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Content
2023, Volume 80, Issue C
- S0927538X23001622 The ESG rating, spillover of ESG ratings, and stock return: Evidence from Chinese listed firms
by Li, Hao & Guo, Hui & Hao, Xinyao & Zhang, Xuan
- S0927538X23001634 Tail comovements of implied volatility indices and global index futures returns predictability
by Lee, Hsiu-Chuan & Lee, Yun-Huan & Nguyen, Cuong
- S0927538X23001646 Overnight returns and investor sentiment: Further evidence from the Taiwan stock market
by Zhang, Hang & Tsai, Wei-Che & Weng, Pei-Shih & Tsai, Pin-Chieh
- S0927538X23001658 Air quality and CEO cross–regional turnover ——The role of compensation or incentive
by Hao, Ying & Huang, Lixin & Huang, Yuxiu & Wei, Zi
- S0927538X23001671 Air pollution and institutional investors' valuation bias during initial public offerings
by Chi, Yeguang & He, Jingbin & Ma, Xinru & Wu, Fei
- S0927538X23001683 Can firms with higher ESG ratings bear higher bank systemic tail risk spillover?—Evidence from Chinese A-share market
by Ling, Aifan & Li, Jinlong & Zhang, Yugui
- S0927538X23001695 Do competition and market structure affect sensitivity of bank profitability to the business cycle?
by Olszak, Małgorzata & Kowalska, Iwona
- S0927538X23001701 Gambling culture and corporate violations: Evidence from China
by Chen, Yunyan & Wu, Shinong & Zhou, Yucheng & Huo, Di
- S0927538X23001713 CFO gender and financial statement comparability
by Wang, Fangjun & Zhang, Zhichao & Ho, L.C. Jennifer & Usman, Muhammad
- S0927538X23001725 Global financial crisis, funding constraints, and liquidity of VIX futures
by Chiu, Junmao & Lien, Donald & Tsai, Wei-Che
- S0927538X23001737 Risk-off shocks and spillovers in safe havens
by Beirne, John & Sugandi, Eric
- S0927538X23001762 Environmental, social and governance performance and credit risk: Moderating effect of corporate life cycle
by Wang, Liyue & Yang, Liuyong
- S0927538X2300121X The effect of the government's green grip: Evidence from government-initiated corporate environmental ratings and corporate debt financing
by Liu, Xiaojuan & Chen, Xiaoyijing & Deng, Baijun
- S0927538X2300149X CEO experience, managerial overconfidence and investment efficiency: Evidence from a natural experiment in China
by Hao, Ying & Li, Junyi & Cui, Xuegang & Ni, Juan
- S0927538X2300152X Market intraday momentum: APAC evidence
by Limkriangkrai, Manapon & Chai, Daniel & Zheng, Gaoping
- S0927538X2300166X Does gender diversity affect financial strength differently in conventional and Islamic banks? Evidence from MENA countries
by Aljughaiman, Abdullah A. & Cao, Ngan Duong & Trinh, Vu Quang & Albarrak, Mohammed & Vo, Xuan Vinh
2023, Volume 79, Issue C
- S0927538X23000033 Is there the maturity premium in Taiwan?
by Lin, Chaonan & Ko, Kuan-Cheng & Yang, Nien-Tzu
- S0927538X23000124 Do insider investment horizons contain information? Evidence from Australia
by Hoang, Lai T. & Hossain, Md Zakir & Tong, Jamie Y. & Yang, Joey W.
- S0927538X23000367 Does firm financialization affect optimal real investment decisions? Evidence from China
by Leng, Tiecheng & Liu, Ying & Xiao, Yi & Hou, Chunxiao
- S0927538X23000379 Spillover effects between internet financial industry and traditional financial industry: Evidence from the Chinese stock market
by Zheng, Yingfei & Shen, Anran & Li, Ruihai & Yang, Yuhong & Wang, Shengjin & Cheng, Lee-Young
- S0927538X23000495 Dividend taxes and corporate choice: Evidence from 2015 tax cut in South Korea
by Lee, Seung Chul & Park, S. Saeyeul
- S0927538X23000501 Why is the Amihud (2002) measure priced in Taiwan: Illiquidity or mispricing?
by Lin, Chaonan & Ko, Kuan-Cheng & Lu, Chien-Lin
- S0927538X23000513 Financial literacy and retirees' resource allocation decisions in New Zealand
by Noviarini, Jelita & Coleman, Andrew & Roberts, Helen & Whiting, Rosalind H.
