Content
2024, Volume 7, Issue 2
- 113-134 A systematic literature network analysis of the development of behavioural accounting research
by Valentina Minutiello & Patrizia Tettamanzi - 113-134 A systematic literature network analysis of the development of behavioural accounting research
by Valentina Minutiello & Patrizia Tettamanzi - 135-152 Impact of business education of owners and financial support on investment in socially responsible ventures
by Amarjit Gill & Harvinder S. Mand & Neil Mathur - 135-152 Impact of business education of owners and financial support on investment in socially responsible ventures
by Amarjit Gill & Harvinder S. Mand & Neil Mathur - 153-176 Determinants of investment behaviour of investors: a review and research agenda
by Rakhi Arora & Sonal Purohit - 153-176 Determinants of investment behaviour of investors: a review and research agenda
by Rakhi Arora & Sonal Purohit - 177-192 Corporate governance as a cornerstone of transparency and trust: empirical evidence from GCC firms
by Abdullah E. Alajmi & Rasheed Alrashidi - 177-192 Corporate governance as a cornerstone of transparency and trust: empirical evidence from GCC firms
by Abdullah E. Alajmi & Rasheed Alrashidi - 193-213 Analysing the influence of prospect factors on Indian retail investors' investment decisions
by Arjun Hans & Farah S. Choudhary - 193-213 Analysing the influence of prospect factors on Indian retail investors' investment decisions
by Arjun Hans & Farah S. Choudhary - 214-232 Does market sentiment affect IPO pricing?
by Cynthia J. Campbell & Yan Du & S. Ghon Rhee & Ning Tang - 214-232 Does market sentiment affect IPO pricing?
by Cynthia J. Campbell & Yan Du & S. Ghon Rhee & Ning Tang
2023, Volume 7, Issue 1
- 1-23 Does any behavioural bias prevail while making investment decisions in mutual fund?
by Farana Kureshi & Viral Bhatt & Priyanka Bhatt - 1-23 Does any behavioural bias prevail while making investment decisions in mutual fund?
by Farana Kureshi & Viral Bhatt & Priyanka Bhatt - 24-40 Diversity at work: how relational demography and influence tactics impact the effectiveness of leaders
by Thomas D'Angelo & Marco Lam & Heidi Dent & Martin Kissler & Julia Goldsmith - 24-40 Diversity at work: how relational demography and influence tactics impact the effectiveness of leaders
by Thomas D'Angelo & Marco Lam & Heidi Dent & Martin Kissler & Julia Goldsmith - 41-54 The control of risk in financial decisions: illusion or reality?
by Antonio D'Amato & Emiliano Mastrolia - 41-54 The control of risk in financial decisions: illusion or reality?
by Antonio D'Amato & Emiliano Mastrolia - 55-85 Herding behaviour and investor's sentiment: evidence from the Chinese Stock Market
by Nait Bouzid Khalil & Rabiai Sara & Inariten Soraya & Bakri Widad - 55-85 Herding behaviour and investor's sentiment: evidence from the Chinese Stock Market
by Nait Bouzid Khalil & Rabiai Sara & Inariten Soraya & Bakri Widad - 86-111 Family business: the role of target non-financial characteristics in M%A activities: an explanatory analysis of the Italian context
by Anastasia Giakoumelou & Beatrice Sciarra & Felice Petruzzella - 86-111 Family business: the role of target non-financial characteristics in M%A activities: an explanatory analysis of the Italian context
by Anastasia Giakoumelou & Beatrice Sciarra & Felice Petruzzella
2022, Volume 6, Issue 4
- 281-295 The influence of investor sentiment on stock prices among industries in the US
by Tantatape Brahmasrene & Donna Whitten - 281-295 The influence of investor sentiment on stock prices among industries in the US
by Tantatape Brahmasrene & Donna Whitten - 296-310 Relationship between economic performance and capital structure: some empirical evidence
by Pietro Pavone - 296-310 Relationship between economic performance and capital structure: some empirical evidence
by Pietro Pavone - 311-332 Asia-pacific financial market inefficiency: evidence through behavioural models
by Nahed Zghidi - 311-332 Asia-pacific financial market inefficiency: evidence through behavioural models
by Nahed Zghidi - 333-347 The impact of IFRS convergence on key financial indicators of Public Sector Undertakings listed on NSE, India
by Mohammed Anam Akhtar & Khurram Ajaz Khan & Pankaj Kumar Tripathi - 333-347 The impact of IFRS convergence on key financial indicators of Public Sector Undertakings listed on NSE, India
by Mohammed Anam Akhtar & Khurram Ajaz Khan & Pankaj Kumar Tripathi - 348-366 Gender diversity, country norms and capital markets post-COVID-19
by Dobrina Jandik - 348-366 Gender diversity, country norms and capital markets post-COVID-19
by Dobrina Jandik
2021, Volume 6, Issue 3
- 189-208 Culture and earnings quality in cross-border acquisitions
by Jagjit S. Saini & Gaurav Kumar & Jim P. DeMello - 189-208 Culture and earnings quality in cross-border acquisitions
