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Content
2024, Volume 90, Issue C
- 241-251 How do government subsidies affect OFDI of private enterprises? Evidence from China
by Liu, Yuandan & Tang, Tingfeng & Li, Haiyang & Luo, Limin
- 252-264 Index measurement and analysis on spatial-temporal evolution of China's new economy based on the DPSIR model
by Wen, Ting & Qi, Sinan & Qian, Yue
- 265-282 Assessing the impact of climate policy on energy security in developed economies
by Xie, Biqing & Xie, Bibo
- 283-296 Executives with business education background and cost of debt financing: Evidence from China
by Xie, Linlin & Liu, Yangbo & Jiang, Tianhao
2024, Volume 89, Issue PB
- 1-11 Environmental sustainability and health outcomes: Do ICT diffusion and technological innovation matter?
by Omri, Anis & kahouli, Bassem & Kahia, Montassar
- 12-29 Corporate social responsibility and stock resilience to COVID-19: A contract theory perspective
by Lu, Jun & Li, Wengui & Huang, Wei
- 30-45 The role of sponsor representatives in SEO underpricing: Evidence from China
by Cai, Yuxin & Lyu, Huaili & Peng, Meng
- 46-62 The role of green reputation, carbon trading and government intervention in determining the green bond pricing: An externality perspective
by Hu, Yuanfeng & Tian, Yixiang
- 63-92 Diversification and bank stability: Role of political instability and climate risk
by Shabir, Mohsin & Jiang, Ping & Shahab, Yasir & Wang, Wenhao & Işık, Özcan & Mehroush, Iqra
- 93-113 A comparative study of international and Chinese digitization from the perspective of mapping knowledge domains
by Han, Linlin & Shan, Zidan & Lei, Ming & Long, Suwan(Cheng)
- 114-130 Is the exchange rate a shock absorber? The shocks matter
by Beckmann, Joscha & Breitenlechner, Max & Scharler, Johann
- 131-158 Competitive runs on Government debt
by Moretto, Michele & Parigi, Bruno M.
- 159-171 Uncertainty measure: As a proxy for the degree of market imperfection
by Zhang, Hailiang & Sattar, Muhammad Atif & Wang, Haijun
- 172-187 Investment styles of islamic equity funds
by Chowdhury, Md Iftekhar Hasan & Balli, Faruk & de Bruin, Anne
- 188-215 Normal and extreme impact and connectedness between fossil energy futures markets and uncertainties: Does El Niño-Southern Oscillation matter?
by Zhang, Jiahao & Zhang, Yifeng & Wei, Yu & Wang, Zhuo
- 216-231 The role of financial advisorʼs industry expertise in M&A quality: Evidence from goodwill impairment
by Huang, Qiongyu & Zhang, Ruiyao & Li, Siyao & Li, Jingjing & Yao, Qiong
- 232-249 Tackling competition by reducing emissions: Private firms’ polluting behavior under peer IPOs
by Li, Lidan & Han, Jie & Mo, Shenwei & Yang, Yupeng
- 250-271 Global value chains, productivity and markup: Evidence from India
by Reddy, Ketan & Sasidharan, Subash
- 272-285 Are markets sentiment driving the price bubbles in the virtual?
by Ben Osman, Myriam & Galariotis, Emilios & Guesmi, Khaled & Hamdi, Haykel & Naoui, Kamel
- 286-298 Foreign investment and environment in developing countries: A perspective from agricultural subsidy with foreign capital taxation
by Wu, Yunyun & Li, Xiaochun
- 299-315 Differentiated impact of spread determinants by personal loan category: Evidence from the Brazilian banking sector
by Valente, José & Augusto, Mário & Murteira, José
- 316-333 Time-frequency return connectedness between Chinese coal futures and international stock indices
by Chen, Baifan & Huang, Jionghao & Liu, Danhe & Xia, Xiaohua
- 334-348 Does local government debt affect corporate social responsibility? Evidence from China
by Wan, Peng & Chen, Xiangyu & Ke, Yun & Dong, Wang
- 349-362 Estimating U.S. housing price network connectedness: Evidence from dynamic Elastic Net, Lasso, and ridge vector autoregressive models
by Gabauer, David & Gupta, Rangan & Marfatia, Hardik A. & Miller, Stephen M.
