Content
August 2023, Volume 20, Issue 2
- 479-502 Deglobalization and the value of geographic diversification: evidence from Brexit
by Abongeh A. Tunyi & Tanveer Hussain & Geofry Areneke - 503-545 The impact of CEO attributes on corporate decision-making and outcomes: a review and an agenda for future research
by Christiana Osei Bonsu & Chelsea Liu & Alfred Yawson
May 2023, Volume 20, Issue 2
- 304-333 Is corporate digital transformation a tax haven?
by Wanyi Chen & Fanli Meng - 334-357 Corporate fraud and industry peer effects on IPO underpricing
by Darshana Palkar
June 2023, Volume 20, Issue 2
- 358-376 Strategic working capital management in response to a performance shock: evidence from the NOxBudget Trading Program
by Paula Hearn Moore & Ben Le & Donna L. Paul - 377-405 Identifying the risk culture of banks using machine learning
by Abena Owusu & Aparna Gupta - 406-429 Geopolitical risk and corporate tax behavior: international evidence
by Vishnu K. Ramesh & A. Athira
July 2023, Volume 20, Issue 2
- 430-456 Do emerging market corporates mimic the payout policy of peers?
by Neeraj Jain & Smita Kashiramka - 457-478 Does the S&P index effect differ between large and small company stocks?
by Ernest N. Biktimirov & Yuanbin Xu
September 2023, Volume 20, Issue 2
- 281-303 Dividend policy and firm liquidity under the tax imputation system in Australia
by Min Bai & Yafeng Qin & Feng Bai
October 2023, Volume 20, Issue 2
- 546-577 How does management respond to stock price crashes?
by Suvra Roy & Ben R. Marshall & Hung T. Nguyen & Nuttawat Visaltanachoti
April 2023, Volume 20, Issue 1
- 40-70 Female corporate leadership, institutions and financing constraints around the world
by Charilaos Mertzanis & Hazem Marashdeh & Sania Ashraf - 71-93 The effects of debt liquidity risk on firms' growth rate
by Zilong Liu & Hongyan Liang & Chang Liu - 94-118 Are young CEOs a better match for young firms? Evidence from age, firm performance and CEO compensation
by Snow Xue Han
March 2023, Volume 20, Issue 1
- 1-19 Blockholder ownership and corporate cash holdings: evidence from European firms
by Abdulaziz Ahmed Alomran - 20-39 Cross-listing and noncompliance with the mandatory CSR expenditure regulation
by Satish Kumar & Geeta Singh - 247-277 Earnings quality, institutional investors and corporate cash holdings: evidence from India
by Swechha Chada & Gopal Varadharajan
May 2023, Volume 20, Issue 1
- 119-146 Monetary policy, macroeconomic uncertainty and corporate liquid asset demand: a firm-level analysis for India
by Pragati Priya & Chandan Sharma - 147-167 Gender diversity of directors and financial performance: is there a business case?
