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Content
2021, Volume 56, Issue C
- S0275531921000040 Shariah compliance and corporate cash holdings
by Bugshan, Abdullah & Alnori, Faisal & Bakry, Walid
- S0275531921000052 Is portfolio diversification possible in integrated markets? Evidence from South Eastern Europe
by Pirgaip, Burak & Ertuğrul, Hasan Murat & Ulussever, Talat
- S0275531921000064 Volatility spillovers between WTI and Brent spot crude oil prices: an analysis of granger causality in variance patterns over time
by Atukeren, Erdal & Çevik, Emrah İsmail & Korkmaz, Turhan
- S0275531921000076 Investor attention, ETF returns, and country-specific factors
by Lee, Chien-Chiang & Chen, Mei-Ping & Lee, Chi-Chuan
- S0275531921000088 Countering money laundering and terrorist financing: A case for bitcoin regulation
by Fletcher, Emily & Larkin, Charles & Corbet, Shaen
- S0275531921000106 Investor attention and cryptocurrency: Evidence from wavelet-based quantile Granger causality analysis
by Li, Rong & Li, Sufang & Yuan, Di & Zhu, Huiming
- S0275531921000118 Does confucianism influence corporate earnings management?
by Yu, Wei & Zhu, Keying & Huang, Huiqin & Teklay, Belaynesh
- S0275531921000131 Excessive managerial entrenchment, corporate governance, and firm performance
by Antounian, Christelle & Dah, Mustafa A. & Harakeh, Mostafa
- S027553192030965X Oil prices and economic policy uncertainty: Evidence from global, oil importers, and exporters’ perspective
by Lin, Boqiang & Bai, Rui
- S027553192030979X Bank efficiency, market structure and strategic interaction: Evidence from Vietnam
by Le, Huong Nguyen Quynh & Nguyen, Thai Vu Hong & Schinckus, Christophe
- S027553192030982X Identifying systemically important financial institutions in Turkey
by Caliskan, Hande & Cevik, Emrah I. & Kirci Cevik, Nuket & Dibooglu, Sel
- S027553192100009X The impact of symbiotic relations on the performance of micro, small and medium enterprises in a small-town context: The perspective of risk and return
by Kijkasiwat, Ploypailin & Wellalage, Nirosha Hewa & Locke, Stuart
- S027553192100012X Oil market uncertainty and excess returns on currency carry trade
by Su, Zhi & Mo, Xuan & Yin, Libo
2021, Volume 55, Issue C
- S0275531918307591 Risk, resilience, and Shariah-compliance
by Cheong, Calvin W.H.
- S0275531919301199 How does corporate social responsibility affect financial performance, financial stability, and financial inclusion in the banking sector? Evidence from Pakistan
by Ramzan, Muhammad & Amin, Muhammad & Abbas, Muhammad
- S0275531919307718 The reinvestment risk premium in the valuation of British and Russian government bonds
by Teplova, Tamara V. & Rodina, Victoria A.