- 363-377 Can social trust promote the professional division of labor in firms? Evidence from China
by Chen, Linrong & Zeng, Huixiang
- 378-396 Life-cycle risk-taking with personal disaster risk
by Bagliano, Fabio C. & Fugazza, Carolina & Nicodano, Giovanna
- 397-428 Return and volatility connectedness across global ESG stock indexes: Evidence from the time-frequency domain analysis
by Wan, Jieru & Yin, Libo & Wu, You
- 429-445 What is going on with studies on financial speculation? Evidence from a bibliometric analysis
by Alaminos, David & Guillén-Pujadas, Miguel & Vizuete-Luciano, Emili & Merigó, José María
- 446-457 Volatility spillovers between oil and coal prices and its implications for energy portfolio management in China
by Guo, Yanfeng & Zhao, Huanyu
- 458-470 The threshold effects of public debt on economic growth in MENA countries: Do energy endowments matter?
by Alsamara, Mouyad & Mrabet, Zouhair & Mimouni, Karim
- 471-484 Exploring the interconnectedness of China's new energy and stock markets: A study on volatility spillovers and dynamic correlations
by Li, Guangchen & Shen, Z.Y. & Song, Malin & Wei, Weixian
- 485-510 Does “son preference” affect rural floating parents’ willingness to settle in towns and cities?
by Hu, Yun-Zhi & Xuan, Ye & Wang, Hai-Feng
- 511-531 Enhanced management information disclosure responsibilities and corporate risk-taking: Evidence from the accountability system for errors in China
by Liu, Wenjun & Lin, Guoyu & He, Qian
- 532-551 Does trade policy uncertainty increase commercial banks’ risk-taking? Evidence from China
by Hu, Debao & Lu, Jingming & Zhao, Sibo
- 552-567 Transmission process and determinants of sovereign credit contagions: Global evidence
by Chen, Chih-Chun & Chen, Chun-Da & Lien, Donald
- 568-580 Political connections and labor investment efficiency
by Karami, Gholamreza & Mehrani, Sasan & Beik Boshrouyeh, Salman & Ezadpour, Mostafa & Mohebbi, Masoud & Samavat, Milad
- 581-596 Cultural diversity, social network, and off-farm employment: Evidence from China
by Wang, Ling & Ruan, Jianqing
- 597-611 Do the dynamics of macroeconomic attention drive the yen/dollar exchange market volatility?
by Luo, Tao & Sun, Huaping & Zhang, Lixia & Bai, Jiancheng
- 612-621 Covid-19 and market discipline: Evidence from the banking sector in emerging markets
by Xie, Xin & Mirza, Nawazish & Umar, Muhammad & Ji, Xiaoman
- 622-637 Corporate headquarters relocation and CSR performance
by Fatemi, Ali & Fooladi, Iraj & Sy, Oumar & Zaman, Ashraf
- 638-655 Family succession and cost of bank loans: Evidence from China
by Weng, Tzu-Ching & Chi, Hsin-Yi
- 656-675 Real estate uncertainty and financial conditions over the business cycle
by Baek, Ingul & Liu, Jia & Noh, Sanha
- 676-698 Banking competition and capital dependence of the production sector: Growth and welfare implications
by Rauber, Tom & Ritschel, Paul
- 699-712 Asymmetric search behavior for gasoline prices: Evidence from the Chinese gasoline market
by Xu, Jiayi & Zhang, Xiao-Bing & Liu, Yang
- 713-730 How does boardroom diversity influence the relationship between ESG and firm financial performance?