by Subba Reddy Yarram & Sujana Adapa - 168-191 Mandatory CSR disclosure and CEO pay performance sensitivity in China: evidence from a quasi-natural experiment
by Siwen Song & Adrian (Wai Kong) Cheung & Aelee Jun & Shiguang Ma - 192-221 Managerial ownership and financial distress: evidence from the Chinese stock market
by Yuan George Shan & Indrit Troshani & Jimin Wang & Lu Zhang - 222-246 The nexus between economic policy uncertainty and access to finance: a study of developing countries
by Omar Farooq & Imad Jabbouri & Maryem Naili
February 2023, Volume 19, Issue 5
- 1098-1123 CEO marital status and capital allocation efficiency
by Md Noman Hossain & Md Nazmul Hasan Bhuyan - 1124-1146 Investigation of the multi-layers of imprinting on corporate working capital management
by Zagdbazar Davaadorj & Bolortuya Enkhtaivan & Jamie Weathers - 1147-1177 Is this rating worth it? The benefits of credit ratings in the dynamic tradeoff model
by Karolina Krystyniak & Viktoriya Staneva - 1178-1202 Bankruptcy law, creditors' rights and dividend policy: evidence from a quasi-natural experiment
by Nemiraja Jadiyappa & Ram Kumar Kakani - 1203-1224 Signaling or tunneling: the dividend policies of Chinese ADRs listed in the US
by Kevin M. Zhao
December 2022, Volume 19, Issue 5
- 1024-1052 Testing of coherence between monetary policy stimulus, financial flexibility and profitability of manufacturing firms
by Ajaya Kumar Panda & Swagatika Nanda & Apoorva Hegde - 1053-1075 Earnings management and underperformance after seasoned equity offerings: a cross-country study
by Solomon Opare & Muhammad Houqe & Tony van Zijl - 1076-1097 Executive pay disparity and cost of debt financing
by Hsin-I Chou & Xiaofei Pan & Jing Zhao
November 2022, Volume 19, Issue 5
- 1002-1023 Clustering of percentage gross spreads and the avoidance of underwriter switching
by Chin-Chong Lee & Shaw Warn Too & Kuan San Ooi
October 2022, Volume 19, Issue 5
- 977-1001 Risk mitigation effect of foreign debt: evidence from loan pricing
by Yane Chandera
July 2022, Volume 19, Issue 4
- 713-743 Impact of financial distress on investment-cash flow sensitivity: evidence from emerging economy
by Gaurav Gupta & Jitendra Mahakud - 744-771 Debt dynamic, debt dispersion and corporate governance
by Daniel Tut
September 2022, Volume 19, Issue 4
- 831-852 Strategic deviance and trade credit
by Harshali Damle & Rajesh Kumar Sinha - 853-889 State control and stock price crash risk: new evidence of the conservatism of state-owned enterprises
by Feng Xie & Hamish D. Anderson & Jing Chi & Jing Liao - 890-909 International evidence on the relationship between corporate ethics and dividend policy
by Omar Farooq & Neveen Ahmed - 910-929 How are economic policy uncertainty shocks transmitted to capital structure? Chinese evidence
by Xiao-Ming Li & Mei Qiu - 930-949 Uncertainty, bank opacity, and market structure
by Van Dan Dang & Hoang Chung Nguyen - 950-974 Audit quality and liquidity policy
by Mohammad Hendijani Zadeh
August 2022, Volume 19, Issue 4
- 772-802 Market integration and volatility spillover across major East Asian stock and Bitcoin markets: an empirical assessment
by Hongjun Zeng & Abdullahi D. Ahmed - 803-830 Does economic policy uncertainty affect bank profitability?
by Peterson K. Ozili & Thankom G. Arun
April 2022, Volume 19, Issue 3
- 473-490 Does organizational form really matter to investment firms?
by XiaoXiao Han & Skander Lazrak & Samir Trabelsi
June 2022, Volume 19, Issue 3
- 583-614 Robust market timing tests of Canadian hybrid mutual funds
by Mohamed A. Ayadi & Anis Chaibi & Lawrence Kryzanowski - 615-644 The influence of corporate governance on the performance of family-controlled firms: exploring the effects of legal jurisdiction
by Ella Guangxin Xu & Joey W. Yang & Yuan George Shan & Chris Graves
July 2022, Volume 19, Issue 3
- 645-669 A multi-country study of factors and threshold values affecting sovereign debt-taking behavior
by Reza Tahmoorespour & Mohamed Ariff & Yaasmin Farzana Abdul Karim & Kian Tek Lee & Sharon Dharsini Anthony - 670-690 IFRS experience and earnings quality in the GCC region
by Nasser S. Kh. Al-Enzy & Reza Monem & Shamsun Nahar - 691-711 Stock price crash risk and the adoption of poison pills: evidence from Brazil
by Yuri Gomes Paiva Azevedo & Lucas Allan Diniz Schwarz & Hellen Bomfim Gomes & Marcelo Augusto Ambrozini
May 2022, Volume 19, Issue 3
- 491-518 Powerful political corporate appointments and firm bribery channels
by Hamish D. Anderson & Jing Liao & Jingjing Yang & Martin Young - 519-538 Firm-level political risk and corporate innovation: evidence from US listed firms
by Huson Ali Ahmed & Mohammad Badrul Muttakin & Arifur Khan - 539-571 CFO credentials, stock market signaling, and firm performance
by Sudip Datta & Trang Doan & Abhijit Guha & Mai Iskandar-Datta & Min-Jeong Kwon - 572-582 Portfolio weights concentration: optimal strategies and equilibrium implications
by Paskalis Glabadanidis
March 2022, Volume 19, Issue 2
- 331-350 Bank stock valuation theories: do they explain prices based on theories?
