Contact information of Elsevier
Serial Information
Download restrictions: Full text for ScienceDirect subscribers only
Editor: K. Chan
Editor: K. Chan
Series handle: RePEc:eee:pacfin
ISSN: 0927-538X
Citations RSS feed: at CitEc
Impact factors
Access and download statisticsTop item:
Corrections
All material on this site has been provided by the respective publishers and authors. You can help
correct errors and omissions. When requesting a correction, please mention this item's handle: RePEc:eee:pacfin. See general information about how to correct material in RePEc.
For technical questions regarding this item, or to correct its authors, title, abstract, bibliographic or download information, contact: Catherine Liu (email available below). General contact details of provider: http://www.elsevier.com/locate/pacfin .
Content
2022, Volume 75, Issue C
2022, Volume 74, Issue C
- S0927538X22000737 Price limit and stock market quality: Evidence from a quasi-natural experiment in the Chinese stock market
by Zhang, Xiaotao & Wang, Ziqiao & Hao, Jing & He, Feng
- S0927538X22000865 Corporate resilience to the COVID-19 pandemic: The role of digital finance
by Xia, Yanchun & Qiao, Zhilin & Xie, Guanghua
- S0927538X22000877 Triple A default
by Deng, Kaihua & Qiao, Guannan
- S0927538X22000889 Distance, information and bank lending in China
by Zou, Yang & Wang, Xiaoming
- S0927538X22000890 Does managerial compensation influence price efficiency?
by Huang, Hung-Yi & Yan, Cheng & Ho, Kung-Cheng
- S0927538X22000907 The value of CSR during the COVID-19 crisis: Evidence from Chinese firms
by Yi, Yuyang & Zhang, Zongyi & Xiang, Cheng
- S0927538X22000919 The impact of rollover restriction on stock price crash risk
by Wang, Xiaoxiao & Liu, Haiming
- S0927538X22000920 Economic policy uncertainty and institutional investment returns: The case of New Zealand
by Ali, Sara & Badshah, Ihsan & Demirer, Riza & Hegde, Prasad
- S0927538X22000932 Heterogeneity in optimal investment and drawdown strategies in retirement
by Butt, Adam & Khemka, Gaurav & Warren, Geoffrey J.
- S0927538X22000944 Do underwriters with foreign shareholders help protect bond investors? Evidence from bond covenants in China
by Zhang, Chunqiang & Gao, Lu & Gao, Xi & Chan, Kam C.
- S0927538X22000956 Can a mighty dragon crush a snake in its old haunt? The impact of QFII on board independence in China
by Guo, Liang & King, Lawrence & Wang, Kai & Yan, Shuo
- S0927538X22000968 Order submission, information asymmetry, and tick size
by Zhu, Hongyu & Yamamoto, Ryuichi
- S0927538X22000981 Pay of political directors in China
by Wang, Xiaoming & Xu, Tingting
- S0927538X22000993 How does economic policy uncertainty influence managers' learning from peers' stock prices? Evidence from China
by Shen, Xieyang & Yang, Sijie & Chen, Yulin & Zeng, Jianyu
- S0927538X22001007 Do multiple large shareholders matter in financial firms? Evidence from China
by Bian, Wenlong & Ren, Yan & Zhang, Hao
- S0927538X22001019 Environmental, social and governance performance, corporate transparency, and credit rating: Some evidence from Chinese A-share listed companies
by Li, Chao & Wu, Mian & Chen, Xi & Huang, Wenli
- S0927538X22001020 Do local and non-local retail investor attention impact stock returns differently?
by Yuan, Ying & Fan, Xiaoqian & Li, Yiou
- S0927538X22001032 Economic uncertainty and cross section of stock returns: Australian evidence
by Simkus, Matthew & Truong, Helen & Hoang, Khoa & Huang, Ronghong
- S0927538X22001044 Overnight returns, daytime reversals, and future stock returns: Is China different?
by Cheema, Muhammad A. & Chiah, Mardy & Man, Yimei
- S0927538X22001056 Measuring news media sentiment using big data for Chinese stock markets
by Shen, Shulin & Xia, Le & Shuai, Yulin & Gao, Da
- S0927538X22001068 Environmental performance and corporate risk-taking: Evidence from China
by Zhu, Danyu & Gao, Xin & Luo, Zijun & Xu, Weidong
- S0927538X22001081 CEO political connection and stock sentiment beta: Evidence from China
by Yi, Shangkun & Wang, Jian & Wang, Xiaoting & Feng, Hongrui
- S0927538X22001093 Financial constraints and financing sources in mergers and acquisitions
by Merkoulova, Yulia & Zivanovic, Branislav
- S0927538X22001123 How resilient are Islamic financial markets during the COVID-19 pandemic?