- S0275531919310992 The relationship between religion and livelihood activities of women: Empirical evidence from the Yilo and Lower Manya Krobo Districts of Eastern Ghana
by Ayifah, Emmanuel & Romm, Aylit Tina & Kollamparambil, Umakrishnan
- S0275531920301094 Conditional volatility persistence and volatility spillovers in the foreign exchange market
by Su, Fei
- S0275531920302002 Multiscale information transmission between commodity markets: An EMD-Based transfer entropy network
by Liu, Chang & Sun, Xiaolei & Wang, Jun & Li, Jianping & Chen, Jianming
- S0275531920305560 Effects of Price of Gold on Bombay Stock Exchange Sectoral Indices: New Evidence for Portfolio Risk Management
by Trabelsi, Nader & Gozgor, Giray & Tiwari, Aviral Kumar & Hammoudeh, Shawkat
- S0275531920309272 The role of financial journalists in the expectations channel of the monetary transmission mechanism
by Reid, Monique & Siklos, Pierre & Guetterman, Timothy & Du Plessis, Stan
- S0275531920309284 Impact of managerial ownership on investment and liquidity constraints: Evidence from Chinese listed companies
by Vijayakumaran, Ratnam
- S0275531920309375 Do economic institutions matter for trade liberalization? Evidence from China’s Open Door Policy
by Fu, Tong
- S0275531920309387 On the nonlinear relationship between energy use and CO2 emissions within an EKC framework: Evidence from panel smooth transition regression in the MENA region
by Ben Cheikh, Nidhaleddine & Ben Zaied, Younes & Chevallier, Julien
- S0275531920309399 Credit supply conditions and business cycles: New evidence from bank lending survey data
by Apergis, Nicholas & Chatziantoniou, Ioannis
- S0275531920309405 Characteristics and mechanisms of not-fully marketized interest rates: Evidence from Chinese online lending
by Chen, Rongda & Chen, Yikai & Jin, Chenglu & Xu, Guorui & Bao, Weiwei & Guo, Kenan
- S0275531920309417 Ownership dispersion across large shareholders and loan-syndicate structure
by Chandera, Yane & Setia-Atmaja, Lukas & Utama, Cynthia Afriani & Husodo, Zaäfri Ananto
- S0275531920309429 The recovery of global stock markets indices after impacts due to pandemics
by David, S.A. & Inácio Jr., C.M.C. & Tenreiro Machado, José A.
- S0275531920309466 Can fintech improve the efficiency of commercial banks? —An analysis based on big data
by Wang, Yang & Xiuping, Sui & Zhang, Qi
- S0275531920309478 Competition in the acquisition market and returns to bidders in Australia
by Shams, Syed
- S0275531920309521 Does compliance with corporate governance codes help to mitigate financial distress?
by Bravo-Urquiza, Francisco & Moreno-Ureba, Elena
- S0275531920309533 Investments in human capital: The evidence from China’s new rural pension scheme
by Tang, Le & Sun, Shiyu & Yang, Weiguo
- S0275531920309545 Crude oil shocks and African stock markets
by Enwereuzoh, Precious Adaku & Odei-Mensah, Jones & Owusu Junior, Peterson
- S027553192030355X Is export tax rebate a quality signal to determine firms’ capital structure? A financial intermediation perspective
by Zhang, Dongyang
- S027553192030814X Corporate Social Responsibility Amid Social Distancing During the COVID-19 Crisis: BRICS vs. OECD Countries
by Popkova, Elena & DeLo, Piper & Sergi, Bruno S.
- S027553192030948X Credit unions vs. commercial banks, who takes more risk?
by Naaman, Christine & Magnan, Michel & Hammami, Ahmad & Yao, Li
- S027553192030951X Resource misallocation, production efficiency and outward foreign direct investment decisions of Chinese enterprises
by Kong, Qunxi & Peng, Dan & Ruijia, Zhang & Wong, Zoey
2020, Volume 54, Issue C
- S0275531918311115 Stock market dependence in crisis periods: Evidence from oil price shocks and the Qatar blockade
by Benlagha, Noureddine
- S0275531919300467 Institutional distance and Turkey’s outward foreign direct investment
by Heavilin, Jason & Songur, Hilmi
- S0275531919301886 From me to you: Measuring connectedness between Eurozone financial institutions
by Foglia, Matteo & Angelini, Eliana
- S0275531919302028 The non-linear relationship between oil prices and stock prices: Evidence from oil-importing and oil-exporting countries
by de Jesus, Diego Pitta & Lenin Souza Bezerra, Bruno Felipe & da Nóbrega Besarria, Cássio
- S0275531919302363 Outsourcing and firm performance nexus: An analysis using the conventional and panel double-bootstrap procedure
by Valiyattoor, Vipin & Bhandari, Anup Kumar
- S0275531919303605 How do financial globalization, institutions and economic growth impact financial sector development in European countries?
by Nasreen, Samia & Mahalik, Mantu Kumar & Shahbaz, Muhammad & Abbas, Qaisar
- S0275531919303873 Stock market reactions to domestic sentiment: Panel CS-ARDL evidence
by Ahmed, Walid M.A.