by Ken-Yien Leong & Mohamed Ariff & Zarei Alireza & M. Ishaq Bhatti - 385-420 Responses in divergence of opinion to earnings announcements: evidence from American depository receipts
by Fanglin Shen & Quantong Guo & Hongyan Liang & Zilong Liu - 421-445 Options trading prior to takeover rumors
by Hamed Khadivar & Frederick Davis & Thomas Walker
February 2022, Volume 19, Issue 2
- 233-247 Manager see manager do: the impact of geographic herding on corporate social responsibility
by John Nofsinger & Fernando M. Patterson & Corey Shank - 248-268 Do analysts cater to investor information demand?
by Benjamin Jansen & Md Miran Hossain & Jon Taylor - 269-290 Executive compensation linked to corporate social responsibility and firm risk
by Lucia Gao & Shahbaz Sheikh & Hong Zhou - 291-307 Effect of debt structure concentration on the investment–cash flow sensitivity of Brazilian companies
by João Paulo Augusto Eça & Wilson Tarantin Júnior & Maurício Ribeiro do Valle - 308-330 Does gold–platinum price ratio predict stock returns? International evidence
by Dezhong Xu & Bin Li & Tarlok Singh - 351-384 The impact of hiring local managers on foreign venture capital performance: evidence from China
by Wanyi Chen & Qingchuan Hou & Gary Tian & Lanfang Wang
April 2022, Volume 19, Issue 2
- 446-469 Stock return synchronicity in a weak information environment: evidence from African markets
by Anthony Kyiu & Edward Jones & Hao Li
February 2022, Volume 19, Issue 1
- 203-232 Testing factor models in an emerging market: evidence from India
by Kewal Singh & Anoop Singh & Puneet Prakash
January 2022, Volume 19, Issue 1
- 88-107 Stock derivatives and seasoned equity offerings
by Robert Martin Hull & Sungkyu Kwak & Rosemary Walker - 108-135 The impact of institutional factors on corporate mechanism of cash adjustment – New evidence from emerging Asia
by Santanu Das & Ashish Kumar & Asit Bhattacharyya - 136-154 The impact of natural disasters on the performance and solvency of US banks
by Thomas Walker & Yixin Xu & Dieter Gramlich & Yunfei Zhao - 155-172 The effect of investor sentiment and the structure of shareholder ownership on corporate investment
by Hui Li & Bruce Grundy - 173-202 Investors' responses to macroeconomic news: the role of mandatory derivatives and hedging activities disclosure
by Abiot Tessema & Ghulame Rubbaniy
May 2022, Volume 18, Issue 4
- 701-724 Whether corporate green bonds act as armour during crises? Evidence from a natural experiment
by Garima Sisodia & Anto Joseph & James Dominic
July 2022, Volume 18, Issue 4
- 756-782 The best-fitting model(s) of equal risk contribution: evidence from environmental-friendly portfolio
by Bayu Adi Nugroho
April 2022, Volume 18, Issue 4
- 661-676 Do stock markets value green operations? Evidence from India
by Nemiraja Jadiyappa & Raveesh Krishnankutty - 677-700 Board characteristics and environmental disclosures: evidence from sensitive and non-sensitive industries of India
by P.S. Raghu Kumari & Harnesh Makhija & Dipasha Sharma & Abhishek Behl
June 2022, Volume 18, Issue 4
- 725-755 Revisiting the financial market interdependence during COVID-19 times: a study of green bonds, cryptocurrency, commodities and other financial markets
by Amar Rao & Mansi Gupta & Gagan Deep Sharma & Mandeep Mahendru & Anirudh Agrawal
February 2022, Volume 18, Issue 4
- 617-638 Multinational enterprises’ internationalization and adoption of sustainable development goals
by Ranjan DasGupta & Satish Kumar & Rajesh Pathak - 639-660 Do global factors drive the interconnectedness among green, Islamic and conventional financial markets?