- S0927538X23000525 Cultural barriers in China's corporate loans
by Jin, Ming & Chen, Fanglin & Chen, Zhongfei
- S0927538X23000549 Does social insurance stimulate business creation? Evidence from China
by Liu, Chen & Yang, Wei
- S0927538X23000550 Founder ownership and value relevance of IFRS convergence: Role of institutional investors
by Shruti, R. & Thenmozhi, M.
- S0927538X23000562 Corporate payouts in Australia
by Cheema, Muhammad A. & Chiah, Mardy & Zhong, Angel
- S0927538X23000574 Geopolitical risk and corporate investment in the metals and mining industry: Evidence from Australia
by Rumokoy, Lawren J. & Omura, Akihiro & Roca, Eduardo
- S0927538X23000586 Herding in Chinese stock markets: Evidence from the dual-investor-group
by Liu, Tengdong & Zheng, Dazhi & Zheng, Suyan & Lu, Yang
- S0927538X23000598 Were CEO pay cuts during the COVID-19 pandemic merely symbolic? Shareholders' reaction and outrage
by Bedford, Anna & Bugeja, Martin & Ghannam, Samir & Jeganathan, Davina & Ma, Nelson
- S0927538X23000604 “Only children” and entrepreneurship in China: Spillover effects and mechanisms
by Yang, Xiaolan & Hong, Xiaoyue & Li, Wenchao
- S0927538X23000616 The impact of green credit on firms' green investment efficiency: Evidence from China
by Li, Lifang & Qiu, Lexin & Xu, Fangming & Zheng, Xinwei
- S0927538X23000628 Confucianism and D&O insurance demand of Chinese listed companies
by Kong, Xiaoran & Xu, Siping & Liu, Ming-Yu & Ho, Kung-Cheng
- S0927538X23000707 COVID-19 vaccinations and risk spillovers: Evidence from Asia-Pacific stock markets
by Li, Yanshuang & Shi, Yujie & Shi, Yongdong & Yi, Shangkun & Zhang, Weiping
- S0927538X23000719 ETF ownership and informational efficiency of underlying stocks: Evidence from China
by Wu, Weili & Zhu, Feifei
- S0927538X23000720 Bank funding costs during the COVID-19 pandemic: Evidence from China
by Gao, Haoyu & Li, Jinxuan & Wen, Huiyu
- S0927538X23000732 Overnight versus intraday returns of anomalies in China
by Lin, Chaonan & Chang, Hui-Wen & Chou, Robin K.
- S0927538X23000744 Corporate cash holdings through economic policy uncertainty: An Australian study
by Heeney, Luke & Yang, Shanelle & Chowdhury, Hasibul & Tan, Kelvin Jui Keng
- S0927538X23000756 Spillovers between positively and negatively affected service sectors from the COVID-19 health crisis: Implications for portfolio management
by Al-Nassar, Nassar S. & Yousaf, Imran & Makram, Beljid
- S0927538X23000768 Great Chinese famine, corporate social responsibility and firm value
by Xu, Cheng & Gao, Jun & Liu, Xinghe & Sun, Yanqi & Koedijk, Kees G.
- S0927538X23000781 Does the investment-profitability correlation affect the factor premiums? Evidence from China
by Chen, Shan & Liu, Xujun & Li, Tao
- S0927538X23000793 The flight to safety during credit recovery: The role of implicit government guarantees
by Liu, Tianming & Xiong, Haifang & Li, Yifei & Wang, Zhiqiang
- S0927538X23000811 Strength in numbers: Minority shareholders' participation and executives' pay-performance sensitivity
by Wang, Qiong & Qiu, Muqing
- S0927538X23000823 Does digital transformation speed up dynamic capital structure adjustment? Evidence from China
by Niu, Yuhao & Wang, Sai & Wen, Wen & Li, Sifei
- S0927538X23000835 The evolution of capital structure and debt governance: Evidence from private equity-backed companies in Japan
by Iioka, Yasutake & Yamada, Yuji
- S0927538X23000847 Elucidating Directed Statistical Dependencies: Investigating Global Financial Market Indices' Influence on Korean Short Selling Activities
by Choi, Insu & Lee, Myounggu & Kim, Hyejin & Kim, Woo Chang
- S0927538X23000859 Digital finance and corporate ESG performance: Empirical evidence from listed companies in China
by Ren, Xiaohang & Zeng, Gudian & Zhao, Yang
- S0927538X23000860 Institutional ownership and momentum in the Chinese A-share market
by Xiong, Tao & Wang, Peng
- S0927538X23000872 Green development, climate risks, and cash flow: International evidence
by Lee, Chien-Chiang & Wang, Chih-Wei & Thinh, Bui Tien
- S0927538X23000884 The impact of displaced commercial risk on the performance of Islamic banks
by Rouetbi, Marwene & Ftiti, Zied & Omri, Abdelwahed
- S0927538X23000896 Bank stability in the Indian subcontinent region: Evolution and determinants
by Gulati, Rachita & Singh, Nirmal & Kumar, Sunil & Duppati, Geeta
- S0927538X23000902 Voluntary disclosure in P2P lending: Information or hyperbole?