- S0275531919304878 Governance by depositors, bank runs and ambiguity aversion
by Guillemin, François
- S0275531919305574 Asset returns in deep learning methods: An empirical analysis on SSE 50 and CSI 300
by Li, Weiping & Mei, Feng
- S0275531919306312 Insurance and economic policy uncertainty
by Balcilar, Mehmet & Gupta, Rangan & Lee, Chien-Chiang & Olasehinde-Williams, Godwin
- S0275531919306993 Financial Sector transparency and net interest margins: Should the private or public Sector lead financial Sector transparency?
by Kusi, Baah Aye & Agbloyor, Elikplimi Komla & Gyeke-Dako, Agyapomaa & Asongu, Simplice Anutechia
- S0275531919308396 The Role of National Culture in International Financial Reporting Standards Adoption
by El-Helaly, Moataz & Ntim, Collins G. & Soliman, Mark
- S0275531919308670 Simultaneous effects of clustering and endogeneity on the underpricing difference of IPO firms: A global evidence
by Jamaani, Fouad & Ahmed, Abdullahi D.
- S0275531919309092 Do non-traditional banking activities reduce bank liquidity creation? Evidence from Vietnam
by Dang, Van Dan
- S0275531919309638 Performance of Canadian banks and oil price movements
by Killins, Robert N. & Mollick, Andre V.
- S0275531919310013 Inter- and intra-regional stock market relations for the GCC bloc
by Ziadat, Salem Adel & Herbst, Patrick & McMillan, David G.
- S0275531919310037 A systematic review of the bubble dynamics of cryptocurrency prices
by Kyriazis, Nikolaos & Papadamou, Stephanos & Corbet, Shaen
- S0275531919310372 Switching due diligence auditor in Chinese mergers and acquisitions
by Bi, XiaoGang & Tang, Judy & Tharyan, Rajesh
- S0275531919310487 Credit rating migration risk and interconnectedness in a corporate lending network
by Kanno, Masayasu
- S0275531919311146 Are stablecoins truly diversifiers, hedges, or safe havens against traditional cryptocurrencies as their name suggests?
by Wang, Gang-Jin & Ma, Xin-yu & Wu, Hao-yu
- S0275531919311201 Profit status of microfinance institutions and incentives for earnings management
by de Oliveira Leite, Rodrigo & dos Santos Mendes, Layla & de Lacerda Moreira, Rafael
- S0275531919311328 Intraday momentum in Chinese commodity futures markets
by Zhang, Wei & Wang, Pengfei & Li, Yi
- S0275531919311511 CEO gender and managerial entrenchment
by Dah, Mustafa A. & Jizi, Mohammad I. & Kebbe, Reem
- S0275531919311559 Are there asymmetric linkages between African stocks and exchange rates?
by Owusu Junior, Peterson & Tweneboah, George
- S0275531919311638 Determinants and consequences of tournament incentives: A survey of the literature in accounting and finance
by Sun, Sophia Li & Habib, Ahsan
- S0275531919311882 Modelling the asymmetric linkages between spot gold prices and African stocks
by Tweneboah, George & Owusu Junior, Peterson & Kumah, Seyram Pearl
- S0275531919312103 Depositors’ trust: Some empirical evidence from Indonesia
by Alamsyah, Halim & Ariefianto, Moch. Doddy & Saheruddin, Herman & Wardono, Seto & Trinugroho, Irwan
- S0275531919312292 Can happiness predict future volatility in stock markets?
by Naeem, Muhammad Abubakr & Farid, Saqib & Faruk, Balli & Shahzad, Syed Jawad Hussain
- S0275531919312334 Influence of geographic distribution on real activities manipulation within consolidated companies: Evidence from Japan
by Yamada, Akihiro & Sakurai, Yuuta & Ishida, Ryo
- S0275531920300088 External financing and earnings management: Evidence from international data
by Zhang, Yuyang & Uchida, Konari & Dong, Liping
- S0275531920300192 Studying the properties of the Bitcoin as a diversifying and hedging asset through a copula analysis: Constant and time-varying
by Garcia-Jorcano, Laura & Benito, Sonia
- S0275531920300350 Short-selling restrictions and firms’ environment responsibility
by Wang, Shuxun & Zhang, Dongyang
- S0275531920300362 The developing influence of Chinese culture on finance: A literature review and case-study illustration
by Tao, Xiaobo & Li, Sijing
- S0275531920300581 Information leakage of ADRs Prior to company issued guidance
by Agapova, Anna & Madura, Jeff & Volkov, Nikanor
- S0275531920300647 Behavioural analysis of socially responsible investment managers: specialists versus non-specialists
by Alda, Mercedes & Vicente, Ruth
- S0275531920300659 Modelling the nonlinear relationship between oil prices, stock markets, and exchange rates in oil-exporting and oil-importing countries
by Chkir, Imed & Guesmi, Khaled & Brayek, Angham Ben & Naoui, Kamel
- S0275531920300714 Does the tea market require a futures contract? Evidence from the Sri Lankan tea market
by Perera, Devmali & Białkowski, Jędrzej & Bohl, Martin T.
