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Content
2024, Volume 75, Issue C
- S1042444X24000355 The impact of climate risk on corporate innovation: An international comparison
by Deng, Qu & Huang, Garland & Li, Donghui & Yang, Shijie
- S1042444X24000367 Global, local, or glocal? Unravelling the interplay of geopolitical risks and financial stress
by Ahmed, Faroque & Gurdgiev, Constantin & Sohag, Kazi & Islam, Md. Monirul & Zeqiraj, Veton
- S1042444X24000379 Extreme weather exposure and corporate carbon emissions management: Evidence from forty countries
by Qian, Xianhang & Qiu, Shanyun & Yang, Xue
- S1042444X24000380 Do cultural differences affect the share price puzzle?
by Ferretti, Riccardo & Pattitoni, Pierpaolo & Pedrazzoli, Alessia
2024, Volume 74, Issue C
- S1042444X24000136 CEOs’ financial work experience and firms’ outbound investments
by Zeng, Xiaoming & Chen, Hao & Yin, Yanzhao & Liu, Youjin
- S1042444X24000239 When local and foreign investors meet the Chinese government's risk perception about COVID-19
by Deng, Chao & Li, Shiyu & Hong, Yun
- S1042444X24000240 Navigating the complexities of GCC real state markets: An analysis of interlinkages amidst shocks and oil effects
by Fetais, Alanoud Hamad & Aysan, Ahmet Faruk & Nagayev, Ruslan
- S1042444X24000252 Do foreign investors make firms more transparent? Evidence from Korea
by Lee, Junyong & Oh, Frederick Dongchuhl
2024, Volume 73, Issue C
- S1042444X24000082 Geopolitical risk and the predictability of spillovers between exchange, commodity and stock markets
by Hao, Xinlei & Ma, Yong & Pan, Dongtao
- S1042444X24000112 Nonlinear effects of financial openness on financial development in ASEAN
by Nam, Hyun-Jung & Bang, Jeongseok & Ryu, Doojin
- S1042444X24000124 Government reporting credibility as immunity: Evidence from a public health event
by Jiang, Christine & Zhang, Xiaori & Hu, Bill
2024, Volume 72, Issue C
- S1042444X23000440 How does bank competition affect trade-mode transformation? Evidence from Chinese export enterprises
by Wang, Rui & Mao, Keqi
- S1042444X23000452 The international linkages of market risk perception
by Serrano, Pedro & Vaello-Sebastià, Antoni & Vich-Llompart, M. Magdalena
- S1042444X2300052X Religion and corporate innovation
by Lee, Junyong & Oh, Frederick Dongchuhl & Shin, Donglim
- S1042444X2400001X Geopolitical risk and foreign subsidiary performance of emerging market multinationals
by Li, Xin & Tong, Yan & Zhong, Kai & Xu, Guoquan & Zhao, Wenyi
2023, Volume 70-71
- S1042444X23000397 Host country corruption and Japanese outward foreign direct investment: A sectoral and industry-level analysis
by Cieślik, Andrzej & Ryan, Michael
- S1042444X23000403 Natural resource rents and access to finance
by Khan, Mohammed Arshad & Khan, Muhammad Atif & Khan, Muhammad Asif & Alhumoudi, Hamad & Haddad, Hossam
- S1042444X23000415 An alternative measure of profit shifting and corporate income tax losses
by Dobranschi, Marian & Nerudová, Danuše & Solilová, Veronika & Litzman, Marek
- S1042444X23000427 Culture and payout policy: International evidence
by Khiar, Mohamed Nasrallah & Kooli, Maher
- S1042444X23000439 Climate risk and bank stability: International evidence
by Le, Anh-Tuan & Tran, Thao Phuong & Mishra, Anil V.