by Wang, Chao & Wang, Junbo & Wu, Chunchi & Zhang, Yue
- S0927538X23000914 Involuntary political connections and private firms' tax avoidance
by Xiang, Junyi & Zhang, Hongxiang & Dang, Dingyu & Guan, Jing
- S0927538X23000926 Can convertible bond trading predict stock returns? Evidence from China
by Chen, Zhiyu & Xu, Yun & Wang, Yu
- S0927538X23000938 Does the market differentiate between investor-paid and issuer-paid ratings in the pricing of asset-backed securities?
by Liu, Xiaojian & Chong, Beng Soon & Feng, Xiaozhi
- S0927538X23000951 Earnings announcement premium and return volatility: Is it consistent with risk-return trade-off?
by Tsafack, Georges & Becker, Ying & Han, Ki
- S0927538X23000963 Stock market liberalization and pay for market-based performance: Evidence from a quasi-natural experiment in China
by Chen, Yuyang & Wang, Xinlu & Chen, Kun
- S0927538X23000975 Operating performance during the COVID-19 pandemic: Is there a business group advantage?
by Banerjee, Pradip & Dhole, Sandip & Mishra, Sagarika
- S0927538X23000987 Household net saving positions and unconventional monetary policy transmission: Evidence from Japan
by Renzhi, Nuobu
- S0927538X23000999 Voting with their feet: Controlling shareholders' share pledging and other major shareholders' strategic response
by Wang, Xiaoqiong & Zhen, Hongxian & Zhu, Feifei
- S0927538X23001002 Former CEO advisors and firm performance
by Ogoe, Satoshi & Suzuki, Katsushi
- S0927538X23001014 Do M&A funds create value in Chinese listed firms?
by Huang, Ying Sophie & Guo, Feng & Ma, Lina
- S0927538X23001026 The impact of the Russia-Ukraine crisis on the stock market: Evidence from Australia
by Kamal, Md Rajib & Ahmed, Shaker & Hasan, Mostafa Monzur
- S0927538X23001038 The impact of COVID-19 on the crash risk of registered new shares in China
by Duan, Jiangjiao & Lin, Jingjing
- S0927538X23001051 Corporate culture and firm resilience in China: Evidence from the Sino-US trade war
by Cheng, Sirui & Hua, Xiuping & Wang, Qingfeng
- S0927538X23001063 Corporate ESG and resilience of stock prices in the context of the COVID-19 pandemic in China
by Xu, Nana & Chen, Jiaqi & Zhou, Fangzhao & Dong, Qing & He, Zhifang
- S0927538X23001075 Anti-corruption and within-firm pay gap: Evidence from China
by Kong, Gaowen & Huang, Jiating & Ma, Guangyuan
- S0927538X23001087 Public attention and analyst visits: Evidence from China
by Zhang, Jian & Qiao, Jun & Wu, Wenruo & Sheng, Yan & Su, Jingqi
- S0927538X23001099 Social insurance contributions and firms' debt concentration choice: A quasi-natural experiment based on the implementation of China's social insurance law
by Yao, Wenyun & Lu, Feier & Wang, Yuting & Song, Zilong
- S0927538X23001105 COVID caused a negative bubble. Who profited? Who lost? How stock markets changed?