by Wu, Zihao & Gao, Jun & Luo, Chengdi & Xu, Hui & Shi, Guanqun
- 731-742 The impact of trade on growth and welfare with heterogeneous firms and rent-sharing
by Nishiyama, Hiroyuki & Gintani, Yasuhiro & Tsuboi, Mizuki
- 743-761 Arbitrage opportunities and feedback trading in regulated bitcoin futures market: An intraday analysis
by Ngene, Geoffrey M. & Wang, Jinghua
- 762-783 The effect of financial literacy on long-term recognition and short-term trade in mutual funds: Evidence from Japan
by Aman, Hiroyuki & Motonishi, Taizo & Ogawa, Kazuhito & Omori, Kozo
- 784-803 Economic integration and consumption risk sharing: A comparison of Eurozone and OECD countries
by Beck, Krzysztof & Yersh, Valeryia
- 804-831 Strategic asset allocation with distorted beliefs
by Chung, San-Lin & Hung, Mao-Wei & Wei, Tzu-Wen & Yeh, Chung-Ying
- 832-842 Does the Belt and Road Initiative upgrade the global value chain for BRI Countries:Revealing the substantial role of infrastructure
by Li, Yabo & Zhao, Yan & Yao, Xuemei
- 843-862 The impact of M&A announcements on stock returns in the European Union
by Kellner, Tobias
- 863-912 If GPU(time) == money: Sustainable crypto-asset market? Analysis of similarity among crypto-asset financial time series
by Zięba, Damian
- 913-939 Sentiment analysis of the Spanish financial stability Report
by Moreno Bernal, Ángel Iván & Pedraz, Carlos González
- 940-960 Risk-free rate puzzle: An explanation of the heterogeneity of consumer risk attitudes under China's income gap
by Zhao, Yang & Yao, Yuan & Wang, Mingtao
2024, Volume 89, Issue PA
- 1-16 Are REITS hedge or safe haven against oil price fall?
by Hanif, Waqas & Andraz, Jorge Miguel & Gubareva, Mariya & Teplova, Tamara
- 17-32 Digital finance and labor demand of manufacturing enterprises: Theoretical mechanism and heterogeneity analysis
by Feng, Rui & Shen, Chen & Guo, Yiyang
- 33-49 Empirical evidence of fintech and green environment: Using the green finance as a mediating variable
by Qin, Lu & Aziz, Ghazala & Hussan, Muhammad Wasim & Qadeer, Afifa & Sarwar, Suleman
- 50-69 The effect of international media news on the global stock market
by Jin, Xuejun & Chen, Cheng & Yang, Xiaolan
- 70-82 Price limit hits in the Chinese fund market: Determinants and post-hit performance
by Xiao, Yuewen & Zheng, Xinwei & Wang, Chengsi
- 83-101 Corporate innovation and analysts’ estimates of the cost of equity: Evidence from China
by Zhang, Yin & Peng, Hongxing & Liu, Tingli & Xie, Kehuang
- 102-117 Crowding out or crowding in? Reevaluating the effect of government spending on private economic activities
by Park, Joshua K. & Meng, Xiangcai
- 118-142 Mechanisms of overpricing: An investigation on momentum crashes
by Huang, Alex YiHou
- 143-155 The effect of economic and political uncertainty on sovereign CDS spreads
by Pan, Wei-Fong & Wang, Xinjie & Xiao, Yaqing & Xu, Weike & Zhang, Jinfan
- 156-172 Sequential monitoring of stock market price changes
by Li, Hemei & Liu, Zhenya & Xiao, Zhijie
- 173-195 Whom is economic aid meant for? The push vs. pull determinant factors of official development assistance
by Jung, Yunji & Kim, Juno & Kim, Kyunghun
- 196-212 Information disclosure by industry and the cost of equity: Evidence from a quasi-natural experiment in China
by Zhao, Ling & Huang, Hao
- 213-224 Real exchange rate convergence in the euro area: Evidence from a dynamic factor model
by Börger, Carina & Kempa, Bernd
- 225-245 The role of interest rate environment in mortgage pricing
by Ahmad, Ferhana & Shehzad, Choudhry Tanveer
- 246-266 Can common institutional owners inhibit bad mergers and acquisitions? Evidence from China
by Zhu, Siyuan & Lu, Rong & Xu, Tianli & Wu, Wenbin & Chen, Yang
- 267-283 A continuous heterogeneous agent model for multi-asset pricing and portfolio construction under market matching friction
by Fu, Jie & Zhang, Xiaoqi & Zhou, Wenyuan & Lyu, Yang
- 284-296 Detecting financial contagion using a new nonparametric measure of asymmetric comovements
by Zhang, Feipeng & Xu, Yixiong & Yuan, Di
- 297-309 Exchange rates and monetary policy when tradable and nontradable goods are complements
by Craighead, William D.