2023, Volume 69, Issue C
- S1042444X23000270 Further evidence on the returns to technical trading rules: Insights from fourteen currencies
by Dockery, Everton & Todorov, Ivan
- S1042444X23000282 Do financial and governmental institutions play a mediating role in the spillover effects of FDI?
by Nam, Hyun-Jung & Bang, Jeongseok & Ryu, Doojin
- S1042444X23000294 Home country environment and the downside risk implications of multinationality: Empirical evidence from Chinese SMEs
by Zhou, Chao
- S1042444X23000300 The sources of economic uncertainty: Evidence from eurozone markets
by Liosi, Konstantina
- S1042444X23000312 The extreme risk connectedness of the global financial system: G7 and BRICS evidence
by Chen, Ning & Li, Shaofang & Lu, Shuai
2023, Volume 68, Issue C
- S1042444X23000063 Do politically connected directors play an information role under policy uncertainty?
by Onal, Bunyamin
- S1042444X23000154 Foreign ownership in joint ventures under knowledge leakage risks: The influence of industrial munificence and dynamism
by Hu, Tiancheng
- S1042444X23000166 International transmission of exchange rate volatility: Evidence from FIEs’ investments in China
by Dai, Yanke & Li, Baoxin & Xu, Yangfei
- S1042444X23000178 Towards inclusive growth in Africa: Remittances, and financial development interactive effects and thresholds
by Ofori, Isaac K. & Gbolonyo, Emmanuel Y. & Toyo Dossou, Marcel A. & Nkrumah, Richard K. & Nkansah, Emmanuel
- S1042444X23000191 Dynamic connectedness between credit and liquidity risks in euro area sovereign debt markets
by Gómez-Puig, Marta & Pieterse-Bloem, Mary & Sosvilla-Rivero, Simón
- S1042444X23000208 International knowledge transfers and capital structure of multinational affiliates: Evidence from expatriate managers as the transfer agents
by Kang, Youngho & Kim, Ryoonhee & Whang, Unjung
- S1042444X2300018X Does performance-chasing behavior matter? International evidence
by Lee, Jennifer Eunkyeong & Cho, Hoon & Ryu, Doojin & Seok, Sangik
2023, Volume 67, Issue C
- S1042444X22000524 Social trust and the choice between bank debt and public debt: Evidence from international data
by Mazumder, Sharif & Rao, Ramesh
- S1042444X23000014 Financial openness and financial market development
by Tongurai, Jittima & Vithessonthi, Chaiporn
- S1042444X23000026 Does foreign institutional ownership matter for stock price synchronicity? International evidence
by Dang, Tung Lam & Vo, Thi Thuy Anh & Vo, Xuan Vinh & Thi My Nguyen, Linh
- S1042444X23000038 COVID-19 pandemic impact on banking sector: A cross-country analysis
by Shabir, Mohsin & Jiang, Ping & Wang, Wenhao & Işık, Özcan
- S1042444X23000051 Russia-Ukraine conflict: The effect on European banks’ stock market returns
by Martins, António Miguel & Correia, Pedro & Gouveia, Ricardo
- S1042444X2300004X Economic policy uncertainty and carbon footprint: International evidence
by Tee, Chwee-Ming & Wong, Wai-Yan & Hooy, Chee-Wooi
2022, Volume 66, Issue C
- S1042444X22000299 Foreign institutional investors and executive compensation incentives: Evidence from China
by Cheng, Xu & Kong, Dongmin & Kong, Gaowen
- S1042444X22000305 Stock exchange governance and stock liquidity: International evidence
by Boussetta, Selma
- S1042444X22000317 Ownership structure of oil revenues: Political institutions and financial markets in oil-producing countries
by Mohammed, Jabir Ibrahim & Fiador, Vera Ogeh & Karimu, Amin & Abor, Joshua Yindenaba
- S1042444X22000329 Currency denomination and borrowing cost: Evidence from global bonds
by Han, Bo
- S1042444X22000330 Financial structure and bank relationships of Italian multinational firms
by Bronzini, Raffaello & D’Ignazio, Alessio & Revelli, Davide
- S1042444X22000421 Climate change exposure, risk management and corporate social responsibility: Cross-country evidence
by Mbanyele, William & Muchenje, Linda Tinofirei
- S1042444X22000433 Geopolitical risk and corporate innovation: Evidence from China
by Jia, Shaoqing & Yang, Liuyong & Zhou, Fangzhao
- S1042444X22000445 The impact of climatic disaster on corporate investment policy
by Feng, Zhi-Yuan & Wang, Chou-Wen & Lu, Yu-Hong
- S1042444X2200041X Foreign bank lending: The role of home country culture during prosperous and crisis periods
by Jackowicz, Krzysztof & Kowalewski, Oskar & Kozłowski, Łukasz
2022, Volume 65, Issue C
- S1042444X22000081 How does firm size explain cross-country differences in ownership concentration?