by Ülkü, Numan & Ali, Fahad & Saydumarov, Saidgozi & İkizlerli, Deniz
- S0927538X23001117 Corporate financialization and investment efficiency: Evidence from China
by Gong, Cynthia M. & Gong, Pu & Jiang, Mengting
- S0927538X23001129 Can financial literacy be a substitute for financial advisers? Evidence from China
by Liu, Bofan & Lu, Bin
- S0927538X23001142 Board diversity and the marginal value of corporate cash holdings
by Yang, Hanping & Xue, Kunkun
- S0927538X23001154 An on-line machine learning return prediction
by Lu, Yueliang (Jacques) & Tian, Weidong
- S0927538X23001178 Multiple directorships and firm performance: Evidence from independent director effort allocation in Hong Kong
by Liu, Julia Junxia & Liu, Yu
- S0927538X23001191 Asset pricing models in the presence of higher moments: Theory and evidence from the U.S. and China stock market
by Hu, Debao & Li, Xin & Xiang, George & Zhou, Qiyao
- S0927538X2300063X Stock price reactions to corporate cash holdings in mitigating predictable and unpredictable negative shocks
by Aono, Kohei & Hori, Keiichi
- S0927538X2300077X Modernising operational risk management in financial institutions via data-driven causal factors analysis: A pre-registered study
by Cornwell, Nikki & Bilson, Christopher & Gepp, Adrian & Stern, Steven & Vanstone, Bruce J.
- S0927538X2300080X Intellectual property rights enforcement and mergers and acquisitions: Evidence from China
by Shi, Xiaoxuan & Song, Yuchen & Wang, Xi
- S0927538X2300094X Stock market liquidity and bank stability
by Samarasinghe, Ama
- S0927538X2300104X Mispricing and anomalies in China
by Shi, Yongdong & Wang, Haomiao & Xia, Yu & Zhen, Hongxian
- S0927538X2300118X Can military executives improve corporate performance? Evidence from industrial competitive pressure
by Hao, Ying & Li, Junyi & Ni, Juan & Yin, Ziqi
2023, Volume 78, Issue C
- S0927538X22002086 Judging a book by its cover: Analysts and attention-driven price patterns in China's IPO market
by Feng, Xunan & Johansson, Anders C. & Wei, Dengxi
- S0927538X23000057 Gambling culture and corporate financialization: Evidence from China's welfare lottery sales
by Xue, Lixing & Chen, Chong & Wang, Na & Zhang, Lirong
- S0927538X23000069 Does financial education help to improve the return on stock investment? Evidence from China
by Zhang, Yong & Lu, Xiaomeng & Xiao, Jing Jian
- S0927538X23000094 Revisiting the momentum effect in Taiwan: The role of persistency
by Chen, Hong-Yi & Hsieh, Chia-Hsun & Lee, Cheng-Few
- S0927538X23000100 Does high cash compensation compromise the independence of outside directors? Evidence from directors' dissenting votes in China
by Luo, Jin-hui & Dong, Huaili & Liu, Yue
- S0927538X23000112 Risk-taking and bank competition under a low interest rate environment: Evidence from loan-level data
by Shikimi, Masayo
- S0927538X23000136 The spillover effect of customers' ESG to suppliers
by Tang, Jinghua & Wang, Xiaoming & Liu, Qigui
- S0927538X23000148 Predicting stock splits using ensemble machine learning and SMOTE oversampling
by Li, Ang & Liu, Mark & Sheather, Simon
- S0927538X23000161 Futures trading activity and the jump risk of spot market: Evidence from the bitcoin market
by Zhang, Chuanhai & Ma, Huan & Liao, Xiaosai
- S0927538X23000173 Regulatory-driven corporate greenwashing: Evidence from “low-carbon city” pilot policy in China
by Zhang, Guanglong
- S0927538X23000185 The green fog: Environmental rating disagreement and corporate greenwashing
by Hu, Xinwen & Hua, Renhai & Liu, Qingfu & Wang, Chuanjie
- S0927538X23000203 When green finance meets banking competition: Evidence from hard-to-abate enterprises of China
by Zhou, Bo & Zhang, Cheng
- S0927538X23000276 Where should the money go? The green effect of governmental guidance when sustainable finance impacts brown firms
by Zhang, Cheng & Zhou, Bo
- S0927538X23000331 The soft landing: Does intrafamily succession matter for corporate risk-taking?