by Hasan, Md. Bokhtiar & Rashid, Md. Mamunur & Shafiullah, Muhammad & Sarker, Tapan
- S0927538X22001135 Muslim CEOs, risk-taking and firm performance
by Ooi, Chai-Aun & Hooy, Chee-Wooi
- S0927538X22001147 Does COVID-19 matter for systemic financial risks? Evidence from China's financial and real estate sectors
by Huang, Wenli & Lan, Cheng & Xu, Yueling & Zhang, Zhaonan & Zeng, Haijian
- S0927538X22001159 An examination of herding behaviour of the Chinese mutual funds: A time-varying perspective
by Cheng, Tingting & Xing, Shuo & Yao, Wenying
- S0927538X22001160 Reexamining the impact of closing call auction on market quality: A natural experiment from the Shanghai stock exchange
by Han, Qian & Zhao, Chengzhi & Chen, Jing & Guo, Qian
- S0927538X22001172 Nonlinear dependence and spillovers between cryptocurrency and global/regional equity markets
by Hanif, Waqas & Areola Hernandez, Jose & Troster, Victor & Kang, Sang Hoon & Yoon, Seong-Min
- S0927538X22001184 Paying for pollution: Air quality and executive compensation
by Yang, Zhenyi & Leng, Tiecheng & Pan, Luyao & Wang, Xiaoming
- S0927538X2200083X Does stock market liquidity affect dividends?
by Michaely, Roni & Qian, Meijun
- S0927538X2200097X Does social network improve corporate financing efficiency? Evidence from China
by Yin, Hongying & Jin, Xin & Quan, Xiaofeng & Yu, Junli
- S0927538X2200107X Passive investors and concentration of intraday liquidity: Evidence from the Tokyo Stock Exchange
by Kitajima, Kiichi
- S0927538X2200110X COVID-19 and policy responses: Early evidence in banks and FinTech stocks
by Kakhkharov, Jakhongir & Bianchi, Robert J.
2022, Volume 73, Issue C
- S0927538X22000245 Common ownership and the spillover effect of market reaction: Evidence from stock exchange comment letters
by Wang, Qijian & Zhou, Kaiguo
- S0927538X22000312 Outbreak risk, managerial distraction, and corporate information disclosure: Evidence from the COVID-19 pandemic
by Wang, Brian Yutao & Xu, Ruiyao & Zhang, Jing
- S0927538X22000336 Firm performance following actual share repurchases: Effects of investment crowding out and financial flexibility
by Chao, Ching-Hsiang & Huang, Chih-Jen
- S0927538X22000348 Chinese stock anomalies and investor sentiment
by Han, Chunmao & Shi, Yongdong
- S0927538X22000361 On the side effects of mandatory gender diversity laws in corporate boards
by Marisetty, Vijaya Bhaskar & Prasad, Salu
- S0927538X22000373 Minority shareholders protection and corporate financial leverage: Evidence from a natural experiment in China
by Cao, Qingzi & Fang, Ming & Pan, Yuying
- S0927538X22000385 Corporate policies and outcomes during the COVID-19 crisis: Does managerial ability matter?
by Jebran, Khalil & Chen, Shihua
- S0927538X22000397 Hometown-based business associations and M&As performance: Evidence from China
by Yang, Jibin & Jia, Fansheng & Li, Shanmin & Wu, Wenfeng
- S0927538X22000464 Credit policy, uncertainty, and firm R&D investment: A quasi-natural experiment based on the Green Credit Guidelines
by Zhang, Dongyang & Kong, Qunxi
- S0927538X22000476 Systemic risk in financial institutions: A multiplex network approach
by Xie, Yiwei & Jiao, Feng & Li, Shihan & Liu, Qingfu & Tse, Yiuman
- S0927538X22000488 Does directors' and officers' liability insurance induce empire building? Evidence from corporate labor investment
by Sophie Wang, Qing & Lai, Shaojie & Pi, Shuwen & Anderson, Hamish
- S0927538X22000506 Internationalization and the reliance of analyst forecasts in stakeholder-oriented corporate governance: Evidence from Japanese MNEs
by Sakawa, Hideaki & Watanabel, Naoki & Gu, Junjian
- S0927538X22000518 Political uncertainty and deal structure: Evidence from Australian mining project acquisitions
by Ferguson, Andrew & Hu, Wei & Lam, Peter
- S0927538X22000531 Are analysts' cash flow forecasts associated with improved earnings quality? Australian evidence
by Coulton, Jeffrey J. & Saune, Naibuka & Taylor, Stephen L.