by Moshirian, Fariborz & Thi Nguyen, Thuy & Zhang, Bohui
- S1042444X22000093 Media coverage and corporate risk-taking: International evidence
by Gao, Xin & Xu, Weidong & Li, Donghui
- S1042444X22000196 Emerging market firm investments in advanced markets: A country of origin perspective
by Reddy, Rama Krishna & Park, Sung- Jin & Mooty, Scott
- S1042444X22000202 Does good board governance reduce idiosyncratic risk in emerging markets? Evidence from China
by Fareed, Zeeshan & Wang, Nianyong & Shahzad, Farrukh & Meran Shah, Syed Ghulam & Iqbal, Najaf & Zulfiqar, Bushra
- S1042444X22000287 Income diversification and bank performance nexus: Does corruption matter?
by Addai, Bismark & Tang, Wenjin & Gyimah, Adjei Gyamfi & Twumasi, Martinson Ankrah
- S1042444X2200010X The role of private equity investments on exports: Evidence from OECD countries
by Herrera-Echeverri, Hernan & Nandy, Debarshi K. & Fragua, Daniel
2022, Volume 64, Issue C
- S1042444X22000019 Liquidity Shocks, Price Volatilities, and Risk-managed Strategy: Evidence from Bitcoin and Beyond
by Tang, Tao & Wang, Yanchen
- S1042444X22000020 Product differentiation in the socially responsible mutual fund industry
by Alda, Mercedes & Muñoz, Fernando & Vargas, María
- S1042444X22000032 Does disinvestment from fossil fuels reduce the financial performance of responsible sovereign wealth funds?
by Al Ayoubi, Khalil & Enjolras, Geoffroy
- S1042444X22000044 Stewardship, institutional investors monitoring, and firm value: Evidence from the United Kingdom
by Nguyen, Nghia Huu & Shiu, Cheng-Yi
- S1042444X22000056 Foreign analysts and managerial investment learning from stock markets
by Xie, Lingmin & Chen, Zhian & Li, Donghui & Tan, Hongping
- S1042444X22000068 Foreign investment in times of COVID-19: How strong is the flight to advanced economies?
by Giofré, Maela
- S1042444X2200007X Inflexibility and corporate innovation: Cross-country evidence
by Ge, Jianjun & Li, Donghui & Ni, Yingzhao & Yang, Shijie
2022, Volume 63, Issue C
- S1042444X21000281 The signaling role of covenants and the speed of capital structure adjustment under poor creditor rights: Evidence from domestically and cross-listed firms in Brazil
by Albanez, Tatiana & Schiozer, Rafael
- S1042444X21000293 Is gold a safe haven for exchange rate risks? An empirical study of major currency countries
by Wang, Kuan-Min & Lee, Yuan-Ming
- S1042444X21000426 Foreign-invested and domestic firm attributes and spillover effects: Evidence from Brazil
by Sarker, Bibhuti & Serieux, John
- S1042444X21000499 Politics and equity markets: Evidence from Canada
by Killins, Robert N. & Ngo, Thanh & Wang, Hongxia
- S1042444X21000505 Understanding the pricing of currency risk in global equity markets
by Karolyi, G. Andrew & Wu, Ying
- S1042444X21000517 Value creation and value destruction in investor-state dispute arbitration
by Brada, Josef C. & Chen, Chunda & Jia, Jingyi & Kutan, Ali M. & Perez, M. Fabricio
2021, Volume 62, Issue C
- S1042444X21000177 Trade, financial openness and dual banking economies: Evidence from GCC Region
by Khan, Ashraf & Hassan, M. Kabir & Paltrinieri, Andrea & Bahoo, Salman
- S1042444X21000190 Does cross-border banking enhance competition and cost efficiency? Evidence from Africa
by Matabaro Borauzima, Luc & Niyondiko, Dominique & Muller, Aline
- S1042444X21000268 Cross-listing and the alignment between short and long-run performance
by Ghadhab, Imen
- S1042444X21000311 Determinants of non-compliant equity funds with EU portfolio concentration limits
by Loban, Lidia & Sarto, José Luis & Vicente, Luis
- S1042444X21000323 Does mutual fund family size matter? International evidence
by Chen, Yihao & Miguel, Antonio F. & Liu, Xiayue
- S1042444X21000335 Do the specific countries in which a multinational corporation operates affect its private loan contracts?