by Sitara Karim & Muhammad Abubakr Naeem
December 2021, Volume 19, Issue 1
- 22-47 Debt structure: a solution to the puzzle of capital structure
by Ehsan Poursoleyman & Gholamreza Mansourfar & Sazali Abidin - 48-62 Corporate risk-taking after changes in credit rating
by Hardjo Koerniadi - 63-87 Does corporate social responsibility transparency mitigate corporate cash holdings?
by Mohammad Hendijani Zadeh & Michel Magnan & Denis Cormier & Ahmad Hammami
November 2021, Volume 19, Issue 1
- 1-21 Corporate governance and innovation investment in publicly listed firms: the moderating effect of ownership type and legal jurisdiction
by Ella Guangxin Xu & Chris Graves & Yuan George Shan & Joey W. Yang
November 2021, Volume 18, Issue 5
- 997-1027 Role of educational, regional and religious attributes of CEOs in performance of Indian family firms
by Ranjan DasGupta & Rajesh Pathak
October 2021, Volume 18, Issue 5
- 888-919 Employee mistreatment and information asymmetry
by Omer Unsal - 920-943 Valuation of short-lived firms following waves of new listings
by Yoshie Saito - 944-978 Did the STOCK Act impact the performance, risk and flow of hedge funds?
by Laleh Samarbakhsh & Meet Shah - 979-996 Bank stability, credit information sharing and a shift toward households' lending: international evidence
by Tu D.Q. Le & Dat T. Nguyen
August 2021, Volume 18, Issue 5
- 812-832 Are social connections of independent directors all the same? Evidence from corporate monitoring
by Zhe Li & Emre Unlu & Julie Wu
December 2021, Volume 18, Issue 5
- 785-811 Stock returns, oil prices and leverage: evidence from US firms
by Md Ruhul Amin & Andre Varella Mollick
September 2021, Volume 18, Issue 5
- 833-868 CEO pay slice and acquisitions in Australia: the role of tournament incentives
by Hoa Luong & Abeyratna Gunasekarage & Syed Shams - 869-887 Mutual fund manager turnover: an empirical investigation of performance
by Avinash Ghalke & Shripad Kulkarni
July 2021, Volume 18, Issue 3
- 425-444 Nonlinear linkages between bank asset quality and profitability: evidence from dynamic and quantile approaches using a global sample
by Faisal Alqahtani & Besma Hamdi & Michael Skully - 445-465 Informational content of options around analyst recommendations
by Qingxia Wang & Robert Faff & Min Zhu - 466-487 Board independence and private information-based trading: evidence from Malaysia
by Jiunn-Shyan Khong & Chee-Wooi Hooy & Chun-Teck Lye - 488-509 Is the new issue puzzle real? Evidence from implied cost of capital
by Snow Han - 510-533 Individual investors' responses to mutual fund fire sales and sell-side analysts' price-correcting revisions
by Jinglin Jiang & Weiwei Wang - 534-561 How do founder-CEOs sell their remaining ownership shares? Theory and evidence
by Xu Niu
August 2021, Volume 18, Issue 3
- 562-593 Financial expert CEOs, political intervention, and corporate investment decisions: evidence from the anti-corruption campaign
by Hamish D. Anderson & Jing Liao & Shuai Yue - 594-612 Information search in times of market uncertainty: an examination of aggregate and disaggregate uncertainty
by Marshall A. Geiger & Rajib Hasan & Abdullah Kumas & Joyce van der Laan Smith
June 2021, Volume 18, Issue 2
- 336-364 Confidentiality in loan credit agreements
by Ca Nguyen & Alejandro Pacheco - 365-397 Innovation intensity of military-connected firms
by Iman Harymawan & Fajar Kristanto Gautama Putra & Amalia Rizki & Mohammad Nasih - 398-423 Corporate risk-taking with long-term, short-term and subordinate credit ratings
by Dror Parnes
May 2021, Volume 18, Issue 2
- 286-316 Board performance and its relation to dividend payout: evidence from Malaysia
by Ravichandran Subramaniam & Mahenthiran Sakthi - 317-335 The firm growth-cash flow sensitivity: do financial constraints matter?
