels of insider trading? Evidence from Kuwait
by Alhashel, Bader
2015, Volume 26, Issue C
- 1-17 An examination of U.S. institutional and individual investor sentiment effect on the Turkish stock market
by Sayim, Mustafa & Rahman, Hamid
- 18-28 A method for evaluating the extreme risk sources of financial markets: The case of stock markets in China
by Di, Junpeng & Zhu, Pingfang
- 29-46 International shocks and growth in emerging markets
by Poshakwale, S. & Ganguly, G.
- 47-63 A tracking error approach to leveraged ETFs: Are they really that bad?
by Bansal, Vipul K. & Marshall, John F.
- 64-79 Specified purpose acquisition companies in shipping
by Shachmurove, Yochanan & Vulanovic, Milos
2014, Volume 25, Issue 3
- 169-180 The microstructure of fear, the Fama–French factors and the global financial crisis of 2007 and 2008
by Lim, Dominic & Durand, Robert B. & Yang, Joey Wenling
- 181-202 Foreign capital raising by Indian firms: An examination of domestic stock price response
by Meisami, Alex & Misra, Lalatendu & Mehran, Jamshid & Shi, Yilun
- 203-228 ISO certification, financial constraints, and firm performance in Latin American and Caribbean countries
by Ullah, Barkat & Wei, Zuobao & Xie, Feixue
- 229-245 Financial advisors, financial crisis, and shareholder wealth in bank mergers
by Chuang, Kai-Shi
- 246-259 Volatility transmission between energy-related asset classes
by Gormus, N. Alper & Soytas, Ugur & Diltz, J. David
- 260-269 Importance of skewness in decision making: Evidence from the Indian stock exchange
by Narayan, Paresh Kumar & Ahmed, Huson Ali
2014, Volume 25, Issue 2
- 71-89 Volatility linkage across global equity markets
by Ding, Liang & Huang, Yirong & Pu, Xiaoling
- 90-107 Premiums and discounts in ETFs: An analysis of the arbitrage mechanism in domestic and international funds
by Hilliard, Jitka
- 108-123 Australia's home bias and cross border taxation
by Mishra, Anil V.
- 124-135 Dividend policy in Nordic listed firms
by Brunzell, Tor & Liljeblom, Eva & Löflund, Anders & Vaihekoski, Mika
- 136-147 The effectiveness of competing regulatory regimes and the switching effects: Evidence from an emerging market
by Farag, Hisham
- 148-168 The international syndicated loan market network: An “unholy trinity”?
by Champagne, Claudia
2014, Volume 25, Issue 1
- 1-16 Quantitative easing in an open economy—Not a liquidity but a reserve trap
by Herbst, Anthony F. & Wu, Joseph S.K. & Ho, Chi Pui
- 17-26 Global contagion of market sentiment during the US subprime crisis
by Lee, Yen-Hsien & Tucker, Alan L. & Wang, David K. & Pao, Hsin-Ting
- 27-47 The reaction of the U.S. and the European Monetary Union to recent global financial crises
by Kowalski, Tadeusz & Shachmurove, Yochanan
- 48-55 IPO market timing. The evidence of the disposition effect among corporate managers
by Plotnicki, Michal & Szyszka, Adam
- 56-69 Return and volatility dynamics among four African equity markets: A multivariate VAR-EGARCH analysis
by Kuttu, Saint
2013, Volume 24, Issue 3
- 171-187 Analysis of DJIA, S&P 500, S&P 400, NASDAQ 100 and Russell 2000 ETFs and their influence on price discovery
by Ivanov, Stoyu I. & Jones, Frank J. & Zaima, Janis K.
- 188-202 Liquidity creation and bank capital structure in China
by Lei, Adrian C.H. & Song, Zhuoyun
- 203-221 Private placement, share prices, volume and financial crisis: An emerging market study
by Normazia, M. & Hassan, Taufiq & Ariff, M. & Shamsher, M.
- 222-249 Is sovereign risk related to the banking sector?
by Aktug, R. Erdem & Nayar, Nandkumar (Nandu) & Vasconcellos, Geraldo M.
- 250-265 Excess control, agency costs and the probability of going private in France
by Belkhir, Mohamed & Boubaker, Sabri & Rouatbi, Wael
- 266-279 Nonlinearity in investment grade Credit Default Swap (CDS) Indices of US and Europe: Evidence from BDS and close-returns tests
by Madhavan, Vinodh
2013, Volume 24, Issue 2