by Ater, Brandon & Hansen, Bowe
- S1042444X21000402 Big data analytics, order imbalance and the predictability of stock returns
by Akyildirim, Erdinc & Sensoy, Ahmet & Gulay, Guzhan & Corbet, Shaen & Salari, Hajar Novin
- S1042444X21000414 Country-segment disclosure of foreign operations from Central and Eastern Europe: Country-level determinants and value relevance
by Taran, Alina & Simga-Mugan, Can & Mironiuc, Marilena
- S1042444X2100027X Does geopolitical risk matter for corporate investment? Evidence from emerging countries in Asia
by Le, Anh-Tuan & Tran, Thao Phuong
- S1042444X2100030X The diverse effects of currency crises on multinational and local firms: The use of foreign currency debt
by Jin, Jing & Liao, Rose C. & Loureiro, Gilberto
2021, Volume 61, Issue C
- S1042444X20300542 The effects of global factors on the Saudi Arabia equity market by firm size: Implications for risk management based on quantile analysis and frequency domain causality
by Alqahtani, Faisal & Hamdi, Besma & Hammoudeh, Shawkat
- S1042444X20300633 An empirical illustration of the integration of sovereign bond markets
by Inaba, Kei-Ichiro
- S1042444X21000013 The impact of competition and bank market regulation on banks’ cost efficiency
by Yin, Haiyan
- S1042444X21000025 FDI characteristics, industry homogeneity, and audit fees in Japanese multinationals
by Gu, Junjian
- S1042444X21000037 Unemployment fluctuations and currency returns in the United Kingdom: Evidence from over one and a half century of data
by Bathia, Deven & Demirer, Riza & Gupta, Rangan & Kotzé, Kevin
- S1042444X21000062 Does foreign direct investment deepen the financial system in Southeast Asian economies?
by Islam, Mollah Aminul & Liu, Haiyun & Khan, Muhammad Asif & Islam, Md Tariqul & Sultanuzzaman, Md Reza
2021, Volume 60, Issue C
- S1042444X21000049 Dynamic measures of asymmetric & pairwise connectedness within an optimal currency area: Evidence from the ERM I system
by Gabauer, David
- S1042444X21000050 Dynamic identification of systemically important financial markets in the spread of contagion: A ripple network based collective spillover effect approach
by Su, Zhi & Xu, Fuwei
- S1042444X21000074 Measuring liquidity risk effects on carry trades across currencies and regimes
by Abankwa, Samuel & Blenman, Lloyd P.
- S1042444X21000086 Payouts and stock ownership
by Baker, H. Kent & Dam, Lammertjan & De Ridder, Adri
- S1042444X21000153 The stabilizing effects of pension funds vs. mutual funds on country-specific market risk
by Xue, Wenjun & He, Zhongzhi & Hu, Yu
- S1042444X21000165 Evaluating the performance of U.S. international equity closed-end funds
by Fletcher, Jonathan
- S1042444X21000189 The long-run performance of cross-border acquirers: An analysis of synergy sources
by Hsu, Junming & Yang, Tung-Hsiao & Tsai, Yi-Chi
2021, Volume 59, Issue C
- S1042444X20300505 Renegotiating public-private partnerships
by Sarmento, Joaquim Miranda & Renneboog, Luc
- S1042444X20300529 Foreign direct investments: The role of corporate social responsibility
by Liu, Mei & Marshall, Andrew & McColgan, Patrick
- S1042444X20300530 Reversal returns and expected returns from liquidity provision: Evidence from emerging markets
by Butt, Hilal Anwar & Högholm, Kenneth & Sadaqat, Mohsin
- S1042444X20300554 Connectedness between cryptocurrencies and foreign exchange markets: Implication for risk management
by Chemkha, Rahma & BenSaïda, Ahmed & Ghorbel, Ahmed
- S1042444X20300645 Do managers pay attention to the market? A review of the relationship between stock price informativeness and investment