- S0927538X22000543 A new momentum measurement in the Chinese stock market
by Li, Yan & Liang, Chao & L.D. Huynh, Toan
- S0927538X22000555 The effect of local government debt on green innovation: Evidence from Chinese listed companies
by Chen, Wen & Zhu, Yufeng & He, Zehui & Yang, Yang
- S0927538X22000567 The negative hiring rate premium on stock returns in the Korean stock market
by Bae, Jaewan & Kang, Jangkoo
- S0927538X22000579 Foreign strategic investors and bank credit risk in China: Disclosure, finance or management effects?
by Yuan, Lin & Zhong, Yang & Lu, Zhou
- S0927538X22000580 The effect of ownership structure on corporate payout policy and performance: Evidence from Korea's exogenous dividends tax shock
by Lee, Yu Kyung
- S0927538X22000592 Do volatility spillover and hedging among GCC stock markets and global factors vary from normal to turbulent periods? Evidence from the global financial crisis and Covid-19 pandemic crisis
by Yousaf, Imran & Beljid, Makram & Chaibi, Anis & Ajlouni, Ahmed AL
- S0927538X22000609 Islamic equity investments and the COVID-19 pandemic
by Ashraf, Dawood & Rizwan, Muhammad Suhail & Ahmad, Ghufran
- S0927538X22000610 Does prospect theory explain mutual fund performance? Evidence from China
by Yu, Bin & Shen, Yifan & Jin, Xuejun & Xu, Qi
- S0927538X22000622 The influence of mobile trading on return dispersion and herding behavior
by Li, Zhuolei & Diao, Xundi & Wu, Chongfeng
- S0927538X22000634 Search for safe havens and resilience to global financial volatility: Response of GCC equity indexes to GFC and Covid-19
by Hassan, M. Kabir & Kamran, Muhammad & Djajadikerta, Hadrian Geri & Choudhury, Tonmoy
- S0927538X22000646 The cash conversion cycle spread in China
by Chen, Xin & Zheng, Gaoping & Chai, Daniel
- S0927538X22000658 Firms with short-termism: Evidence from expatriate controlling shareholders
by Tan, Xue & Yu, Lin & Fung, Hung-Gay
- S0927538X22000671 Effect of futures trading on the liquidity of underlying stocks: Evidence from Vietnam
by Pham, Son Duy & Nguyen, Thao Thac Thanh & Do, Hung Xuan
- S0927538X22000683 Leverage effect in cryptocurrency markets
by Huang, Jing-Zhi & Ni, Jun & Xu, Li
- S0927538X22000695 Are Islamic banks more resilient to the crises vis-à-vis conventional banks? Evidence from the COVID-19 shock using stock market data
by Ashraf, Badar Nadeem & Tabash, Mosab I. & Hassan, M. Kabir
- S0927538X22000701 Short sales, short risk, and return predictability in Asia-Pacific real estate markets
by Cashman, George D. & Harrison, David M. & Sheng, Hainan
- S0927538X22000713 Australian innovation: Patent database construction and first evidence
by Bedford, Anna & Ma, Le & Ma, Nelson & Vojvoda, Kristina
- S0927538X22000725 Natural disasters and CSR: Evidence from China
by He, Zhongda & Guo, Biao & Shi, Yukun & Zhao, Yang
- S0927538X22000749 CEO-CFO tenure consistency and audit fees
by Cai, Yongbin & Li, Mengzhe
- S0927538X2200035X Do multiple large shareholders affect corporate bond yield spreads? Evidence from China
by Wang, Xin & Xie, Yan & Song, Di & Zhang, Weihua
- S0927538X2200049X A tale of riskiness: The real effects of share pledging on the Chinese stock market
by Chang, Jeffery (Jinfan) & Meng, Qingbin & Ni, Xiaoran
- S0927538X2200052X Stock return asymmetry in China
by Chen, Dongxu & Wu, Ke & Zhu, Yifeng
- S0927538X2200066X Investor's herding behavior in Asian equity markets during COVID-19 period
by Jiang, Rui & Wen, Conghua & Zhang, Ruonan & Cui, Yu
2022, Volume 72, Issue C
- S0927538X22000026 The crowding out effect of central versus local government debt: Evidence from China
by Zhang, Man & Brookins, Oscar T. & Huang, Xiaowei
- S0927538X22000051 Does firm-level productivity predict stock returns?