- 310-326 Political connections and corporate innovation: A stepping stone or stumbling block?
by Zhao, Hongjun & Ni, Jinlan & Liu, Xiaomin
- 327-336 Optimal degree of interagency coordination of subsidy and tariff policies
by Hayashibara, Masayuki & Ohkawa, Takao & Nomura, Ryoichi & Okamura, Makoto
- 337-350 On the conditional performance of the IVOL anomaly
by Wang, Jianqiu & Wu, Ke & Pan, Jiening
- 351-365 Managing financial expertise
by Asano, Koji
- 366-390 Repercussions of the Russia–Ukraine war
by Tong, Eric
- 391-409 Domestic environmental impacts of OFDI: City-level evidence from China
by Liu, Yishuang & Liu, Wei & Zhang, Xiaoling & Dong, Hanmin & Zhao, Zhihui & Zhang, Zhan
- 410-426 Realized volatility, price informativeness, and tick size: A market microstructure approach
by Xiao, Xijuan & Yamamoto, Ryuichi
- 427-443 Spatial analysis of sovereign risk from the perspective of EPU spillovers
by Liu, Peipei & Huang, Wei-Qiang
- 444-459 How far can the long-run risk model with durable goods explain the variation of the yield curve?
by Ikeda, Ryoichi & Igarashi, Yoske
- 460-477 Adaptive market hypothesis: A comparison of Islamic and conventional stock indices
by Akbar, Muhammad & Ullah, Ihsan & Ali, Shahid & Rehman, Naser
- 478-497 Towards understanding MILA stock markets integration beyond MILA: New evidence between the pre-Global financial crisis and the COVID19 periods
by Lukanima, Benedicto Kulwizira & Sanchez-Barrios, Luis Javier & Gómez-Bravo, Yuli Paola
- 498-523 Flight to cryptos: Evidence on the use of cryptocurrencies in times of geopolitical tensions
by Alexakis, Christos & Anselmi, Giulio & Petrella, Giovanni
- 524-542 The asymmetric relationships between the Bitcoin futures’ return, volatility, and trading volume
by Kao, Yu-Sheng & Zhao, Kai & Chuang, Hwei-Lin & Ku, Yu-Cheng
- 543-560 Liquidity and realized volatility prediction in Chinese stock market: A time-varying transitional dynamic perspective
by Xu, Yanyan & Liu, Jing & Ma, Feng & Chu, Jielei
- 561-581 How does digital finance drive the green economic growth? New discoveries of spatial threshold effect and attenuation possibility boundary
by Pang, Si Lu & Liu, Hui & Hua, Gui Hong
- 582-593 A finite element approach to the numerical solutions of Leland’s model
by Wei, Dongming & Erlangga, Yogi Ahmad & Zhumakhanova, Gulzat
- 594-604 Optimal nonlinear pricing by a monopoly with smooth ambiguity preferences
by Wong, Kit Pong
- 605-617 Intelligent portfolio construction via news sentiment analysis
by Hung, Ming-Chin & Hsia, Ping-Hung & Kuang, Xian-Ji & Lin, Shih-Kuei
- 618-628 Have real exchange rates and competitiveness in Central and Eastern Europe fundamentally changed?