- S0275531920300957 Uncertainty and herding behavior: evidence from cryptocurrencies
by Coskun, Esra Alp & Lau, Chi Keung Marco & Kahyaoglu, Hakan
- S0275531920301240 Forecasting Value-at-Risk of Cryptocurrencies with RiskMetrics type models
by Liu, Wei & Semeyutin, Artur & Lau, Chi Keung Marco & Gozgor, Giray
- S0275531920301501 Global uncertainties and portfolio flow dynamics of the BRICS countries
by Çepni, Oğuzhan & Gül, Selçuk & Hacıhasanoğlu, Yavuz Selim & Yılmaz, Muhammed Hasan
- S0275531920301926 Is idiosyncratic volatility priced in cryptocurrency markets?
by Zhang, Wei & Li, Yi
- S0275531920301951 Are insiders equal? Evidence from earnings management in closely held East Asian firms
by Attig, Najah & Chen, Ruiyuan & El Ghoul, Sadok & Guedhami, Omrane & Kwok, Chuck & Pittman, Jeffrey
- S0275531920302129 Predicting firm stock returns with customer stock returns: Moderating effects of customer characteristics
by Shi, Jinyan & Yu, Conghui & Liu, Xiangkun & Li, Yanxi
- S0275531920302300 Bank globalization and efficiency: Host- and home-country effects
by Yin, Haiyan & Yang, Jiawen & Lu, Xing
- S0275531920302415 Microfinance institutions and International Financial Reporting Standards: An exploratory analysis
by Pignatel, Isabelle & Tchakoute Tchuigoua, Hubert
- S0275531920302580 Share buybacks in India
by Dayanandan, Ajit & Donker, Han & Kuntluru, Sudershan & Nofsinger, John
- S0275531920302622 Hail to the chief: The effect of political alignment with the presidency on corporate investment
by Alhashel, Bader S.
- S0275531920303329 Internationalization and the capital structure of firms in emerging markets: Evidence from Latin America before and after the financial crisis
by Melgarejo Duran, Mauricio & Stephen, Sheryl-Ann
- S0275531920303561 The role of internal corporate governance mechanisms on default risk: A systematic review for different institutional settings
by Ballester, Laura & González-Urteaga, Ana & Martínez, Beatriz
- S0275531920303780 Do aggressive orders affect liquidity? An evidence from an emerging market
by Będowska-Sójka, Barbara
- S0275531920304050 Trading performance and market efficiency: Evidence from algorithmic trading
by Syamala, Sudhakara Reddy & Wadhwa, Kavita
- S0275531920304141 Stock markets’ reaction to COVID-19: Cases or fatalities?
by Ashraf, Badar Nadeem
- S0275531920304438 Are cryptocurrencies a safe haven for equity markets? An international perspective from the COVID-19 pandemic
by Conlon, Thomas & Corbet, Shaen & McGee, Richard J.
- S0275531920304682 Trade credit research before and after the global financial crisis of 2008 – A bibliometric overview
by Pattnaik, Debidutta & Hassan, Mohammad Kabir & Kumar, Satish & Paul, Justin
- S0275531920304992 Attention allocation and international stock return comovement: Evidence from the Bitcoin market
by Hu, Yitong & Li, Xiao & Shen, Dehua
- S0275531920307273 The role of global economic conditions in forecasting gold market volatility: Evidence from a GARCH-MIDAS approach
by Salisu, Afees A. & Gupta, Rangan & Bouri, Elie & Ji, Qiang
- S0275531920308539 COVID-19, bar crowding, and the Wisconsin Supreme Court: A non-linear tale of two counties
by Harris, Jeffrey E.