by Zheng, Xiaojia & Zhu, Bing & Yang, Ge
- S0927538X23000343 Internal capital markets and risk-taking: Evidence from China
by Tan, Wenhao & Chen, Ying & Sun, Yun & Guo, Xiuyuan & Li, Ziwei
- S0927538X23000355 The power of technology: FinTech and corporate debt default risk in China
by Nie, Zi & Ling, Xuan & Chen, Meian
- S0927538X23000380 Earnings management, horizon problem, and advisor posts for retiring CEOs
by Ishida, Souhei & Ogoe, Satoshi & Suzuki, Katsushi
- S0927538X23000392 ESG performance and loan contracting in an emerging market
by Qian, Kun & Shi, Bingjie & Song, Yunling & Wu, Hao
- S0927538X23000409 Who should choose the money managers? Institutional sponsors' equity manager performance
by Han, Min-Yeon & Jun, Sang-Gyung & Oh, Ji Yeol Jimmy & Kang, Hyoung-Goo
- S0927538X23000410 Trade links and return predictability: The Australian evidence
by Yu, Miao & Hu, Xiaolu & Zhong, Angel
- S0927538X23000422 Funding liquidity in Islamic banks: Does the Shariah supervisory board's higher educational attainment matter?
by Safiullah, Md
- S0927538X23000434 Two-step price adjustments of IPO book building in Japan
by Hiraki, Takato & Ito, Akitoshi
- S0927538X23000446 Lead investors' insider ownership and crowd investors' agency concerns in investor-led equity crowdfunding
by Chen, Xue & Ma, Le
- S0927538X23000458 Stock market risk and suicide
by Koh, Kanghyock & Han, Hyojin
- S0927538X23000471 Supply chain finance, green innovation, and productivity: Evidence from China
by Gu, Haoran & Yang, Shenggang & Xu, Zhaoyi & Cheng, Cheng
- S0927538X23000483 ESG disclosure and investor welfare under asymmetric information and imperfect competition
by Ji, Yucheng & Xu, Weijun & Zhao, Qi & Jia, Zecheng
- S0927538X23000537 A catering perspective of performance commitment-evidence from acquisitions in China
by Song, Di & Shen, Na & Su, Jun
- S0927538X2300015X Predicting loss given default of unsecured consumer loans with time-varying survival scores
by Li, Aimin & Li, Zhiyong & Bellotti, Anthony
- S0927538X2300032X Managerial disposition effect: Evidence from China
by Wang, Kemin & Zhang, Guanglong & Zhou, Lin
- S0927538X2300046X Financial stress and returns predictability: Fresh evidence from China
by Xu, Yongan & Liang, Chao & Wang, Jianqiong
2023, Volume 77, Issue C
- S0927538X22000750 Do government provided credit ratings enhance or impede a firm's access to trade credit?
by Fan, Rui & Pan, Jianping & Wang, Jenny Jing & Yu, Minggui
- S0927538X22001111 Shorting flows and return predictability in Taiwan
by Lin, Chaonan & Ho, Hsiao-Wei & Ko, Kuan-Cheng
- S0927538X22001755 The effect of Tobin's q on investment in a bank-based financial system: Evidence from Japan
by Sakawa, Hideaki & Watanabel, Naoki & Yamauchi, Shohei & Liu, Runxi
- S0927538X22001779 Information network, public disclosure and asset prices
by Luo, Ronghua & Zhao, Senyang & Zhou, Jing
- S0927538X22001822 The intra-regional spillover effects of bond defaults: Evidence from the Chinese corporate debt market
by Wang, Wenlong & Huang, Yuqin & Watson, John & Yang, Bowen
- S0927538X22001858 Asset pricing with two types of heterogeneous consumption volatilities in mind: Evidence from China
by Chen, Qi-An & Li, Huashi & Lin, Jianyi & Yan, Youliang
- S0927538X22001871 Managerial discretion over initial earnings forecasts
by Iwasaki, Takuya & Kitagawa, Norio & Shuto, Akinobu
- S0927538X22001883 Do listed companies fulfill their public commitments? Evidence from the stake-raising commitments of Chinese companies
by Feng, Yitian
- S0927538X22001895 Greening through central inspection: The role of legitimacy pressure and risk-taking
by Kopyrina, Olga & Wu, Kai & Ying, Zhanyu
- S0927538X22001901 Short selling, managerial alignment and corporate misconduct
by Yang, Jiefei & Xue, Yi & Liu, Yitong
- S0927538X22001913 The impact of financial risk on green innovation: Global evidence
by Wen, Jun & Zhao, Xinxin & Fu, Qiang & Chang, Chun-Ping
- S0927538X22001986 The beta anomaly in the Australian stock market and the lottery demand
by Bradrania, Reza & Veron, Jose Francisco
- S0927538X22001998 Equity costs and risks in emerging markets: Are ESG and Sharia principles complementary?