by Cuestas, Juan Carlos & Monfort, Mercedes & Ordóñez, Javier
- 629-650 Dig the treasure nearby: The impact of local supplier preference on trade credit financing
by Duan, Zhixin & Hu, Mingsheng
- 651-664 Hedging precious metals with impact investing
by Akhtaruzzaman, Md & Banerjee, Ameet Kumar & Le, Van & Moussa, Faten
- 665-682 Media coverage and stock liquidity: Evidence from China
by Huang, Can & Huang, Hung-Yi & Ho, Kung-Cheng
- 683-691 Government policy interventions during COVID-19 pandemic and economic performance
by Adefeso, Hammed Adetola & Muraina, Mujeeb Opeyemi
- 692-701 Transmission of housing bubbles among industrial sectors
by Wan, Junmin
- 702-731 Credit risk and bubble behavior of credit default swaps in the corporate energy sector
by Cervera, Ignacio & Figuerola-Ferretti, Isabel
- 732-741 Trade disputes and the climate
by Haibara, Takumi
- 742-759 Bank competition with technological innovation based on evolutionary games
by Lai, Chong & Li, Rui & Gao, Xiujuan
- 760-774 Green finance and green innovation: Theoretical analysis based on game theory and empirical evidence from China
by Bai, Rui & Lin, Boqiang
- 775-801 Corporate governance and earnings management: Evidence from Vietnamese listed firms
by Nguyen, Quynh & Kim, Maria H. & Ali, Searat
- 802-830 Corruption, lending and bank performance
by Abuzayed, Bana & Ben Ammar, Mouldi & Molyneux, Philip & Al-Fayoumi, Nedal
- 831-844 The asymmetry and uncertainty effects on the response of the yield curve to Brazilian monetary policy
by Cavaca, Igor Bastos & Meurer, Roberto
- 845-854 Overextrapolation of disaster probabilities and asset pricing in a production economy
by Gao, Han & Lin, Chunpeng & Peng, Juan & Zhao, Siqi
- 855-877 Does managerial bank relationship network matter corporate resilience? Evidence from the COVID-19 crisis
by Niu, Ruiyang & Chen, Lin & Jin, Liang & Xie, Guanghua & Zhao, Longfeng
- 878-893 Environmental regulations and capital investment: Does green innovation allow to grow?
by Farooq, Umar & Wen, Jun & Tabash, Mosab I. & Fadoul, Modawi
- 894-908 Output volatility and exchange rates: New evidence from the updated de facto exchange rate regime classifications
by Dąbrowski, Marek A. & Papież, Monika & Śmiech, Sławomir
- 909-939 Does COVID-19 impact the dependence between oil and stock markets? Evidence from RCEP countries
by Li, Dongxin & Zhang, Feipeng & Yuan, Di & Cai, Yuan
- 940-953 The changing dynamics of crypto mining and environmental impact
by Kumari, Pooja & Mamidala, Vasanthi & Chavali, Kavita & Behl, Abhishek
- 954-974 Mandatory corporate social responsibility disclosure and financial constraints: Evidence from China
by Liang, Xiao & Chen, Xiaomeng Charlene
- 975-1008 Monetary policy in China: A Factor Augmented VAR approach
by Yemba, Boniface & Kitenge, Erick & Tang, Biyan & Gaekwad, Neepa B.
- 1009-1028 Short selling, informational efficiency, and extreme stock price adjustment
by Fan, Yi & Gao, Yang
- 1029-1053 Behavioral aspects of household portfolio choice: Effects of loss aversion on life insurance uptake and savings
by Hwang, In Do
- 1054-1072 On the transmission mechanism between the inventory arbitrage activity, speculative activity and the commodity price under the US QE policy: Evidence from a TVP-VAR model
by Yao, Wei & Alexiou, Constantinos
- 1073-1090 Redefining the degree of industry greenness using input–output tables
by Penikas, Henry & Vasilyeva, Ekaterina
- 1091-1101 Digital inclusive finance, higher education expansion and regional carbon emissions: Evidence from China
by Wang, Dong & Wang, Ziwei & Cai, Wanhuan & Wu, Qiuxiang
- 1102-1119 Individual investors’ dividend tax reform and investment efficiency
by Kong, Dongmin & Ji, Mianmian
- 1120-1135 Can an influential and responsible investor indeed be influential through responsible investments? Evidence from a $1 trillion fund
by Nguyen, Quynh Trang & Lindset, Snorre & Eriksen, Sondre Hansen & Skara, Marie
- 1136-1155 On the design of bail-in-able bonds from the perspective of non-financial firms
by Liu, Liang-Chih & Dai, Tian-Shyr & Zhou, Lei