by Hiroki, Takashi & Iwatsubo, Kentaro & Watkins, Clinton
- S0927538X22000063 The profitability effect: An evaluation of alternative explanations
by Yu, Hsin-Yi & Chen, Li-Wen & Chen, Chang-Yi
- S0927538X22000075 Spillover and risk transmission between the term structure of the US interest rates and Islamic equities
by Umar, Zaghum & Yousaf, Imran & Gubareva, Mariya & Vo, Xuan Vinh
- S0927538X22000087 Pairs trading and asset pricing
by Xiang, Yun & He, Jiaxuan
- S0927538X22000099 Insider ownership and stock price crash risk around the globe
by Hu, Gang & Liu, Yiye & Wang, Jacqueline Wenjie & Zhou, Gaoguang & Zhu, Xindong
- S0927538X22000178 What influences stock market co-movements between China and its Asia-Pacific trading partners after the Global Financial Crisis?
by Shi, Yujie
- S0927538X22000191 Thirst for money: External guarantees and stock price crash risk
by Wu, Kai & Jin, Zejun & Xu, Maobin
- S0927538X22000208 Spillovers between Sukuks and Shariah-compliant equity markets
by Balli, Faruk & Billah, Mabruk & Balli, Hatice Ozer & De Bruin, Anne
- S0927538X22000221 Do domestic or foreign institutional investors matter? The case of firm information asymmetry in Korea
by Chung, Chune Young & Kim, Hyeik & Wang, Kainan
- S0927538X22000233 Can financial factors affect corporate debt leverage convergence?
by Xiao, Hailian & Zhao, Ying & Zhou, Meihua
- S0927538X22000257 Does higher investments necessarily reduce stock returns?☆
by Li, Huixuan & Chen, Jing
- S0927538X22000269 Digital finance and corporate bankruptcy risk: Evidence from China
by Ji, Yu & Shi, Lina & Zhang, Shunming
- S0927538X22000270 Does the momentum gap explain momentum in Taiwan?
by Lin, Chaonan & Ko, Kuan-Cheng & Yang, Nien-Tzu
- S0927538X22000282 The role of cash holdings during financial crises
by Chang, Chong-Chuo & Yang, Han
- S0927538X22000294 China's historical imperial examination system and corporate social responsibility
by Kong, Xiaoran & Zhang, Xueying & Yan, Cheng & Ho, Kung-Cheng
- S0927538X22000324 Does air pollution affect earnings management? Evidence from China
by Jiang, Dequan & Li, Weiping & Shen, Yongjian & Yu, Shuangli
- S0927538X2200004X Independent directors' reputation incentives and firm performance – an Australian perspective
by Le, Quyen & Vafaei, Alireza & Ahmed, Kamran & Kutubi, Shawgat
- S0927538X2200018X Environmental preference, air pollution, and fund flows in China
by Jo, Hoje & Kim, Hee-Eun & Sim, Myounghwa
- S0927538X2200021X Social trust and dividend payouts: Evidence from China
by Qin, Wei & Liang, Quanxi & Jiao, Yan & Lu, Meiting & Shan, Yaowen
2022, Volume 71, Issue C
- S0927538X21001530 Impact of managerial power on regulatory inquiries from stock exchanges: Evidence from the text tone of Chinese listed companies' annual reports
by Cao, Qingzi & Yang, Fan & Liu, Minglang
- S0927538X21001839 Owners’ portfolio diversification and internal capital allocation
by Chi, Yung-Ling
- S0927538X21001840 Global leveraged buyout deal performance: A cross-border cross-cultural perspective
by Jia, Xiao & McCourt, Maurice
- S0927538X21001852 The impact of COVID-19 pandemic on the volatility connectedness network of global stock market
by Cheng, Tingting & Liu, Junli & Yao, Wenying & Zhao, Albert Bo
- S0927538X21001864 CFO gender and tax aggressiveness: Evidence from China
by Liu, Xiaoxia & Li, Minghui & Tong, Jamie Yixing & Zhang, Feida
- S0927538X21001906 Predicting the Australian equity risk premium
by Jurdi, Doureige J.