by Hassan, M. Kabir & Chiaramonte, Laura & Dreassi, Alberto & Paltrinieri, Andrea & Piserà, Stefano
- S0927538X22002001 Individual investment banker human capital and SEO discount: Evidence from China
by Lyu, Huaili & Jia, Wanjiao & Tan, Xiulin
- S0927538X22002013 Modernising operational risk management in financial institutions via data-driven causal factors analysis: A pre-registered report
by Cornwell, Nikki & Bilson, Christopher & Gepp, Adrian & Stern, Steven & Vanstone, Bruce J.
- S0927538X22002025 ESG investment in China: Doing well by doing good
by Chen, Shu & Han, Xiaoyan & Zhang, Zili & Zhao, Xuejun
- S0927538X22002037 Pair analyst coverage and return comovement: Evidence from China
by Yi, Biao & Xiang, Xueman
- S0927538X22002049 Does market competition foster related party transactions? Evidence from emerging market
by Bansal, Shashank & Singh, Harminder
- S0927538X22002050 Mandatory dividend policy and investment efficiency within state-owned business groups
by Kong, Dongmin & Ji, Mianmian & Liu, Lihua
- S0927538X22002062 Corporate social responsibility and insider trading profitability: Evidence from an emerging market
by Li, Tao & Wang, Yan & Li, Haomin
- S0927538X22002074 Is controlling shareholders' credit risk contagious to firms? — Evidence from China
by Li, Tangrong & Sun, Xuchu
- S0927538X22002098 Over-weighting risk factor augmented with mutual fund managers' social networks
by Li, Xing & Hou, Keqiang
- S0927538X22002104 Time-frequency relationship between economic policy uncertainty and financial cycle in China: Evidence from wavelet analysis
by Liu, Ding & Sun, Weihong & Xu, Liao & Zhang, Xuan
- S0927538X22002116 Does corporate ESG create value? New evidence from M&As in China
by Zheng, Zhigang & Li, Jiarong & Ren, Xingzi & Guo, Jie Michael
- S0927538X22002128 Managerial stock ownership, debt covenants, and the cost of debt
by Lin, Steve & Sawani, Assma & Wang, Changjiang
- S0927538X22002141 The effect of voluntary and mandatory corporate social responsibility disclosure on firm profitability: Evidence from China
by Xue, Shuyu & Chang, Qi & Xu, Jingwen
- S0927538X22002153 Does short-term momentum exist in China?
by Yue, Tian & Li, Tianjiao & Ruan, Xinfeng
- S0927538X22002165 Economic policy uncertainty and mutual fund risk shifting
by Luo, Deming & Jiang, Sainan & Yao, Zhongwei
- S0927538X22002177 The value of family social capital in informal financial markets: Evidence from China
by Li, Wanning & Hua, Xiuping
- S0927538X22002189 State-owned venture capitals and bank loans in China
by Wu, Long & Xu, Lei & Jiang, Ping
- S0927538X22002190 Dealership versus continuous auction: Evidence from the JASDAQ market
by Iwatsubo, Kentaro & Rhee, S. Ghon & Zhang, Ye Zhou
- S0927538X22002207 Do manager characteristics matter in equity mutual fund performance? New evidence based on the double-adjusted alpha
by Lin, Jia-Hui & Yen, Meng-Feng & Hsieh, Wei-Cheng
- S0927538X22002219 Culture and confidence in financial knowledge testing
by Ooi, Elizabeth
- S0927538X22002220 The relationship between cash flow uncertainty and extreme risk: International evidence
by Wang, Chih-Wei & Lee, Chien-Chiang & Wu, Lin-Tan
- S0927538X22002232 Influence of institutional differences on trade credit use during pandemics
by Zhang, Cheng & Lee, Yun-Chi & Ho, Kung-Cheng & Shen, Xixi
- S0927538X22002244 A continuous-time macro-finance model with Knightian uncertainty
by Mao, Jie & Shen, Guanxiong & Yan, Jingzhou
- S0927538X22002256 Exploring the zoo of predictors for mutual fund performance in China
by Li, Zhiyong & Rao, Xiao
- S0927538X22002268 Does gender diversity matter? Female directors and firm carbon emissions in Japan
by Fan, Pengda & Qian, Xuepeng & Wang, Jian