- 1156-1169 Industry bubbles and unexpected consumption shocks: A cross-sectional explanation of stock returns under recursive preferences
by Rojo-Suárez, Javier & Alonso-Conde, Ana B. & Lago-Balsalobre, Rubén
- 1170-1184 ESG scores and firm performance- evidence from emerging market
by Narula, Radhika & Rao, Purnima & Kumar, Satish & Matta, Rahul
- 1185-1202 Green finance and environmental, social, and governance performance
by Qian, Shuitu & Yu, Wenzhe
- 1203-1216 The role of audit quality in waste management behavior
by Saeed, Asif & Zafar, Muhammad Wasif & Manita, Riadh & Zahid, Noor
- 1217-1233 Multiscale extreme risk spillovers among the Chinese mainland, Hong Kong, and London stock markets: Comparing the impacts of three Stock Connect programs
by Yao, Yinhong & Li, Jingyu & Chen, Wei
- 1234-1247 Using stock prices to help identify unconventional monetary policy shocks for external instrument SVAR
by Ma, Liang
- 1248-1266 Low-carbon city pilot policy and corporate environmental performance: Evidence from a quasi-natural experiment
by Li, Shengnan & Zheng, Xinya & Liao, Jing & Niu, Jianbo
- 1267-1285 Opioid abuse and labor investment efficiency
by Jia, Jing & Li, Zhongtian
- 1286-1302 Semantics matter: An empirical study on economic policy uncertainty index
by Chen, Chung-Chi & Huang, Yu-Lieh & Yang, Fang
- 1303-1313 The impact of retail investor sentiment on the conditional volatility of stocks and bonds: Evidence from the Tel-Aviv stock exchange
by Hadad, Elroi & Kedar-Levy, Haim
- 1314-1334 Asset pricing tests for pandemic risk
by Park, Dojoon & Kang, Yong Joo & Eom, Young Ho
- 1335-1347 Can educational investment mitigate the impact of aging on household leverage ratio?
by Long, Teng & Bu, Kun & Du, Pengfei & Wang, Zhige
- 1348-1368 Transparency in the equity market: Evidence from a natural experiment
by Chiou, Wan-Jiun Paul & Serrano, Alejandro
- 1369-1384 The no surcharge rule and its welfare implication
by Tan, Hongru & Chen, Xuezheng
- 1385-1403 A changepoint analysis of exchange rate and commodity price risks for Latin American stock markets
by Manner, Hans & Rodríguez, Gabriel & Stöckler, Florian
- 1404-1421 Inhibiting or promoting: The impact of corporate social responsibility on corporate financialization
by Zheng, Di & Lei, Lei & Wang, Licheng & Li, Xuefeng
- 1422-1441 A database: How the euro crisis ended: Not with a (fiscal) bang but a whimper
by Köhler, Ekkehard A. & Hirsch, Patrick & Palhuca, Leonardo
- 1442-1467 An investigation of the frequency dynamics of spillovers and connectedness among GCC sectoral indices
by Kapar, Burcu & Billah, Syed Mabruk & Rana, Faisal & Balli, Faruk
- 1468-1495 Impact of the belt and road initiative on trade status and FDI attraction: A local and global network perspective
by Lu, Shuai & Chen, Ning & Zhou, Wei & Li, Shouwei
- 1496-1513 Emergency liquidity injections
by Garvin, Nicholas
- 1514-1528 The labor market impact of inflation uncertainty: Evidence from Sub-Saharan Africa
by Kassouri, Yacouba
- 1529-1538 The effects of social class on social welfare attitudes A mediating role of fairness perceptions——Evidence from two welfare states and China
by Guo, Jie & Hao, Yitong & Ling, Wenhao
- 1539-1556 Anchoring effect, prospect value and stock return
by Chen, Chun & He, Fangyi & Lin, Lei
- 1557-1568 Monitoring by busy compensation committee members
by Pan, Hunghua & Liao, Yi-Ping & Yu, Chen-Chiao
- 1569-1582 Short selling and corporate financial fraud: Empirical evidence from China
by Lu, Pu & Wang, Yong & Li, Bing
- 1583-1600 The influence of the bank–firm relationship on enterprises’ technological innovation efficiency: Evidence from China
by Yin, Lei & Du, Shanxing & Chen, Ge
- 1601-1621 How does oil market volatility impact mutual fund performance?
by Alsubaiei, Bader Jawid & Calice, Giovanni & Vivian, Andrew
2023, Volume 88, Issue C
- 1-13 Has the opening of high-speed rail narrowed the inter-county economic gap? The perspective of China's state-designated poor counties
by Chen, Ming & Liu, Xiucai & Xiong, Xiancheng & Wu, Jiao
- 14-26 Does digitization drive corporate social responsibility?