by Abdul Rashid & Mahir Ahmed Hersi
April 2021, Volume 18, Issue 2
- 261-285 The stability of dividends and its predictability: a cross-country analysis
by Rajesh Pathak & Ranjan Das Gupta
February 2021, Volume 18, Issue 2
- 205-221 The effect of independent directors' financial expertise on the use of private information in setting bank CEO bonuses
by Guoping Liu & Jerry Sun - 222-239 Bank-appointed directors and idiosyncratic volatility: evidence from India
by Nemiraja Jadiyappa & Anto Joseph & Garima Sisodia
March 2021, Volume 18, Issue 2
- 240-260 Capital structure and earnings quality in microfinance institutions
by Naima Lassoued
February 2021, Volume 18, Issue 1
- 156-180 Threat of hostile takeover and the cost of seasoned equity offerings
by Ali Sheikhbahaei & Syed Shams - 181-201 The flexibility of corporate payouts vis-à-vis capital investment: some UK evidence
by Ioannis Chasiotis & Andreas G. Georgantopoulos
January 2021, Volume 18, Issue 1
- 138-155 When no news is good news: failing to increase dividends
by David Michayluk & Karyn Neuhauser & Scott Walker
December 2020, Volume 18, Issue 1
- 1-27 Tax avoidance and stock price crash risk: mitigating role of managerial ability
by Mukesh Garg & Mehdi Khedmati & Fanjie Meng & Prabanga Thoradeniya - 28-48 Do corporate social responsibility disclosures influence investment efficiency in the emerging markets of Asia?
by Farah Zamir & Greg Shailer & Abubakr Saeed - 49-74 Corporate social responsibility and corporate payout policy: the impact of product market competition
by Shahbaz Sheikh - 75-93 Banking sector earnings management using loan loss provisions in the Fintech era
by Peterson K. Ozili - 94-117 Heterogeneous firm-level responses to the US 2018 tariff announcement
by Yafeng Qin & Zikai Yang & Min Bai - 118-137 Institutional blockholders and the variability of firm performance
by Peng Huang & Yue Lu
November 2020, Volume 17, Issue 5
- 757-782 Price premium of private placement: evidence from India
by Supriya Katti & Naval Verma & B.V. Phani & Chinmoy Ghosh - 783-801 Corporate cash holdings, firm performance and national governance: evidence from emerging markets
by Imad Jabbouri & Hamza Almustafa
December 2020, Volume 17, Issue 5
- 687-707 Group affiliation and corporate debt maturity: Co-insurance or expropriation
by Jagan Kumar Sur & Yogesh Chauhan - 733-756 Investment–cash flow sensitivity around the crisis: are African firms different?