by Jagjit S. Saini & Gaurav Kumar & Jim P. DeMello - 209-224 Attitudes toward tax evasion: a comparative study of France and Japan
by Robert W. McGee & Mohsen Souissi & Hani Tadros - 209-224 Attitudes toward tax evasion: a comparative study of France and Japan
by Robert W. McGee & Mohsen Souissi & Hani Tadros - 225-242 Impact of behavioural dispositions on risk endurance of individual investors: an application of multiple discriminant analysis
by Renuka Sharma - 225-242 Impact of behavioural dispositions on risk endurance of individual investors: an application of multiple discriminant analysis
by Renuka Sharma - 243-261 Financial literacy, investment behaviour and socio-demographic variables: evidence from India
by Kapil Choudhary & Smriti Kamboj & Sakshi Mehta - 243-261 Financial literacy, investment behaviour and socio-demographic variables: evidence from India
by Kapil Choudhary & Smriti Kamboj & Sakshi Mehta - 262-279 Balance of payment crisis: lessons from Indian payment crisis for developing economies
by Ashutosh Kolte & Mauro Rossi & Olimpia Torriero & Ameya Patil & Avinash Pawar - 262-279 Balance of payment crisis: lessons from Indian payment crisis for developing economies
by Ashutosh Kolte & Mauro Rossi & Olimpia Torriero & Ameya Patil & Avinash Pawar
2017, Volume 6, Issue 2
- 93-106 The reflection of crowd behaviour in Indian bourses
by R. Ganesh & G. Naresh & S. Thiyagarajan - 107-125 Influence of meditation on insurance purchasing decision: evidence from Indian survey data
by Amarjit Gill & Manjit Singh & Harvinder S. Mand - 126-139 Evaluating financial performance of Indian IT firms: an application of a multi-criteria decision-making technique
by Sarveshwar Kumar Inani & Rohit Gupta - 140-154 The role of a pragmatist paradigm when adopting mixed methods in behavioural accounting research
by John A. Brierley - 155-167 Influence of religious beliefs on estate planning decisions: evidence from Canadian survey data
by Amarjit Gill & Neil Mathur - 168-187 The effects of social influence pressure source and reporting consequence on financial statement preparers' fair value estimate choices
by Alisa G. Brink & Fengchun Tang & Ling Yang
2016, Volume 6, Issue 1
- 1-25 Selective perception and group brainstorming: an investigation of auditors' fraud risk assessment
by Naman Desai & Vishal Gupta - 26-53 Does herding behaviour vary in bull and bear markets? Perspectives from Egypt
by Ayman H. Metwally & Tarek Eldomiaty & Lina Ahmed Abdel-Wahab - 54-69 Motivation for voluntary disclosure of cash flow statements in non-listed medium-sized companies
by Finn Schøler - 70-91 Loss aversion and decision fatigue at the Wimbledon tennis championship
by Graham Mallard
2015, Volume 5, Issue 2
- 99-121 Calendar anomalies: a survey of the literature
by Nikunj Patel & Martin Sewell - 122-135 Pay for performance in the public sector: the challenge of fairness
by Kirsten Bregn - 136-153 Type of earnings management against managerial entrenchment and corporate governance mechanisms
by Jamel Chouaibi & Najet Ben Ibrahim - 154-174 Investors' reaction to unexpected price innovations: the case of GCC countries
by Rasoul Rezvanian & Rima Turk Ariss & Seyed M. Mehdian - 175-201 Individual psychology and investment style
by Lucy F. Ackert & George Athanassakos & Bryan K. Church
2015, Volume 5, Issue 1
- 1-26 Credit cards, financial responsibility, and college students: an experimental study
by Lucy F. Ackert & Bryan K. Church - 27-56 Comprehensive income information: a user's perspective
by Sylvain Durocher & Anne Fortin - 57-81 Overconfidence and stock returns: a behavioural perspective
by Dimitrios Kourtidis & Željko Šević & Prodromos Chatzoglou - 82-98 Testing vs. building accounting theory with experimental research: insights from management research
by Daniel Reimsbach & Bastian Hauschild
2014, Volume 4, Issue 3
- 191-205 Investment principles of the Bible: How Christian businesses cultivate wealth and attain relevance in the 21st century
by Luke N. Onuoha - 206-220 The influence of culture and religion on trust in the emerging financial market in Libya
by Zainab Abdussalam - 221-244 Fair value and financial instability: comparative study between Islamic and conventional banks
by Leila Gharbi & Khamoussi Halioui - 245-258 The UK's banking system as financial hub for Islamic banking
by Katarzyna Kubiszewska & Rafal Komorowski - 259-280 Development of theory of Islamic economics: problems and proposals
by Munawar Iqbal
2014, Volume 4, Issue 2
- 93-112 Comovement and FTSE 100 index changes
by Jerry Coakley & Periklis Kougoulis & John C. Nankervis - 113-132 The relationship between uncertainty and the market reaction to information: Is it influenced by stock-specific characteristics?