- S027553191830789X Financial crises and the dynamics of the spillovers between the U.S. and BRICS stock markets
by McIver, Ron P. & Kang, Sang Hoon
- S027553191930707X The impact of corporate governance and agency effect on earnings management – A test of the dual banking system
by Alam, Nafis & Ramachandran, Jayalakshmy & Nahomy, Aisha Homy
- S027553192030091X The effects of language and religion on cross-border acquisition completion
by Li, Yanxi & Sai, Qian
- S027553192030297X The conditioning role of performance on the bank risk-taking channel of monetary policy: Evidence from a multiple-tool regime
by Dang, Van Dan & Dang, Van Cuong
- S027553192030310X The impact of off-balance-sheet regulations on bank risk-taking: Evidence from China
by Zhang, Qingjun & Chen, Si & Jin, Yi
- S027553192030475X The role of economic structural factors in determining pandemic mortality rates: Evidence from the COVID-19 outbreak in France
by Goutte, Stéphane & Péran, Thomas & Porcher, Thomas
2020, Volume 53, Issue C
- S0275531917306116 Credit information sharing in the nexus between charter value and systemic risk in Asian banking
by Rusmanto, Toto & Soedarmono, Wahyoe & Tarazi, Amine
- S0275531918310638 Volatility spillovers and hedging effectiveness between the oil market and Eurozone sectors: A tale of two crises
by Belhassine, Olfa
- S0275531918311164 Does Concentrated Founder Ownership Affect Related Party Transactions? Evidence from an Emerging Economy
by Bansal, Shashank & Thenmozhi, M.
- S0275531919300406 Does financial deepening attract foreign direct investment? Fresh evidence from panel threshold analysis
by Liu, Haiyun & Islam, Mollah Aminul & Khan, Muhammad Asif & Hossain, Md Ismail & Pervaiz, Khansa
- S0275531919300960 Entrepreneurs’ passion, home country’s institutional voids and small firm internationalization
by Adomako, Samuel & Amankwah-Amoah, Joseph & Chu, Irene
- S0275531919301205 The role of political patronage in the risk-taking behaviour of banks in the Middle East and North Africa
by Braham, Rihem & de Peretti, Christian & Belkacem, Lotfi
- S0275531919302909 Effects of securitization and covered bonds on bank stability
by Arif, Ahmed
- S0275531919303915 State ownership and adjustment speed toward target leverage: Evidence from a transitional economy
by Nguyen, Thao & Bai, Min & Hou, Greg & Vu, Manh-Chien
- S0275531919304386 The determinants of cash flow sensitivity of cash: The family ownership effect
by Lozano, M. Belén & Yaman, Serhat
- S0275531919304465 Examining the Effect of Globalization on Insurance Activities in Large Emerging Market Economies
by Olasehinde-Williams, Godwin & Balcilar, Mehmet
- S0275531919305033 The effects of board structure on corporate performance: Evidence from East African frontier markets
by Guney, Yilmaz & Karpuz, Ahmet & Komba, Gabriel
- S0275531919305586 The impact of forced divestments on parent company stock prices: Buy on the rumor, sell on the news?
by Restrepo-Ochoa, Diana Constanza & Peña, Juan Ignacio
- S0275531919306439 Bank business models and liquidity creation
by Tran, Dung Viet
- S0275531919307020 Real estate market transparency and default on mortgages
by Gholipour, Hassan F. & Tajaddini, Reza & Pham, Thi Ngoc Tram
- S0275531919307202 Coskewness timing ability in the mutual fund industry
by Wattanatorn, Woraphon & Padungsaksawasdi, Chaiyuth
- S0275531919307822 Does bitcoin co-move and share risk with Sukuk and world and regional Islamic stock markets? Evidence using a time-frequency approach
by Mensi, Walid & Ur Rehman, Mobeen & Maitra, Debasish & Hamed Al-Yahyaee, Khamis & Sensoy, Ahmet
- S0275531919307883 Financial industry lobbying and shareholder litigation outcomes: implications for managers and regulators
by Hassan, Mohammad Kabir & Unsal, Omer & Hippler, William J.