by Michael Machokoto & Ngozi Ibeji & Chimwemwe Chipeta
October 2020, Volume 17, Issue 5
- 665-686 Gender diversity: the corporate social responsibility and financial performance nexus
by Humyra Jabeen Bristy & Janice How & Peter Verhoeven - 708-732 The effect of corporate social responsibility transparency on corporate payout policies
by Mohammad Hendijani Zadeh
October 2020, Volume 17, Issue 4
- 568-588 Political uncertainty and the choice of external audit: international evidence from private firms
by Omar Farooq & Harit Satt & Basma El Fadel - 640-661 Dividend policy and probability of extreme returns
by Mohammed Bouaddi & Omar Farooq & Neveen Ahmed
September 2020, Volume 17, Issue 4
- 522-544 Military veterans on the board and executive compensation
by Zhe Li & Megan Rainville - 545-567 Investigating the relationship between working capital management and business performance: evidence from the 2008 financial crisis of EU-28
by Ali İhsan Akgün & Ayyüce Memiş Karataş - 619-639 Monetary policy, bank leverage and liquidity
by Van Dan Dang & Khac Quoc Bao Nguyen
December 2020, Volume 17, Issue 4
- 497-521 Investor behavior, stock returns and CDS spreads: evidence from foreign and domestic investors in Korea
by Jin Young Yang & Aristeidis Samitas & Ilias Kampouris - 589-618 CEO's education and investment–cash flow sensitivity: an empirical investigation
by Gaurav Gupta & Jitendra Mahakud & Vivek Verma
September 2020, Volume 17, Issue 3
- 478-493 Comparing sentiment measures in mutual fund performance
by Qiang Bu & Jeffrey Forrest
August 2020, Volume 17, Issue 3
- 416-437 Overreaction effect: evidence from an emerging market (Shanghai stock market)
by Krishna Reddy & Muhammad Ali Jibran Qamar & Nawazish Mirza & Fangwei Shi - 455-477 Working capital management and managerial talent
by Nacasius U. Ujah & Augustine Tarkom & Collins E. Okafor
July 2020, Volume 17, Issue 3
- 361-376 A tale of two emerging market economies: evidence from payout smoothing in China and Taiwan
by Edward C. Hoang & Indrit Hoxha - 377-400 Crash risk and debt maturity: evidence from Australia
by Mostafa Hasan & Dewan Rahman & Grantley Taylor & Barry Oliver - 401-415 The preventive effect of hedge fund activism: investment, CEO compensation and payout policies
by Caroline Heqing Zhu - 438-454 The relationship between financial risk management and succession planning in family businesses
by George Mihaylov & Ralf Zurbruegg
July 2020, Volume 17, Issue 2
- 327-341 Returns and volatility spillovers among cryptocurrency portfolios
by Ismail Olaleke Fasanya & Oluwatomisin Oyewole & Temitope Odudu
June 2020, Volume 17, Issue 2
- 185-213 Social media posts and stock returns: The Trump factor
by Carl Ajjoub & Thomas Walker & Yunfei Zhao - 214-236 Managerial optimism and corporate cash holdings
by Ly Thi Hai Tran & Thoa Thi Kim Tu & Thao Thi Phuong Hoang - 237-255 Does earnings transparency affect corporate payout decisions?
by Yogesh Chauhan & Rajesh Pathak - 256-281 Digital corporate reporting and value relevance: evidence from the US and Japan
by Yuan George Shan & Indrit Troshani - 282-302 Creditors' governance, information asymmetry and debt diversification: evidence from India
by Nemiraja Jadiyappa & Garima Sisodia & Anto Joseph & Santosh Shrivastsava & Pavana Jyothi - 303-326 Too far east is west: tax risk, tax reform and investment timing
by Wanyi Chen - 342-357 Corporate payout policy: does product market competition matter? Evidence from Australia
by Hai-yen Pham & Richard Chung & Ben-Hsien Bao & Byung-Seong Min
May 2020, Volume 17, Issue 1
- 25-48 Social media visibility, investor diversity and trading consensus
by Rajib Hasan & Weiwei Wang - 118-137 Inadequately educated workforce and financing obstacles: international evidence from SMEs in developing countries
by Imad Jabbouri & Omar Farooq
April 2020, Volume 17, Issue 1
- 1-24 How multiple large shareholders affect bank profitability under the dispersion and the coalition hypotheses? An insight from the MENA region
by Rim Boussaada & Abdelaziz Hakimi - 49-71 Market response towards different types of politically connected firms during political events: evidence from Malaysia
by Wai-Yan Wong & Chee-Wooi Hooy
July 2020, Volume 17, Issue 1
- 72-96 Proprietary information and the cost of bank debt
by HyunJun Na
June 2020, Volume 17, Issue 1
- 97-117 Employee performance and corporate cash holdings
by Ryan Flugum & Joel Harper & Li Sun - 138-165 Financial performance and safety in the aviation industry
by Pedram Fardnia & Thomas Kaspereit & Thomas Walker & Sizhe Xu
July 2020, Volume 16, Issue 5
- 549-574 Cost efficiency and welfare performance of banks: evidence from an emerging economy
by David Adeabah & Charles Andoh
April 2020, Volume 16, Issue 5
- 575-598 Executive compensation and corporate social responsibility: does a golden parachute matter?