- S0927538X21001918 Product market advertising and stock price crash risk
by Zhang, Tianjiao & Shen, Zhe & Sun, Qian
- S0927538X21001992 Small business owners’ Fintech credit in crises: Theory and evidence from farmers under the COVID-19
by Liu, Yun & Zhang, Yun & Zhang, Yifei & Xiao, He
- S0927538X21002006 The evolution of bank revenue and risk in the Asia-Pacific Region
by Williams, Barry & Rajaguru, Gulasekaran
- S0927538X21002018 The effect of Chinese lunar calendar on individual investors' trading
by Huang, Yin-Siang & Chiu, Junmao & Lin, Chih-Yung & Robin,
- S0927538X21002031 The world price of tail risk
by Lee, Kuan-Hui & Yang, Cheol-Won
- S0927538X21002043 Corporate bonds with implicit government guarantees
by Zhang, Ran & Li, Yifei & Tian, Yuan
- S0927538X21002055 What explains the dispersion effect? Evidence from institutional ownership
by Hwang, Chuan-Yang & Wong, Kit Pong & Yi, Long
- S0927538X21002067 CEO power and labor-friendly policy
by Bristy, Humyra Jabeen & Han, Jianlei & Tian, Gary Gang
- S0927538X21002079 Financial aid and financial inclusion: Does risk uncertainty matter?
by Lee, Chien-Chiang & Wang, Chih-Wei & Ho, Shan-Ju
- S0927538X21002080 Confucianism and IPO underpricing
by Liu, Haiming & Chiang, Yao-Min
- S0927538X21002109 How is the change in left-tail risk priced in China?
by Sun, Kaisi & Wang, Hui & Zhu, Yifeng
- S0927538X21002122 Spillovers between the Islamic gold-backed cryptocurrencies and equity markets during the COVID-19: A sectorial analysis
by Yousaf, Imran & Yarovaya, Larisa
- S0927538X22000014 The effectiveness of government stock purchase during market crash: Evidence from China
by Cheng, Minying & Jin, Ling & Li, Zhisheng & Lin, Bingxuan
- S0927538X22000038 The effects of economic policy uncertainty and country governance on banks' liquidity creation: International evidence
by Wang, Chih-Wei & Lee, Chien-Chiang & Chen, Ming-Chien
- S0927538X2100189X Money funds manage returns
by Cai, Yu & Wang, Qing
- S0927538X2100202X Monetary policy uncertainty and firm risk-taking
by Luo, Weijie & Wang, Yong & Zhang, Xiaoge
2021, Volume 70, Issue C
- S0927538X21001529 Dissecting the segmentation of China's repo markets
by Xu, Xiaoqing Eleanor
- S0927538X21001621 National culture and the choice between bank debt and public debt
by Chui, Andy C.W. & Li, Xiao & Saffar, Walid
- S0927538X21001712 Reversal effect and corporate bond pricing in China
by Zhang, Heming & Wang, Guanying
- S0927538X21001724 Environmental uncertainty, financing constraints and corporate investment: Evidence from China
by Li, Kaifeng & Xia, Bobo & Chen, Yun & Ding, Ning & Wang, Jie
- S0927538X21001736 Passive trading and firm performance: A quasi-natural experiment using the TSE-OSE merger in Japan
by Mohsni, Sana & Otchere, Isaac & Yamada, Kazuo
- S0927538X21001748 How do Islamic equity markets respond to good and bad volatility of cryptocurrencies? The case of Bitcoin
by Ahmed, Walid M.A.
- S0927538X21001761 Do ethical perceptions help explain under-representation of women in investment management? A comparison of students from the U.S. and China
by Huang, Ying Sophie & Jensen, Tyler K. & Jorgensen, Randy D. & Taylor, Regina M.