- S0927538X22002281 The impact of the pitching research framework on AFAANZ grant applications
by Gill, Chelsea & Mehrotra, Vishal & Moses, Olayinka & Bui, Binh
- S0927538X22002293 The impact of central environmental inspection on institutional ownership: Evidence from Chinese listed firms
by Li, Quan & Chen, Yang & Wan, Mengfei
- S0927538X23000021 The extreme return connectedness between Sukuk and green bonds and their determinants and consequences for investors
by Billah, Mabruk & Amar, Amine Ben & Balli, Faruk
- S0927538X23000045 Directors' and Officers' liability insurance and cross section of expected stock returns: A mispricing explanation
by Su, Xuan-Qi
- S0927538X23000070 An imprecise pricing model for Asian options based on Nonparametric predictive inference
by He, Ting
- S0927538X23000082 The impact of annual reports transparency and comment letters on the cost of debt: Evidence for China
by Zhu, Xiuli & Li, Xiaohui & Zhou, Kexin & Yu, Yuying
- S0927538X2200186X Heterogeneity in shareholder activism: Evidence from Japan
by Gillan, Stuart L. & Nguyen, Nga & Nishikawa, Takeshi
- S0927538X2200213X Pricing implications of intervention and debt management in the primary market of Japanese government bonds
by Hosono, Kaoru & Miyakawa, Daisuke & Watanabe, Shuji
- S0927538X2200227X Does engagement by large asset managers enhance governance of target firms?
by Hidaka, Wataru & Ikeda, Naoshi & Inoue, Kotaro
- S0927538X2300001X A shock to CEOs' external environment: terrorist attacks and CEO pay
by Bachmann, Rebecca L. & Bedford, Anna & Ghannam, Samir & Yang, Jin Sug
2022, Volume 76, Issue C
- S0927538X22001536 Home bias in reward-based crowdfunding and its impact on financing performance: Evidence from China
by Jiang, Cuixia & Zhou, Li & Xu, Qifa & Liu, Yezheng
- S0927538X22001561 China's illiquidity premium: Due to risk-taking or mispricing?
by Su, Zhi & Lyu, Tongtong & Yin, Libo
- S0927538X22001573 Extreme risk connectedness among global major financial institutions: Links to globalization and emerging market fear
by Liao, Yin & Pan, Zheyao
- S0927538X22001585 Former CEO director and executive-employee pay gap
by Ye, Miaomiao & Li, Mengzhe & Zeng, Qiannan
- S0927538X22001597 Capital market opening and stock price crash risk – Evidence from the Shanghai-Hong Kong stock connect and the Shenzhen-Hong Kong stock connect
by Zhang, Ping & Sha, Yezhou & Wang, Yu & Wang, Tewei
- S0927538X22001603 Restricted shares and CSR: Evidence from foreign strategic investors in China
by Cui, Di & Ding, Mingfa & He, Zhongda & Shen, Mi
- S0927538X22001688 Economic policy uncertainty, bank loan, and corporate innovation
by Tian, Jing & Li, Haiwei & You, Pin
- S0927538X22001706 Institutional investors' corporate site visits and pay-performance sensitivity
by Wu, Wenxin & Zhang, Xuezhi & Zhou, Zixun
- S0927538X22001718 Dynamic connectedness between non-fungible tokens, decentralized finance, and conventional financial assets in a time-frequency framework
by Umar, Zaghum & Polat, Onur & Choi, Sun-Yong & Teplova, Tamara
- S0927538X22001731 Can ESG certification help company get out of over-indebtedness? Evidence from China
by Lai, Xiaobing & Zhang, Fan
- S0927538X22001743 The spillover effects of innovation content disclosure in MD&A
by Liu, Qigui & Wang, Junyi & Chi, Wenqiang
- S0927538X22001767 Does government initiated corporate social responsibility lower the default risk? Evidence from the targeted poverty alleviation campaign in China
by Wu, Dexiang & Cheng, Huihui & Luo, Cuicui & Han, Liyan
- S0927538X22001780 Conventional monetary policy, COVID-19, and stock markets in emerging economies
by Iyke, Bernard Njindan & Maheepala, M.M.J.D.