by Collins E. Okafor & Nacasius U. Ujah - 623-643 Income diversification and cost-efficiency of Vietnamese banks
by Phong Hoang Nguyen & Duyen Thi Bich Pham - 645-671 Product market competition, oil uncertainty and corporate investment
by Hussein Abdoh & Aktham Maghyereh - 673-698 Audit quality, political connections and information asymmetry: evidence from banks in gulf co-operation council countries
by Abiot Tessema
June 2020, Volume 16, Issue 5
- 599-622 The role of agency costs in the voluntary adoption of XBRL-based financial reporting
by Michael De Martinis & Mehdi Khedmati & Farshid Navissi & Mohammed Aminu Sualihu & Zakiya Tofik-Abu
March 2020, Volume 16, Issue 4
- 433-454 Credit access, tax structure and the performance of Malaysian manufacturing SMEs
by Calvin W.H. Cheong & Miin Huui Lee & Marc Arul Weissmann
May 2020, Volume 16, Issue 4
- 481-500 Income structure, diversification strategy and owners’ benefit in cooperative financial institutions
by Hoang Van Cuong & Hiep Ngoc Luu & Loan Quynh Thi Nguyen & Vu Tuan Chu
April 2020, Volume 16, Issue 4
- 455-479 Lending relationships, credit ratings and bank loan spreads: evidence from Indonesian listed companies
by Yane Chandera & Lukas Setia-Atmaja - 501-524 Financial restatements and sell-side analysts' stock recommendations: evidence from Malaysia
by Ameen Qasem & Norhani Aripin & Wan Nordin Wan-Hussin - 525-546 CEO inside debt and corporate social responsibility
by Shahbaz Sheikh
January 2020, Volume 16, Issue 3
- 316-333 The mediation role of public governance in the relationship between entrepreneurship and economic growth
by Allam Mohammed Hamdan & Reem Khamis & Ammar Abdulla Al Hawaj & Elisabetta Barone - 357-371 Dynamic connectedness between Bitcoin and equity market information across BRICS countries
by Ahmed Mohamed Dahir & Fauziah Mahat & Bany-Ariffin Amin Noordin & Nazrul Hisyam Ab Razak - 372-392 On the dynamic relationship between gold investor sentiment index and stock market
by Chaiyuth Padungsaksawasdi - 393-411 The effects of accounting conservatism on executive compensation
by Hui Li & Darren Henry & Xiaohui Wu
September 2019, Volume 17, Issue 1
- 166-183 Do minority shareholders benefit from parent-subsidiary mergers?
by Hardjo Koerniadi & Alireza Tourani-Rad
December 2019, Volume 16, Issue 4
- 413-431 Bank loan loss provisioning during election years: cross-country evidence
by Peterson K. Ozili
December 2019, Volume 16, Issue 3
- 297-315 The impact of financial and economic crisis on leverage: the case of Icelandic private firms
by Twahir Khalfan & Stefan Wendt - 334-356 Behavior of investor flows in Israeli provident funds
by Ofer Arbaa & Eva Varon
October 2019, Volume 16, Issue 2
- 253-272 Impact of ownership structure and ownership concentration on credit risk of Chinese commercial banks
by Yang Liu & Sanjukta Brahma & Agyenim Boateng
December 2019, Volume 16, Issue 2
- 182-202 Why discontinue operations? Interrelated elements of the corporate focus hypothesis
by Richard A. Lord & Yoshie Saito
November 2019, Volume 16, Issue 2
- 165-181 Audit quality and real earnings management: evidence from the UK manufacturing sector
by R.P. Sitanggang & Yusuf Karbhari & Bolaji Tunde Matemilola & M. Ariff
September 2019, Volume 16, Issue 2
- 141-164 Timing the market with own stock: an extensive analysis with buying and selling evidence
by Dinis Daniel Santos & Paulo Gama - 203-223 Profits, financial leverage and corporate governance
by Umar Butt - 224-252 Determinants of bank shareholder value: evidence from GCC countries