- S0275531919307901 Does high profitability improve stability for European banks?
by Pessarossi, Pierre & Thevenon, Jean-Luc & Weill, Laurent
- S0275531919308037 How does economic policy uncertainty affect the bitcoin market?
by Wang, Pengfei & Li, Xiao & Shen, Dehua & Zhang, Wei
- S0275531919308256 Firms' profit instability and the cross-section of stock returns: Evidence from China
by Yin, Libo & Wei, Ya & Han, Liyan
- S0275531919309249 High-frequency trading and stock liquidity: An intraday analysis
by Ben Ammar, Imen & Hellara, Slaheddine & Ghadhab, Imen
- S0275531919309316 Confucian Culture and Trade Credit: Evidence from Chinese Listed Companies
by Li, Wanli & Xu, Xixiong & Long, Zhineng
- S0275531919309419 Asymmetric volatility spillovers between economic policy uncertainty and stock markets: Evidence from China
by Wang, Ziwei & Li, Youwei & He, Feng
- S0275531919309754 The optimal bid-ask price strategies of high-frequency trading and the effect on market liquidity
by Yang, Haijun & Ge, Hengshun & Luo, Ying
- S0275531919309808 Pricing Efficiency and Arbitrage in the Bitcoin Spot and Futures Markets
by Lee, Seungho & Meslmani, Nabil El & Switzer, Lorne N.
- S0275531919310359 Industry policy, investor sentiment, and cross-industry capital flow: Evidence from Chinese listed companies’ cross-industry M&As
by Hua, Guiru & Zhou, Shuli & Zhang, Shiyun & Wang, Junqiu
- S0275531919310785 The zero-leverage phenomenon: A bivariate probit with partial observability approach
by Morais, Flávio & Serrasqueiro, Zélia & Ramalho, Joaquim J.S.
- S0275531919310876 Effects of uncertainty and risk aversion on the exposure of investment-style factor returns to real activity
by González-Sánchez, Mariano & Nave, Juan & Rubio, Gonzalo
- S0275531919311419 Correlations among cryptocurrencies: Evidence from multivariate factor stochastic volatility model
by Shi, Yongjing & Tiwari, Aviral Kumar & Gozgor, Giray & Lu, Zhou
- S0275531919311845 Uncovering the global network of economic policy uncertainty
by Marfatia, Hardik & Zhao, Wan-Li & Ji, Qiang
- S0275531920300209 Internal conflict and Bank liquidity creation: Evidence from the belt and Road initiative
by Gao, Bo & Li, Junjiang & Shi, Benye & Wang, Xiaojuan
- S027553191930892X Empirical investigation of changes in policy uncertainty on stock returns—Evidence from China’s market
by Chen, Xiaoyu & Chiang, Thomas C.
2020, Volume 52, Issue C
- S0275531918303490 Estimation of conditional asset pricing models with integrated variables in the beta specification
by Antypas, Antonios & Caporale, Guglielmo Maria & Kourogenis, Nikolaos & Pittis, Nikitas
- S0275531918305257 Ethical Investing Has No Portfolio Performance Cost
by Fu, Yufen & Wright, Danika & Blazenko, George
- S0275531918308109 Regulatory reform and market efficiency: The case of Indian agricultural commodity futures markets
by Mohanty, Sunil K. & Mishra, Sibanjan
- S0275531918309784 Do differences in national cultures affect cross-country conditional conservatism behavior under IFRS?