- S0927538X22001792 Do institutional investors' corporate site visits improve ESG performance? Evidence from China
by Jiang, Yahan & Wang, Cai & Li, Sha & Wan, Jing
- S0927538X22001809 Government intervention, leverage adjustment, and firm performance: Evidence from defaulting firms
by Li, Mingming & Liu, Haiming & Chiang, Yao-Min
- S0927538X22001810 Six-factor asset pricing and portfolio investment via deep learning: Evidence from Chinese stock market
by Yao, Haixiang & Xia, Shenghao & Liu, Hao
- S0927538X22001834 Environmental taxes and corporate cash holdings: Evidence from China
by Liu, Guangqiang & Zhang, Lingyun & Xie, Ziqin
- S0927538X22001846 Structural news shock, financial market uncertainty and China's business fluctuations
by Ding, Yibing & Liu, Ziyu & Liu, Dayu
- S0927538X2200169X Heterogeneity of dividend smoothing: A strategic response to peer competition in China
by Chen, Mingqin & Xie, Jing & Li, Yue
- S0927538X2200172X Local educational experiences of executives, school geographical relationship and trade credit: Evidence from listed firms in China
by Yu, Hong & Zhang, Muyang & Zhu, Ruolu
2022, Volume 75, Issue C
- S0927538X22001196 Does betting against beta strategy work in major Asian Markets?
by Sehgal, Sanjay & Rakhyani, Sarika & Deisting, Florent
- S0927538X22001202 Can a decentralized power structure affect executive compensation? Evidence from Chinese business groups
by Zhang, Zhe & Zhang, Linlang & Chan, Kam C.
- S0927538X22001214 The turn-of-the-month effect and trading of types of investors
by Lee, Yu Kyung & Kim, Ryumi
- S0927538X22001226 Can multiple blockholders restrain corporate financialization?
by Jiang, Fuxiu & Shen, Yanyan & Cai, Xinni
- S0927538X22001238 Economic policy uncertainty and bank systemic risk: A cross-country analysis
by Duan, Yuejiao & Fan, Xiaoyun & Wang, Yu
- S0927538X22001317 Time-varying monetary policy shocks and the dynamics of Chinese commodity prices
by Lyu, Yongjian & Yi, Heling & Cao, Jin & Yang, Mo
- S0927538X22001330 Female senior managers and the gender equality environment: Evidence from south Korean firms
by Song, Jun Myung
- S0927538X22001342 Short selling and corporate diversification in emerging markets: Insights from controlling shareholder tunneling
by Jiang, Jiaoliang
- S0927538X22001354 Cognitive ability and household portfolio diversification: Evidence from China
by Wu, Kun & Li, Yanhong & Cai, Xianjun & Yin, Junming
- S0927538X22001366 Real estate climate index and aggregate stock returns: Evidence from China
by Jiang, Yuexiang & Fu, Tao & Long, Huaigang & Zaremba, Adam & Zhou, Wenyu
- S0927538X22001378 Should managers be incentivized with stock or options? Evidence from China
by Chen, Fang & Jia, Jianjun & Lin, Yuen & Xiang, George
- S0927538X22001391 Economic policy uncertainty and price pass-through effect of exchange rate in China
by Wang, Yonglian & Wang, Lijun & Pan, Changchun & Hong, Songzhi
- S0927538X22001408 Purifying political ecology: How anti-corruption campaign affects capital structure decisions?
by Wu, Kai & Liu, Jiming
- S0927538X22001421 Retail investor attention and information asymmetry: Evidence from China
by Chen, Xing & Wu, Chongfeng
- S0927538X22001433 Talk less and do more: Expected strategic adjustments vs. actual changes in the Chinese firms
by Dong, Dayong & Yang, Mo & Yang, Gaoju & Chen, Chang-Chih & Zhang, Xinyi
- S0927538X22001445 Liquidity shock and stock returns in the Japanese equity market
by Iwanaga, Yasuhiro & Hirose, Takehide
- S0927538X22001457 Does green credit policy impact corporate cash holdings?
by Yuan, Na & Gao, Yihong
- S0927538X22001469 Connectedness between the COVID-19 related media coverage and Islamic equities: The role of economic policy uncertainty
by Umar, Zaghum & Mokni, Khaled & Escribano, Ana