by Jiang, Wei & Wu, Jiahao & Yang, Xiaozhong
- 27-46 Hedging Covid-19 risk with ESG disclosure
by Jin, Yuqian & Liu, Qingfu & Tse, Yiuman & Zheng, Kaixin
- 47-59 Information and communication technology and innovation performance of firms: Evidence from Chinese listed state-owned enterprises
by He, Bin & Chen, Haiyang & Li, Zheng & Zhou, Xizhen
- 60-72 Religion and household borrowing: Evidence from China
by Feng, Dawei & Gao, Mengtao & Zhou, Li
- 73-91 Can green finance development abate carbon emissions: Evidence from China
by Wang, Jiaqi & Tian, Jiaxin & Kang, Yuxin & Guo, Kun
- 92-106 Factors behind the performance of green bond markets
by Adekoya, Oluwasegun B. & Abakah, Emmanuel J.A. & Oliyide, Johnson A. & Luis A, Gil-Alana
- 107-122 Do independent directors’ scientific achievements matter? Evidence from over-investment of Chinese listed firms
by Fang, Minghao & Li, Conggang & Wang, Wenlan & Xu, Rong
- 123-140 Stock hyping before auction-style SEOs: Are primary market investors misled?
by Gao, Shenghao & Liu, Jinzhao & Zhang, Qi & Zhou, Jun
- 141-153 What can we learn from the convenience yield of Bitcoin? Evidence from the COVID-19 crisis
by Arkorful, Gideon Bruce & Chen, Haiqiang & Gu, Ming & Liu, Xiaoqun
- 154-177 How does high-speed railway opening affect stock price synchronicity?
by Zhou, Lei & Wang, Yuansheng & Bai, Caiquan & Xiao, Weiwei
- 178-195 Urban administrative hierarchy and urban land use efficiency: Evidence from Chinese cities
by Yu, Binbin & Zhou, Xinru
- 196-203 The impact of Brexit on U.K. habits for expenditure on imports and consumption
by Fleissig, Adrian R. & Swofford, James L.
- 204-222 How does China's crude oil futures affect the crude oil prices at home and abroad? Evidence from the cross-market exchange rate spillovers
by Sun, Chuanwang & Peng, Yiqi & Zhan, Yanhong
- 223-236 Online search attention, firms’ ESG and operating performance
by Zhao, Xuezhou & Fang, Libing & Zhang, Ke
- 237-257 State ownership and credit rationing: Evidence From China
by Gao, Han & Li, Jie & Liu, Fang & Wu, Jin
- 258-279 A non-parametric synthesize measure for corporate governance: empirical evidence from Indian banks
by Singh, Rohit Kumar & Sharma, Supran Kumar
- 280-297 A factor pricing model based on machine learning algorithm
by Fang, Yi & Chen, Yuzhi & Ren, Hang
- 298-317 Time-varying spillover networks of green bond and related financial markets
by Wei, Ping & Yuan, Kang & Ren, Xiaohang & Yan, Cheng & Lu, Zudi
- 318-331 Corporate governance, moral hazard, and financialization
by Liu, Zehao & Tang, Huoqing & Zhang, Chengsi
- 332-346 Systemic risk propagation in the Eurozone: A multilayer network approach
by Foglia, Matteo & Pacelli, Vincenzo & Wang, Gang-Jin
- 347-364 How does bubble risk propagate among financial assets? A perspective from the BSADF-vine copula model
by Yao, Can-Zhong & Li, Min-Jian & Xu, Xin
- 365-385 Do bitcoin news information flow and return volatility fit the sequential information arrival hypothesis and the mixture of distribution hypothesis?
by Chou, Ke-Hsin & Day, Min-Yuh & Chiu, Chien-Liang
- 386-407 Do individuals and institutions make different short selling strategies around the 52-week highs?
by Lin, Mei-Chen & Chou, Meng Ping
- 408-428 On the marketing effect of financial analysts: Evidence from investor bids in SEO auctions
by Yang, Mingjing & Cheng, Xiaoke & Guan, Jenny Xinjiao & Gao, Shenghao & Liu, Jia
- 429-441 Are Chinese residents willing to pay for green express packaging and to participate in express packaging recycling?