by Guermazi, Walid & Halioui, Khamoussi
- S0275531918309851 Is current institutional quality linked to legal origins and disease endowments? Evidence from Africa
by Emenalo, Chukwunonye O. & Gagliardi, Francesca
- S0275531918309875 Threshold cointegration, nonlinearity, and frequency domain causality relationship between stock price and Turkish Lira
by Kassouri, Yacouba & Altıntaş, Halil
- S0275531918310419 Accrual mispricing: Evidence from European sovereign debt crisis
by Gonçalves, Tiago & Gaio, Cristina & Lélis, Carlos
- S0275531918310663 On the income diversification and bank market power nexus in the MENA countries: Evidence from a GMM panel-VAR approach
by Zouaoui, Haykel & Zoghlami, Feten
- S0275531918310778 The impact of business and political news on the GCC stock markets
by Al-Maadid, Alanoud & Caporale, Guglielmo Maria & Spagnolo, Fabio & Spagnolo, Nicola
- S0275531918311231 Capital regulation, deposit insurance and bank risk: International evidence from normal and crisis periods
by Ashraf, Badar Nadeem & Zheng, Changjun & Jiang, Chonghui & Qian, Ningyu
- S0275531919300054 Earnings management in the pre-IPO process: Biases and predictors
by Premti, Arjan & Smith, Garrett
- S0275531919300455 Causal relationship between spot and futures prices with multiple time horizons: A nonparametric wavelet Granger causality test
by Torun, Erdost & Chang, Tzu-Pu & Chou, Ray Y.
- S0275531919300595 Does financial globalization still spur growth in emerging and developing countries? Considering exchange rates
by Gaies, Brahim & Goutte, Stéphane & Guesmi, Khaled
- S0275531919300601 The fair value of a token: How do markets price cryptocurrencies?
by Nadler, Philip & Guo, Yike
- S0275531919301047 Economic engagement and within emerging markets integration
by Boamah, Nicholas Addai & Akotey, Joseph Oscar & Aaawaar, Godfred
- S0275531919301266 Investors’ risk perceptions in the US and global stock market integration
by Marfatia, Hardik A.
- S0275531919301448 The impact of industrial incidents on stock market volatility
by Corbet, Shaen & Larkin, Charles & McMullan, Caroline
- S0275531919301758 The impact of co-jumps in the oil sector
by Laurini, Márcio Poletti & Mauad, Roberto Baltieri & Aiube, Fernando Antônio Lucena
- S0275531919302405 Community and compensation: Director remuneration in Thailand
by Budsaratragoon, Pornanong & Lhaopadchan, Suntharee & Thomsen, Steen
- S0275531919302570 Systemic risk, economic policy uncertainty and firm bankruptcies: Evidence from multivariate causal inference
by Stolbov, Mikhail & Shchepeleva, Maria
- S0275531919302831 Liquidity risk and stock performance during the financial crisis
by Dang, Tung Lam & Nguyen, Thi Minh Hue
- S0275531919304088 The role of future economic conditions in the cross-section of stock returns: Evidence from the US and UK
by Zhu, Sheng & Gao, Jun & Sherman, Meadhbh
- S0275531919304489 On the role of Islamic and conventional banks in the monetary policy transmission in Malaysia: Do size and liquidity matter?
by Rashid, Abdul & Hassan, M. Kabir & Shah, Muhammad Abdul Rehman
- S0275531919304982 Assessing banking sectors’ efficiency of financially troubled Eurozone countries
by Christopoulos, Apostolos G. & Dokas, Ioannis G. & Katsimardou, Sofia & Spyromitros, Eleftherios
- S0275531919305343 The distributional impact of access to finance on poverty: evidence from selected countries in Sub-Saharan Africa
by Ndlovu, Godfrey & Toerien, Francois
- S0275531919305367 The causal, linear and nonlinear nexus between sectoral FDI and infrastructure in Pakistan: Using a new global infrastructure index
by Rehman, Faheem Ur & Khan, Muhammad Asif & Khan, Muhammad Atif & Pervaiz, Khansa & Liaqat, Idrees
- S0275531919305392 Does innovation and financial constraints affect the propensity to save in emerging markets?