by Abdulazeez Y.H. Saif-Alyousfi - 273-296 Bank mergers and acquisitions in Greece: the financial crisis and its effect on shareholder wealth
by Ioannis Tampakoudis & Michail Nerantzidis & Demetres Subeniotis & Apostolos Soutsas & Nikolaos Kiosses
September 2019, Volume 16, Issue 1
- 101-119 Bond liquidity, risk taking and corporate innovation
by Ha D. Nguyen & Huong T.H. Dang
October 2019, Volume 16, Issue 1
- 61-82 Managed earnings, prior cost of capital, and firm location
by Nacasius Ujah Ujah & Collins E. Okafor - 83-100 The role of audit quality in preventing firm misreporting: empirical evidence from China
by Loan Quynh Thi Nguyen & Duong Thuy Le & Hiep Ngoc Luu & Anh Huu Nguyen & Thinh Gia Hoang
August 2019, Volume 16, Issue 1
- 120-138 Bank diversification and performance in an emerging market
by King Carl Tornam Duho & Joseph Mensah Onumah & Raymond Agbesi Owodo
June 2019, Volume 16, Issue 1
- 1-20 Mutual fund trading around mergers and fund performance
by Margarita Kaprielyan & Md Miran Hossain & Charles Armah Danso - 21-48 Agency costs of board connections and director retention: evidence from UK takeovers
by Hao Li & Edward Jones & Pierre de Gioia Carabellese - 49-60 Assessing the risk of the European Union carbon allowance market
by Anupam Dutta & Naji Jalkh & Elie Bouri & Probal Dutta
June 2019, Volume 15, Issue 5
- 688-699 Valuing firm’s financial flexibility under default risk and bankruptcy costs: a WACC based approach
by Carlo Mari & Marcella Marra
April 2019, Volume 15, Issue 5
- 669-687 Corporate debt maturity and economic development
by Celia Álvarez-Botas & Víctor M. González-Méndez
May 2019, Volume 15, Issue 5
- 700-718 Market risk, corporate governance, and the regulation during the recent financial crisis
by Mouna Aloui & Bassem Salhi & Anis Jarboui - 719-743 Signalling IPO quality through female directors
by Bazeet Olayemi Badru & Nurwati A. Ahmad-Zaluki & Wan Nordin Wan-Hussin - 744-770 Trade credit, firm profitability, and financial constraints
by Huan Cong Hoang & Qin Xiao & Saeed Akbar - 771-791 Board gender diversity and US corporate bonds
by Renee M. Oyotode-Adebile & Zubair Ali Raja - 792-812 Market reactions to changes in the Dow Jones industrial average index
by Ernest N. Biktimirov & Yuanbin Xu - 813-828 Board structure and financial distress in Brazilian firms
by Guilherme Freitas Cardoso & Fernanda Maciel Peixoto & Flavio Barboza - 829-857 Aggressive tax planning and stock price synchronicity: evidence from China
by Hua Feng & Ahsan Habib & Gao liang Tian - 858-888 Bankruptcy protection duration and outcome of Canadian public firms
by Mohamed A. Ayadi & Skander Lazrak & Dan Xing
May 2019, Volume 15, Issue 4
- 593-610 Stock price movements and trading behaviors around merger and acquisition announcements
by Jin Young Yang & Reuben Segara & Jingwei Feng
June 2019, Volume 15, Issue 4
- 478-491 Capital market development and bank efficiency: a cross-country analysis
by Thanh Ngo & Tu Le
March 2019, Volume 15, Issue 4
- 425-443 Funding structure and technical efficiency
by Daniel Ofori-Sasu & Joshua Yindenaba Abor & Lord Mensah - 464-477 Working capital financing, firm performance and financial constraints
by Nufazil Altaf & Farooq Ahmad - 492-510 Corporate cash holding during crisis and beyond: what matters the most
by Ranajee Ranajee & Rajesh Pathak - 546-563 Executive compensation of immigrant-founder firms in the USA
by Chialing Hsieh & Vivek Pandey & Hongxia Wang
April 2019, Volume 15, Issue 4
- 406-424 Financial access and economic development: the moderating role of financial consumer protection
by Maryam Kriese & Joshua Yindenaba Abor & Elikplimi Agbloyor