- S0927538X21001773 Systemically important banks in Asian emerging markets: Evidence from four systemic risk measures
by Pham, Thach N. & Powell, Robert & Bannigidadmath, Deepa
- S0927538X21001785 Beta estimation in New Zealand
by Marshall, Ben R. & Nguyen, Nhut H. & Visaltanachoti, Nuttawat
- S0927538X21001803 Do managers hedge disaster risk? Extreme earthquake shock and firm innovations
by Rao, Yonghui & Hu, Zijiang & Sharma, Susan Sunila
- S0927538X21001815 Does banking competition stimulate regional innovation? Evidence from China
by Huang, Wen & Wu, Ying & Deng, Li
- S0927538X21001827 False discoveries in the anomaly research: New insights from the Stock Exchange of Melbourne (1927–1987)
by Cakici, Nusret & Zaremba, Adam & Bianchi, Robert J. & Pham, Nga
- S0927538X21001876 Maturity mismatches of Chinese listed firms
by Wang, Yizhong & Wang, Ting & Chen, Lifang
- S0927538X21001888 Corruption risk and stock market effects: Evidence from the defence industry
by Krishnamurti, Chandrasekhar & Pensiero, Domenico & Velayutham, Eswaran
- S0927538X2100175X Institutional ownership and insider trading profitability: Evidence from an emerging market
by Li, Tao & Ji, Yu
2021, Volume 69, Issue C
- S0927538X19306377 Not one but three decisions in sukuk issuance: Understanding the role of ownership and governance
by Ashraf, Dawood & Rizwan, Muhammad Suhail & Azmat, Saad
- S0927538X20300639 Dividend payout policy of Shariah compliant firms: Evidence from United States
by Anwer, Zaheer & Mohamad, Shamsher & Paltrinieri, Andrea & Hassan, M. Kabir
- S0927538X20303334 A survey of Islamic finance research – Influences and influencers
by Khan, Abdullah & Rizvi, Syed Aun R. & Ali, Mohsin & Haroon, Omair
- S0927538X21001311 The implied volatility smirk in the Chinese equity options market
by Yue, Tian & Gehricke, Sebastian A. & Zhang, Jin E. & Pan, Zheyao
- S0927538X21001335 Green bond issuance and corporate cost of capital
by Zhang, Ran & Li, Yanru & Liu, Yingzhu
- S0927538X21001402 Profitability of moving-average technical analysis over the firm life cycle: Evidence from Taiwan
by Chen, Kuan-Hau & Su, Xuan-Qi & Lin, Li-Feng & Shih, Yi-Cheng
- S0927538X21001414 Does stock liquidity affect bankruptcy risk? DID analysis from Vietnam
by Trinh, Hai Hong & Nguyen, Canh Phuc & Hao, Wei & Wongchoti, Udomsak
- S0927538X21001451 Does investor attention increase stock market volatility during the COVID-19 pandemic?
by Wang, Hua & Xu, Liao & Sharma, Susan Sunila
- S0927538X21001475 Economic policy uncertainty and corporate risk-taking: Loss aversion or opportunity expectations
by Zhang, Cheng & Yang, Chunhong & Liu, Cheng
- S0927538X21001487 Resurrecting the size effect in Japan: Firm size, profitability shocks, and expected stock returns
by Cheema, Muhammad A. & Chiah, Mardy & Zhong, Angel
- S0927538X21001499 Market timing in private equity placements: Empirical evidence from China
by Huang, Yong & Uchida, Konari & Yu, Xuanying & Zha, Daolin
- S0927538X21001505 Stock market liberalization and institutional herding: Evidence from the Shanghai-Hong Kong and Shenzhen-Hong Kong Stock Connects
by Zhao, Yuyang & Xiang, Cheng & Cai, Wenwu
- S0927538X21001517 Prospect theory and stock returns: Evidence from foreign share markets
by Wang, Junbo & Wu, Chunchi & Zhong, Xiaoling
- S0927538X21001542 Digesting anomalies: A q-factor approach for the Thai market
by Charoenwong, Ben & Nettayanun, Sampan & Saengchote, Kanis
- S0927538X21001554 Mixed ownership reform and corporate tax avoidance: Evidence of Chinese listed firms
by Wang, Wei & Wang, Hua & Wu, Ji (George)
- S0927538X21001566 The choice of equity financing: Floating-priced warrants versus SEOs
by Yao, Zhihua
- S0927538X21001608 Information bias and its spillover effect on return volatility: A study on stock markets in the Asia-Pacific region
by Panda, Ajaya Kumar & Panda, Pradiptarathi & Nanda, Swagatika & Parad, Atul
- S0927538X21001633 How resilient are the Asia Pacific financial markets against a global pandemic?