by Machokoto, Michael & Areneke, Geofry
- S0275531919305628 Price discovery in bitcoin futures
by Fassas, Athanasios P. & Papadamou, Stephanos & Koulis, Alexandros
- S0275531919305665 Internal pyramid structure, contract enforcement, minority investor protection, and firms’ performance: Evidence from emerging economies
by Shah, Muhammad Hashim & Xiao, Zuoping & Abdullah, & Quresh, Shakir & Ahmad, Mushtaq
- S0275531919306130 Internet search intensity, liquidity and returns in emerging markets
by Nguyen, Cuong & Hoang, Lai & Shim, Jungwook & Truong, Phuong
- S0275531919306282 Seeking causality between liquidity risk and credit risk: TED-OIS spreads and CDS indexes
by Gunay, Samet
- S0275531919306348 High and low prices and the range in the European stock markets: A long-memory approach
by Caporale, Guglielmo Maria & Gil-Alana, Luis A. & Poza, Carlos
- S0275531919306385 Analysis of brand influence in the rockets and feathers effect using disaggregated data
by Palencia-González, Francisco J. & Navío-Marco, Julio & Juberías-Cáceres, Gema
- S0275531919306415 Independence in bank governance structure: Empirical evidence of effects on bank risk and performance
by Harkin, S.M. & Mare, D.S. & Crook, J.N.
- S0275531919307214 Financial crisis, shareholder protection and cash holdings
by Tran, Quoc Trung
- S0275531919307287 Impact of stock market trading on currency market volatility spillovers
by Baklaci, Hasan Fehmi & Aydoğan, Berna & Yelkenci, Tezer
- S0275531919307433 Predictive power of web search behavior in five ASEAN stock markets
by Sifat, Imtiaz Mohammad & Thaker, Hassanudin Mohd Thas
- S0275531919307639 The forecasting ability of solar and space weather data on NASDAQ’s finance sector price index volatility
by Daglis, Theodoros & Konstantakis, Konstantinos N. & Michaelides, Panayotis G. & Papadakis, Theodoulos Eleftherios
- S0275531919307743 Historical evolution of monthly anomalies in international stock markets
by Plastun, Alex & Sibande, Xolani & Gupta, Rangan & Wohar, Mark E.
- S0275531919308062 High frequency momentum trading with cryptocurrencies
by Chu, Jeffrey & Chan, Stephen & Zhang, Yuanyuan
- S0275531919308074 The role of language connectedness in reducing home bias in trade, investment, information, and people flows
by Konara, Palitha
- S0275531919308347 FRC intervention, financial reporting quality and due diligence
by Yuan, Shuai & Lan, Hao & Seufert, Juergen H.
- S0275531919308530 Is heterogeneous capital depreciation important for estimating firm-level productivity? Evidence from Chinese manufacturing firms
by Cheng, Dong & Yu, Jian & Zhang, Dayong & Zheng, Wenping
- S0275531919308578 Trading behaviour connectedness across commodity markets: Evidence from the hedgers’ sentiment perspective
by Ji, Qiang & Bahloul, Walid & Geng, Jiang-Bo & Gupta, Rangan
- S0275531919308773 Uncertainty and R&D investment: Does product market competition matter?
by Arif Khan, Muhammad & Qin, Xuezhi & Jebran, Khalil & Ullah, Irfan
- S0275531919308888 State ownership and the cost of debt: Evidence from corporate bond issuances in China
by Ge, Yao & Liu, Yangshu & Qiao, Zheng & Shen, Zhe
- S0275531919309304 Is knowledge powerful? Evidence from financial education and earnings quality
by Sun, Hongyan & Yuen, Desmond C.Y. & Zhang, Jiahang & Zhang, Xu
- S0275531919309523 Greenwashing in environmental, social and governance disclosures
by Yu, Ellen Pei-yi & Luu, Bac Van & Chen, Catherine Huirong
- S0275531919310049 Time-frequency dynamics of exchange rates in East Asia
by Kinkyo, Takuji
- S027553191930131X Responsible investment in the Chinese stock market
by Gao, Ya & Xiong, Xiong & Feng, Xu
- S027553191930426X Exploring the causal relationships and allocation puzzle between portfolio investments and real sector growth in Sub-Saharan Africa
by Asamoah, Michael Effah & Alagidede, Imhotep Paul
- S027553191930563X Determinants of hedge fund performance during ‘good’ and ‘bad’ economic periods
by Stafylas, Dimitrios & Andrikopoulos, Athanasios
- S027553191931027X Regime shift, speculation, and stock price
by Du, Ke & Fu, Yishu & Qin, Zhenjiang & Zhang, Shuoxun
2020, Volume 51, Issue C