by Ron Bird & Krishna Reddy & Danny Yeung - 133-152 European stock market dynamics: implications of overconfidence and the disposition effect for turnover
by Moatemri Ouarda & Abdelfeteh El Bori - 153-174 Time-varying social mood and corporate investment distortion
by Reza H. Chowdhury & Min Thu Maung - 175-186 Informational market efficiency in GCC region: a comparative study between Islamic and conventional markets
by Leila Gharbi & Khamoussi Halioui
2013, Volume 4, Issue 1
- 3-17 Two theories of the subprime crisis: governance failure or mere greed?
by Cameron Gordon - 18-31 Behavioural economics and public policy: some insights
by Ian McAuley - 32-53 The effect of the legal system and empathy in venture capital contracting: theory and evidence
by Richard Fairchild & Yiyuan Mai - 54-73 Social capital and selection criteria of independent non-executive directors: some evidence from Malaysia
by Hairul Azlan Annuar - 74-91 Bernie Madoff, and the creation and subversion of regulatory authority
by William Forbes
2012, Volume 3, Issue 3/4
- 127-144 Creative intelligence
by Kaies Samet & Frédéric Teulon - 145-162 Investment lumpiness and the role of net worth: evidence from Europe
by Jamel E. Chichti & Walid Mansour - 163-187 Ethical perceptions on earnings management
by Ajit Dayanandan & Han Donker & Kui-Ying Lin - 188-201 Earnings cosmetics and auditor gender: evidence from Finnish private firms
by Jyrki Niskanen & Jukka Karjalainen & Jussi Karjalainen & Mervi Niskanen - 202-220 A pilot study for measuring correlations between hormone levels and risk taking in men and women at different times of day
by Jale S. Oran & Ayça Akyatan - 221-243 From behavioural to emotional corporate finance: a new research direction
by Richard John Fairchild - 244-269 Experimental finance: a cross-disciplinary exploration linking expectations and behaviours
by Colleen Tokar Asaad - 270-279 Asymmetry in market efficiency across economic states: explanation and implication
by Yacine Hammami
2012, Volume 3, Issue 1/2
- 5-23 Compliance with the German Corporate Governance Code and firm performance: a ten-year experience
by Markus Stiglbauer & Patrick Velte - 24-45 Corporate governance and stock market liquidity in India
by P. Krishna Prasanna & Anish S. Menon - 46-64 Small shareholder control of listed companies' administrators during annual general meetings: an experimental study
by Giuseppe Catenazzo & Emmanuel Fragnière - 65-87 Investigating the effect of the directors' board characteristics on financial performance through innovation activities
by Jamel Chouaibi & Anis Jarboui - 88-106 Is honesty the best policy? A game theory perspective of auditing
by P. Ben Chou & Wei Xu & Asokan Anandarajan & Dennis Valenti - 107-125 Risk management and disclosure in Malaysian corporations: managerial perceptions
by Nazli Anum Mohd Ghazali
2011, Volume 2, Issue 3/4
- 191-207 Individual investor behaviour: evidence from the clients of a small credit cooperative bank
by Enrico Maria Cervellati & Pino Fattori & Pierpaolo Pattitoni - 208-224 Religion and cultural dimensions of trust in the emerging financial market in Libya
by Zainab Abdussalam & Bob Ryan - 225-237 Does investment risk tolerance predict emotional and behavioural reactions to market turmoil?
by James E. Corter - 238-251 Bias in the boardroom
by Oliver Marnet - 252-258 The sin of untrustworthy financial behaviour: the American experience, 1985-2010
by Robert A. Olsen - 259-272 What influences investors' perceptions of private equity firm window dressing at IPO?