by Pereira da Silva, Paulo
- S1042444X20300657 Key factors determining corporate social responsibility practices of Vietnamese firms and the joint effects of foreign ownership
by Kabir, Rezaul & Thai, Hanh Minh
2020, Volume 57-58
- S1042444X20300414 How does internationalization affect capital raising decisions? Evidence from UK firms
by Jones, Edward & Kwansa, Nana Abena & Li, Hao
- S1042444X20300426 Economic policy uncertainty and bank credit growth: Evidence from European banks
by Danisman, Gamze Ozturk & Ersan, Oguz & Demir, Ender
- S1042444X20300438 Profit skimming, asymmetric benchmarking, or the effects of implicit incentives? Evidence from natural disasters
by Reza, Syed Walid
- S1042444X20300451 Economic policy uncertainty and the Bitcoin-US stock nexus
by Mokni, Khaled & Ajmi, Ahdi Noomen & Bouri, Elie & Vo, Xuan Vinh
- S1042444X20300463 Financing benefit from exporting: An indirect identification approach
by Yu, Ziliang & Tong, Jiadong
- S1042444X20300475 Corruption, national culture, law and dividend repatriation policy
by Tahir, Muhammad & Ibrahim, Haslindar & Zulkafli, Abdul Hadi & Mushtaq, Muhammad
- S1042444X20300487 Development and testing of an augmented distress prediction model: A comparative study on a developed and an emerging market
by Ashraf, Sumaira & Félix, Elisabete G.S. & Serrasqueiro, Zélia
- S1042444X20300499 Corruption and financial fragility of small and medium enterprises: International evidence
by Le, Anh-Tuan & Doan, Anh-Tuan
- S1042444X20300517 Trust and quality uncertainty in global value chains
by Cumming, Douglas & Ge, Ying & Lai, Huiwen
- S1042444X2030044X Investor Sentiment and Stock Price Premium Validation with Siamese Twins from China
by Li, Yuan & Ran, Jimmy
2020, Volume 56, Issue C
- S1042444X20300177 Gold, platinum, and expected Bitcoin returns
by Duc Huynh, Toan Luu & Burggraf, Tobias & Wang, Mei
- S1042444X20300281 An investigation of the financial resource curse hypothesis in oil-exporting countries: The threshold effect of democratic accountability
by Kassouri, Yacouba & Altıntaş, Halil & Bilgili, Faik
- S1042444X20300293 The impact of ownership concentration on payout across Nordic firms
by Khalfan, Twahir M. & Wendt, Stefan
- S1042444X20300311 Bank development, competition, and entrepreneurship: International evidence
by González, Francisco
- S1042444X2030027X Bank regulations, bank competition and bank risk-taking: Evidence from Japan
by Tongurai, Jittima & Vithessonthi, Chaiporn
- S1042444X2030030X Natural resources and financial development: The role of institutional quality
by Khan, Muhammad Atif & Gu, Lulu & Khan, Muhammad Asif & Oláh, Judit
2020, Volume 55, Issue C
- S1042444X20300049 Institutional ownership, investor recognition and stock performance around index rebalancing: Evidence from Indian market
by Ahluwalia, Eshan & Mishra, Ajay Kumar & Tripathy, Trilochan
- S1042444X20300141 Modeling the relationship between oil and USD exchange rates: Evidence from a regime-switching-quantile regression approach
by Youssef, Manel & Mokni, Khaled
- S1042444X20300153 Political connections and income smoothing: Evidence of institutional investors’ monitoring in Malaysia
by Tee, Chwee Ming
- S1042444X20300165 Economic policy uncertainty and ADR mispricing
by Grossmann, Axel & Ngo, Thanh
- S1042444X20300189 Signaling value of quality certification: Financing under asymmetric information
by Ullah, Barkat
- S1042444X20300190 Shanghai-Hong Kong Stock Exchange Connect Program: A story of two markets and different groups of stocks