by Rahman, Md Lutfur & Al Mamun, Mohammed Abdullah
- S0927538X2100158X Long-term impacts of index reconstitutions: Evidence from the CSI 300 additions and deletions
by Chu, Gang & Goodell, John W. & Li, Xiao & Zhang, Yongjie
- S0927538X2100161X Do controlling shareholders expropriate employees? Evidence from workplace fatalities in China
by Liu, Hang & Luo, Jin-hui & Wang, Xin
2021, Volume 68, Issue C
- S0927538X19304895 Downside risk, financial conditions and systemic risk in China
by Wang, Bo & Li, Haoran
- S0927538X19304925 Political uncertainty and A-H share premium
by Cheng, Xu & Kong, Dongmin & Wang, Junbo
- S0927538X19304962 Do Japanese firms systematically inflate expected rate of returns from defined benefit pension plans?
by Qin, Yiyi & Cai, Jun & Rhee, S. Ghon
- S0927538X19305037 Vertical interlock and stock price crash risk
by Yang, Chang & Chen, Xin & Chen, Xian
- S0927538X19305116 Too-big-to-fail: The value of government guarantee
by Tsafack, Georges & Li, Yifei & Beliaeva, Natalia
- S0927538X19305165 Pricing catastrophe swaps with default risk and stochastic interest rates
by Lo, Chien-Ling & Chang, Carolyn W. & Lee, Jin-Ping & Yu, Min-Teh
- S0927538X19305190 Saving for the future: Evaluating the sustainability and design of Pension Reserve Funds
by Castañeda, Pablo & Castro, Rubén & Fajnzylber, Eduardo & Medina, Juan Pablo & Villatoro, Félix
- S0927538X19305256 Network connectedness and China's systemic financial risk contagion——An analysis based on big data
by Fan, Xiaoyun & Wang, Yedong & Wang, Daoping
- S0927538X19305281 Litigation risk and cost of capital: Evidence from China
by Qin, Jiaqi & Yang, Xue & He, Qing & Sun, Lingxia
- S0927538X19305323 Signed momentum in the Chinese stock market
by Gao, Ya & Guo, Bin & Xiong, Xiong
- S0927538X19305347 The impacts of circuit breakers on China's stock market
by Li, Zeguang & Hou, Keqiang & Zhang, Chao
- S0927538X19305360 Decision time and investors' portfolio strategies
by Zhang, Jing & Zhang, Wei & Li, Yuelei & Caglayan, Mustafa
- S0927538X19305402 Jumps at ultra-high frequency: Evidence from the Chinese stock market
by Zhang, Chuanhai & Liu, Zhi & Liu, Qiang
- S0927538X19305542 Predicting the risk of financial distress using corporate governance measures
by Li, Zhiyong & Crook, Jonathan & Andreeva, Galina & Tang, Ying
- S0927538X21000251 The importance of large shocks to return predictability
by Diaz, Juan & Duarte, Diogo & Galindo, Hamilton & Montecinos, Alexis & Truffa, Santiago
- S0927538X21000536 A fresh look at the risk-return tradeoff
by Wang, Cindy S.H. & Chen, Yi-Chi & Lo, Hsin-Yu
- S0927538X21000627 Firm-level perception of uncertainty and innovation activity: Textual evidence from China's A-share market
by Yu, Zhen & Xiao, Yao & Li, Jinpo
- S0927538X21000676 Does size and book-to-market contain intangible information about managerial incentives? Learning from corporate D&O insurance purchase
by Huang, Rachel J. & Jeng, Vivian & Wang, Cheng-Wei & Yue, Jack C.
- S0927538X21000792 How does labor protection influence corporate risk-taking? Evidence from China
by Jiang, Jiaoliang & Chen, Yulin
- S0927538X21000810 Explaining the risk premiums of life settlements
by Kung, Ko-Lun & Hsieh, Ming-Hua & Peng, Jin-Lung & Tsai, Chenghsien Jason & Wang, Jennifer L.
- S0927538X21000822 Do economic policy uncertainty and its components predict China's housing returns?
by Yin, Xiao-Cui & Li, Xin & Wang, Min-Hui & Qin, Meng & Shao, Xue-Feng
- S0927538X21000834 Uncertainty, venture capital and entrepreneurial enterprise innovation—Evidence from companies listed on China's GEM
by Chu, Chien-Chi & Li, Yong-Li & Li, Shi-Jie & Ji, Yun
- S0927538X21000846 Is inflation persistent? Evidence from a time-varying unit root model
by Devpura, Neluka & Sharma, Susan Sunila & Harischandra, P.K.G. & Pathberiya, Lasitha R.C.