by Donald Ross & Mike Hopkins - 273-288 An experimental examination of fast and frugal mutual fund picking
by Lucy F. Ackert & Bryan K. Church & Paula A. Tkac - 289-309 The patterns of prediction, trade, and transfer of wealth from overconfident investors in the capital market: a case study in an experimental setting
by Mahatma Kufepaksi - 310-327 Revisiting the Likert scale: can the fast form approach improve survey research?
by Alexander McLeod & Sonja Pippin & Jeffrey A. Wong - 328-345 Factors that affect mutual fund investment decision of Indian investors
by Amarjit Gill & Nahum Biger & Harvinder S. Mand & Sukhinder S. Gill - 346-366 Investors' trading activity, a behavioural perspective: professionals vs. individuals
by Dimitrios Kourtidis & Željko Ševi? & Prodromos Chatzoglou
2011, Volume 2, Issue 2
- 101-139 The dynamic behaviour of asset prices in disequilibrium: a survey
by Carl Chiarella & Roberto Dieci & Xue-Zhong He - 140-151 Heterogeneity and sentiment in the stock market
by Bart Frijns & Aaron Gilbert & Alireza Tourani-Rad - 152-177 Japanese central bank interventions and the dispersion of individual exchange rate expectations: differential impact on four moment characteristics
by Stephanie Heck & Aline Muller - 178-190 Return-volatility relationships: cross-country evidence
by Ihsan U. Badshah
2011, Volume 2, Issue 1
- 4-20 Fairness norms and self-interest in venture capital/entrepreneur contracting and performance
by Richard Fairchild - 21-39 Experiential learning from entrepreneurial failure
by Alan Benson & Liang Han - 40-55 The impact of cognitive biases on fraudulent behaviour: the Leeson case
by Asokan Anandarajan & Gary Kleinman - 56-78 Price discovery with and without trading on the Tokyo Stock Exchange
by Tao Chen - 79-97 Momentum returns: market, seasonal and aging considerations
by Sridhar Sundaram & Glenn N. Pettengill & Ike Mathur
2010, Volume 1, Issue 4
- 277-293 Behavioural corporate finance: existing research and future directions
by Richard Fairchild - 294-311 Capital structure choice: the influence of sentiment in France
by Barry R. Oliver & Salma Mefteh - 312-334 CFO resignations: their underlying performance and behavioural context
by Chuo-Hsuan Lee & Edward J. Lusk & Michael Halperin - 335-348 The impact of market sentiment on capital structures in the USA
by Barry R. Oliver - 349-371 CEO's locus of control, TQM implementation and financial performance
by Senda Wali & Younes Boujelbene
2010, Volume 1, Issue 3
- 182-206 Balanced scorecard design preferences according to subjects' knowledge and expertise
by Marcela Porporato - 207-223 Understanding the behavioural aspects of costing systems in public health organisations
by Mostafa Kamal Hassan - 224-238 The effect of a superior's preference and process control on a subordinate's information processing strategy
by Feng (Johnny) Deng - 239-267 A theoretical model of cognitive factors that affect auditors' performance and perceived independence
by Gary Kleinman & Asokan Anandarajan & Ann Medinets & Dan Palmon - 268-275 Measuring type I and type II errors in an estimation model: an empirical analysis; the case of bankruptcy
by Musa Darayseh & Elaine Waples
2009, Volume 1, Issue 2
- 95-110 Prospective utility and time-varying optimal asset allocation for the UK: 1803-1995
by Ian McManus & Owain Ap Gwilym & Stephen Thomas - 111-134 A longitudinal perspective on financial risk tolerance: rank-order and mean level stability
by Michael J. Roszkowski & David M. Cordell - 135-151 Gender differences and factors that affect stock investment decision of Western Canadian investors
by Amarjit Gill & Nahum Biger - 152-166 Home bias: taking comfort in what you know?
by Lucy F. Ackert & Bryan K. Church - 167-178 Equity home bias: investors' sentiments and views
by Imtithel Sendi & Chaker Aloui & Makram Bellalah
2008, Volume 1, Issue 1
- 4-22 Behaviour and rationality in corporate governance
by Oliver Marnet - 23-37 Auditor tenure, managerial fraud and report qualification: a behavioural game-theoretic approach
by Richard Fairchild - 38-50 Family business governance for ensuring a qualified management succession in a family business – how to cope with the increasing amount of management successions in German family businesses
by Marion A. Weissenberger-Eibl & Patrick Spieth - 51-66 The effects of a long-term compensation plan on risky choices
by Stephen A. Butler - 67-89 Corporate social responsibility disclosure and corporate governance in Malaysia
by Ying Zhee Lim & Mohammad Talha & Junaini Mohamed & Abdullah Sallehhuddin