by Wang, Weishen
2020, Volume 54, Issue C
- S1042444X20300013 Corporate social responsibility and bank efficiency
by Belasri, Sanaa & Gomes, Mathieu & Pijourlet, Guillaume
- S1042444X20300025 Foreign issuers in emerging growth company IPOs
by Gullapalli, Rachita & Knyazeva, Anzhela
- S1042444X20300037 The investment behavior of Qualified Foreign Institutional Investors in China
by Liu, Ningyue & Bredin, Don & Cao, Huijuan
- S1042444X20300050 Corporate risk-taking in developed countries: The influence of economic policy uncertainty and macroeconomic conditions
by Vural-Yavaş, Çiğdem
- S1042444X20300062 Volatility connectedness in global foreign exchange markets
by Wen, Tiange & Wang, Gang-Jin
- S1042444X1930369X Corruption and corporate cash holdings: international evidence
by Tran, Quoc Trung
2019, Volume 52-53
- v:52-53:y:2019:i::s1042444x19301902 Economic policy uncertainty and corporate risk-taking: International evidence
by Tran, Quoc Trung
- v:52-53:y:2019:i::s1042444x19300490 Foreign investors’ trading behavior and market conditions: Evidence from Taiwan
by Tsai, Li-Ju & Shu, Pei-Gi & Chiang, Sue-Jane
- v:52-53:y:2019:i::s1042444x19300349 The impact of exchange rate movements on mergers and acquisitions FDI
by Shetty, Anand & Manley, John & Kyaw, Nyonyo
- v:52-53:y:2019:i::s1042444x19301331 The value relevance of nonfinancial disclosure: Evidence from foreign equity investment
by Chauhan, Yogesh & Kumar, Surya Bhushan
- v:52-53:y:2019:i::s1042444x19301872 Global liquidity, market sentiment, and financial stability indices
by Osina, Nataliia
- v:52-53:y:2019:i::s1042444x18302330 Should central banks use the currency futures market to manage spot volatility? Evidence from India
by Biswal, P.C. & Jain, Anshul
- v:52-53:y:2019:i::s1042444x19301392 The diminishing hedging role of crude oil: Evidence from time varying financialization
by Sharma, Shahil & Rodriguez, Ivan
- v:52-53:y:2019:i::s1042444x19301653 The impact of financial and economic factors on Islamic mutual fund performance: Evidence from multiple fund categories
by Uddin, Gazi Salah & Arreola Hernandez, Jose & Labidi, Chiraz & Troster, Victor & Yoon, Seong-Min
- v:52-53:y:2019:i::s1042444x18302834 The impact of microcredit on poverty reduction in eleven developing countries in south-east Asia
by Félix, Elisabete Gomes Santana & Belo, Teresa Freitas
- v:52-53:y:2019:i::s1042444x19300751 Directional spillover effects between ASEAN and world stock markets
by Kang, Sang Hoon & Uddin, Gazi Salah & Troster, Victor & Yoon, Seong-Min
2019, Volume 51, Issue C
- 1-22 How does foreign pressure affect a firm's corporate social performance? Evidence from listed firms in Taiwan
by Chiou, Chyi-Lun & Shu, Pei-Gi
- 23-44 Does firm life cycle impact corporate risk taking and performance?
by Shahzad, Farrukh & Lu, Jing & Fareed, Zeeshan
- 45-60 Political institutions and foreign banks’ risk-taking in emerging markets
by Wang, Rui & Sui, Yubing
- 61-79 Corporate governance, earnings quality and idiosyncratic crash risk during the 2007–2008 financial crisis
by da Silva, Paulo Pereira
- 80-97 Exchange rate exposure of Latin American firms: Empirical evidence
by Santillán-Salgado, Roberto J. & Núñez-Mora, José Antonio & Aggarwal, Raj & Escobar-Saldivar, Luis Jacob
- 98-115 Foreign investor trading behavior has evolved
by Onishchenko, Olena & Ülkü, Numan
2019, Volume 50, Issue C
- 1-12 Price clustering and economic freedom: The case of cross-listed securities
by Baig, Ahmed S. & Blau, Benjamin M. & Whitby, Ryan J.