- S0927538X21000937 Quantile relationship between Islamic and non-Islamic equity markets
by Rahman, Md Lutfur & Hedström, Axel & Uddin, Gazi Salah & Kang, Sang Hoon
- S0927538X21000949 Financial stability efficiency of Islamic and conventional banks
by Safiullah, Md
- S0927538X21000950 Can management tone predict IPO performance? – Evidence from mandatory online roadshows in China
by Bian, Shibo & Jia, Dekui & Li, Ruihai & Sun, Wujun & Yan, Zhipeng & Zheng, Yingfei
- S0927538X21000962 Time-varying asymmetric tail dependence of international equities markets
by Zhou, Chunyang & Qin, Xiao
- S0927538X21000974 Do fund managers time implied tail risk? — Evidence from Chinese mutual funds
by Ni, Zhongxin & Wang, Linyu & Li, Weishu
- S0927538X21000986 The relationship between yield curve components and equity sectorial indices: Evidence from China
by Umar, Zaghum & Yousaf, Imran & Aharon, David Y.
- S0927538X21000998 Geographic proximity and cross-region merger and acquisitions: Evidence from the opening of high-speed rail in China
by Jin, Zhi & Yang, Yinan & Zhang, Liguang
- S0927538X21001001 Property rights protection and mergers and acquisitions
by Fang, Tian Jin & Han, Jianlei & He, Jing & Shi, Jing
- S0927538X21001013 The nonlinear effect of foreign ownership on capital structure in Japan: A panel threshold analysis
by Zeitun, Rami & Goaied, Mohamed
- S0927538X21001025 Does the q theory of investment work well in China?
by Chen, Te-Feng & Kwok, Wing Chun & Wong, George
- S0927538X21001037 Corporate environmental responsibility and default risk: Evidence from China
by Shih, Yi-Cheng & Wang, Yao & Zhong, Rui & Ma, Yi-Ming
- S0927538X21001049 Economic policy uncertainty, COVID-19 lockdown, and firm-level volatility: Evidence from China
by Yang, Jianlei & Yang, Chunpeng
- S0927538X21001050 Financial literacy, debt, risk tolerance and retirement preparedness: Evidence from New Zealand
by Noviarini, Jelita & Coleman, Andrew & Roberts, Helen & Whiting, Rosalind H.
- S0927538X21001062 Mutual fund herding and return comovement in Chinese equities
by Caglayan, Mustafa Onur & Hu, Yu & Xue, Wenjun
- S0927538X21001074 Female directors and acquisitions: Australian evidence
by Lucas, Ryley & Gunasekarage, Abeyratna & Shams, Syed & Edirisuriya, Piyadasa
- S0927538X21001086 An inflation-based ICAPM in China
by Zhang, Han
- S0927538X21001098 What factors are associated with stock price jumps in high frequency?
by Ahn, Yongkil & Tsai, Shih-Chuan
- S0927538X21001104 Technical expert CEOs and corporate innovation
by Ting, Hsiu-I & Wang, Ming-Chun & Yang, J. Jimmy & Tuan, Kai-Wen
- S0927538X21001116 Media exposure on corporate social irresponsibility and firm performance
by Teng, Chia-Chen & Yang, J. Jimmy
- S0927538X21001128 How noise trading affects informational efficiency: Evidence from an order-driven market
by Zhang, Chris H. & Kalev, Petko S.
- S0927538X21001141 Anomalies in the China A-share market
by Jansen, Maarten & Swinkels, Laurens & Zhou, Weili
- S0927538X21001153 Stock market reactions to the COVID-19 pandemic: The moderating role of corporate big data strategies based on Word2Vec
by Xue, Fujing & Li, Xiaoyu & Zhang, Ting & Hu, Nan
- S0927538X21001165 Do messages on online stock forums spur firm productivity?
by Zhang, Wei & Wang, Pengfei & Li, Yi
- S0927538X21001177 Economic policy uncertainty and bank stability: Threshold effect of institutional quality and competition
by Shabir, Mohsin & Jiang, Ping & Bakhsh, Satar & Zhao, Zhongxiu
- S0927538X21001189 Lottery preferences and retail short selling
by Tsai, Chia-Fen & Chang, Jung-Hsien & Tsai, Feng-Tse
- S0927538X21001190 Deriving managerial skills by dissecting holding changes of mutual funds: Evidence from China
by Jun, Xiao & Ren, He & Sun, Ping-Wen