by Lin, Boqiang & Wang, Xia
- 442-457 The impact of differential risk disclosures: Evidence from cross-listed firms in China and Hong Kong
by Brockman, Paul & Gao, Xi & Li, Xu & Xu, You
- 458-475 Forecasting VIX with time-varying risk aversion
by Wu, Xinyu & He, Qizhi & Xie, Haibin
- 476-500 Betting against low nominal prices: Evidence from China
by Zhang, Bing
- 501-515 Board gender diversity and cost of equity: Evidence from mandatory female board representation
by Jun, Chen & Qiyuan, Liu & Xiaofang, Ma & Zhang, Feida (Frank)
- 516-530 Outward foreign direct investment and urban green productivity: Promote or inhibit?
by Wang, Juntian & Chen, Jingwei & Li, Rongrong
- 531-546 Economic policy uncertainty and business performance: The moderating role of service transformation
by Ou, Ling & Zhang, Zhibin & Li, Renyu & Chen, Zhuo
- 547-593 Interconnectivity and investment strategies among commodity prices, cryptocurrencies, and G-20 capital markets: A comparative analysis during COVID-19 and Russian-Ukraine war
by Kumar, Sanjeev & Jain, Reetika & Narain, & Balli, Faruk & Billah, Mabruk
- 594-606 Does carbon risk amplify environmental uncertainty?
by Gao, Bin & Zhang, Jinlong & Liu, Xiaofeng
- 607-619 Digital finance and stock price crash risk
by Ai, Yongfang & Sun, Guanglin & Kong, Tao
- 620-633 Does financial development matter the accomplishment of rural revitalization? Evidence from China
by Fan, Shuaishuai & Jiang, Meihui & Sun, Daoyuan & Zhang, Shunkai
- 634-649 Factors affecting trade credit in India
by Pattnaik, Debidutta & Baker, H. Kent
- 650-669 Managerial foreign experience and outward foreign direct investment: Evidence from China
by Wen, Wen & Ke, Yun & Zhao, Tingyu & Zhang, Mengjiao
- 670-682 Build resilience to overcome panic? Examining the global capital market during the COVID-19 pandemic
by Liu, Ming & Tao, Qizhi & Wang, Xiangjin & Zhou, Hongyong
- 683-697 Inventor CEO and technology M&A
by Lin, Nan & Li, Ao & Chen, Han & Chen, Wenchuan
- 698-711 Forecasting crude oil prices: A reduced-rank approach
by Song, Yixuan & He, Mengxi & Wang, Yudong & Zhang, Yaojie
- 712-722 Skill choice and dynamic efficiency: The effects of skill subsidies
by Chen, Hung-Ju
- 723-747 Liquidity spillover between ETFs and their constituents
by Son, D. Pham & Marshall, Ben R. & Nguyen, Nhut H. & Visaltanachoti, Nuttawat
- 748-765 Do trade credit and bank credit complement or substitute each other in public and private firms?
by Afrifa, Godfred Adjapong & Tingbani, Ishmael & Alshehabi, Ahmad & Halabi, Hussein
- 766-798 Financial distress and corporate transparency/opacity: The role of firm visibility
by Kuzey, Cemil & Uyar, Ali & Wasiuzzaman, Shaista & Karaman, Abdullah S. & Inwinkl, Petra
- 799-814 Don't miss out on NFTs?! A sentiment-based analysis of the early NFT market
by Horky, Florian & Dubbick, Lili & Rhein, Franziska & Fidrmuc, Jarko
- 815-842 Hedging firm's idiosyncratic risk from commodity financialization
by Yang, Baochen & Geng, Peixuan & Fan, Ying
- 843-860 R&D investment management and ambidextrous technological innovation: Evidence from Chinese listed firms
by Liu, Duan & Jiang, Yuntian & Zhou, Qianzhen & Yao, Shujie
- 861-873 Does managerial ability drive frequent acquisitions? The role of strategic agency, firm innovativeness, and environmental uncertainty
by Mishra, Chandra S.
- 874-890 How does actual relative to target leverage affect reinsurance use?
by Li, Xiaoyi & Shiu, Yung-Ming
- 891-901 Measuring Chinese climate uncertainty
by Lee, Kiryoung & Cho, Juik