- 13-28 The response of different investor types to macroeconomic news
by Ikizlerli, Deniz & Holmes, Phil & Anderson, Keith
- 29-43 Why do multinational firms hold so much cash? Further evidence on the precautionary motive
by Zheng, Suyan
- 44-57 Institutional stock ownership and firm innovation: Evidence from China
by Chi, Jing & Liao, Jing & Yang, Jingjing
- 58-75 Firm innovation in transition economies: The role of formal versus informal finance
by Ullah, Barkat
- 76-88 Technology directors and firm innovation
by Li, Yunhe & Liu, Yu & Xie, Feixue
2019, Volume 49, Issue C
- 1-19 Diversification role of currency momentum for carry trade: Evidence from financial crises
by Yamani, Ehab
- 20-34 Does foreign currency-denominated debt affect dividend payout policy? Evidence from Korea
by Choi, Young Mok & Park, Kunsu
- 35-53 The impact of social and environmental sustainability on financial performance: A global analysis of the banking sector
by Nizam, Esma & Ng, Adam & Dewandaru, Ginanjar & Nagayev, Ruslan & Nkoba, Malik Abdulrahman
- 54-66 Remittances, finance and industrialisation in Africa
by Efobi, Uchenna & Asongu, Simplice & Okafor, Chinelo & Tchamyou, Vanessa & Tanankem, Belmondo
- 67-80 Institutional quality and financial development: The United States perspective
by Khan, Muhammad Asif & Khan, Muhammad Atif & Abdulahi, Mohamued Elyas & Liaqat, Idrees & Shah, Sayyed Sadaqat Hussain
- 81-88 Time-varying causal relationship between stock market and unemployment in the United Kingdom: Historical evidence from 1855 to 2017
by Sibande, Xolani & Gupta, Rangan & Wohar, Mark E.
2018, Volume 47-48
- 1-13 The roles of the information environment and the stock price performance of foreign firms in their decision to delist from U.S. exchanges
by Cai, Kelly & Lee, Heiwai & Valero, Magali
- 14-30 The role of dividend policy in cross-border mergers and acquisitions
by Kaprielyan, Margarita & Brady, Kevin
- 31-45 European cross-border acquisitions: Long-run stock returns and firm characteristics
by Jensen-Vinstrup, Mathias & Rigamonti, Damiana & Wulff, Jesper
- 46-59 Informativeness of stock prices after IFRS adoption in Brazil
by Castro, F. Henrique & Santana, Verônica
- 60-75 Herding tendency among investors with heterogeneous information: Evidence from China’s equity markets
by Alhaj-Yaseen, Yaseen S. & Yau, Siu-Kong
- 76-90 News implied volatility and the stock-bond nexus: Evidence from historical data for the USA and the UK markets
by Gupta, Rangan & Kollias, Christos & Papadamou, Stephanos & Wohar, Mark E.
- 91-109 The Dodd-Frank Act and Basel III: Market-based risk implications for global systemically important banks (G-SIBs)
by Mohanty, Sunil K. & Akhigbe, Aigbe & Basheikh, Abdulrahman & Khan, Haroon ur Rashid
- 110-128 Bad luck, Bad policy or Bad banking? Understanding the financial management behavior of MENA banks
by Ghosh, Saibal
- 129-143 Foreign currency risk hedging and firm value in China
by Luo, Hang (Robin) & Wang, Rui
2018, Volume 46, Issue C
2018, Volume 45, Issue C
- 1-14 Regulatory institutions, natural resource endowment and location choice of emerging-market FDI: A dynamic panel data analysis
by Kang, Yuanfei
- 15-34 Endogenous dynamics between innovation, financial markets, venture capital and economic growth: Evidence from Europe
by Pradhan, Rudra P. & Arvin, Mak B. & Nair, Mahendhiran & Bennett, Sara E. & Bahmani, Sahar & Hall, John H.
- 35-51 Callable convertible bonds in sequential financing: Evidence on the Western European market
by Olivier, Adoukonou & Florence, Andre & Jean-Laurent, Viviani
- 52-71 The role of economic and financial uncertainties in predicting commodity futures returns and volatility: Evidence from a nonparametric causality-in-quantiles test
by Bahloul, Walid & Balcilar, Mehmet & Cunado, Juncal & Gupta, Rangan
- 72-87 Asymmetries in the African financial markets
by Gkillas, Konstantinos & Vortelinos, Dimitrios I. & Suleman, Tahir
- 88-104 Is information diffusion a threat to market power for financial access? Insights from the African banking industry
by Asongu, Simplice & Batuo, Enowbi & Nwachukwu, Jacinta & Tchamyou, Vanessa
2018, Volume 44, Issue C
- 1-13 An empirical evaluation of estimation error reduction strategies applied to international diversification
by McDowell, Shaun
- 14-35 Cross-country determinants of ownership choices in cross-border acquisitions: Evidence from emerging markets
by Dang, Man & Henry, Darren & Nguyen, Manh Toan & Hoang, Viet Anh
- 36-50 The impact of market competition on the relation between CEO power and firm innovation
by Sheikh, Shahbaz
- 51-60 Do confident individuals generally work harder?
by Pikulina, Elena & Renneboog, Luc & Tobler, Philippe N.
- 61-68 Oil and energy sector stock markets: An analysis of implied volatility indexes
by Dutta, Anupam
- 69-83 Information asymmetry and market power in the African banking industry
by Boateng, Agyenim & Asongu, Simplice & Akamavi, Raphael & Tchamyou, Vanessa
2017, Volume 42-43
- 1-10 Corporate social responsibility and firm financing decisions: A literature review
by Benlemlih, Mohammed
- 11-23 Board structure of immigrant-founder firms
by James, Hui & Hsieh, Chialing & Wu, Chen Y.
- 24-36 Do female directors really add value in Indian firms?
by Chauhan, Yogesh & Dey, Dipanjan Kumar
- 37-55 Board characteristics and the amount of capital raised in the Malaysian IPO market
by Badru, Bazeet O. & Ahmad-Zaluki, Nurwati A. & Wan-Hussin, Wan Nordin
- 56-73 Does equity holding by main banks affect the earnings quality of client firms? Empirical evidence from Japan
by Kojima, Koji & Adhikary, Bishnu Kumar & Mitra, Ranjan Kumar
- 74-94 The asymmetric impact of currency purchasing power imparities on ADR mispricing
by Grossmann, Axel & Ngo, Thanh & Simpson, Marc W.
- 95-115 IPO underpricing: What about the shipping sector?
by Klova, Valeriia
- 116-131 Conditional dependence between international stock markets: A long memory GARCH-copula model approach
by Mokni, Khaled & Mansouri, Faysal
- 132-151 Cyclical co-movements of private real estate, public real estate and equity markets: A cross-continental spectrum
by Devaney, Steven & Xiao, Qin
- 152-163 Is gold a hedge or safe haven for Islamic stock market movements? A Markov switching approach
by Chkili, Walid
2017, Volume 41, Issue C
- 1-22 Determinants of underwriting spreads internationally: Evidence from SEOs
by Gupta, Manu & Prakash, Puneet & Rangan, Nanda K.
- 23-46 Integrated reporting: Is it the last piece of the accounting disclosure puzzle?
by Pavlopoulos, Athanasios & Magnis, Chris & Iatridis, George Emmanuel
- 47-60 Can corporate diversification induce more tax avoidance?
by Zheng, Suyan
- 61-79 Bank capital, lending and financing behaviour of dual banking systems
by Louhichi, Awatef & Boujelbene, Younes
- 80-91 Were regulatory interventions effective in lowering systemic risk during the financial crisis in Japan?
by Shimizu, Katsutoshi & Ly, Kim Cuong
- 92-114 Currency price risk and stock market returns in Africa: Dependence and downside spillover effects with stochastic copulas
by Boako, Gideon & Alagidede, Paul
2017, Volume 40, Issue C
- 1-13 The cost of debt for Yankee and domestic bonds
by Cai, Kelly
- 14-32 The value implications of target debt issuance in withdrawn takeovers: What role do country-specific M&A regulations play?
by Jandik, Tomas & Lallemand, Justin & McCumber, William
- 33-46 How does corporate social responsibility contribute to investment efficiency?
by Samet, Marwa & Jarboui, Anis
- 47-62 Timing liquidity in the foreign exchange market: Did hedge funds do it?
by Luo, Ji & Tee, Kai-Hong & Li, Baibing
- 63-76 Assessing the financial and outreach efficiency of microfinance institutions: Do age and size matter?
by Wijesiri, Mahinda & Yaron, Jacob & Meoli, Michele