Content
July 2021, Volume 57, Issue 9
- 2447-2477 Pyramidal Ownership Structure and Firms’ Audit Fees
by Shangkun Liang & Xiangqin Qi & Fu Xin & Jingwen Zhan - 2478-2502 Voluntary Management Earnings Forecasts and Value Relevance in Financial Reports
by Nanyan Dong & Fangjun Wang & Junrui Zhang - 2503-2513 Innovation in Business Groups: Evidence from China
by Huan Dou & Antai Li & Yonggen Luo - 2514-2541 Economic Development, Institutional Quality, and the Scale Effect Puzzle of Cross-Border M&As: Evidence from a Meta-Analysis Model
by Chengyong Yu & Rui Cheng & Cheng Zhang & Huijuan Wang - 2542-2559 Evaluation and Effect of Carbon Disclosure Quality in China: Based on the Perspective of Investor Protection
by Yongjun Tang & Yuxin Shen & Qinglong Yang & Zhihui Zhao - 2560-2582 Can Institutional Investors Improve Voluntary Management Earnings Forecasts?
by Zhenkun Wang & Zhihong Zhang & Han Zhang - 2583-2603 The Unintended Consequences of Regulations in Emerging Financial Markets: Evidence from the Chinese IPO Market
by Yan Zhang & François Derrien & Xiaohui Wu & Qi Zeng - 2604-2615 Does Guarantee Network Reduce Firms’ Earnings Management?
by Zihui Xu & Pingui Rao - 2616-2631 Do the Islamic Stock Market Returns Respond Differently to the Realized and Implied Volatility of Oil Prices? Evidence from the Time–Frequency Analysis
by Muhammad Mahmudul Karim & Mansur Masih - 2632-2650 Earning Volatility, Capital Structure Decisions and Financial Distress by SEM
by Morteza Ghasemzadeh & Mehdi Heydari & Gholamreza Mansourfar - 2651-2673 The Five-Factor Asset Pricing Model Tests and Profitability and Investment Premiums: Evidence from Pakistan
by Fahad Ali & Muhammad Usman Khurram & Yuexiang Jiang - 2674-2686 Market Integration between Turkey and Eurozone Countries
by Nicholas Apergis & Chi Keung Marco Lau & Fatma Öğücü Şen & Shixuan Wang - 2687-2698 Gold Demand by Central Banks: A Comparative Study of Emerging Market and Advanced Economies
by Hakan Öztunç & Mehmet Orhan - 2699-2738 Financial Inclusion, Financial Literacy and Economically Vulnerable Populations in the Middle East and North Africa
by Angela C. Lyons & Josephine Kass-Hanna - 2739-2766 Do Financing Constraints Matter for Technological and Non-technological Innovation? A (Re)examination of Developing Markets
by Safi Ullah Khan & Attaullah Shah & Mohammad Faisal Rizwan
June 2021, Volume 57, Issue 8
- 2153-2175 Financial Planning Ability, Risk Perception and Household Portfolio Choice
by Dekui Jia & Ruihai Li & Shibo Bian & Christopher Gan - 2176-2190 Leniency Bias in Subjective Performance Evaluation: Contextual Uncertainty and Prior Employee Performance
by Na Gong & Wai Fong Boh & Anne Wu & Tsuilin Kuo - 2191-2205 The Impact of Mandatory CSR Disclosure on the Cost of Debt Financing: Evidence from China
by Huifeng Xu & Xiaodong Xu & Junli Yu - 2206-2229 Investment to Cash Flow Sensitivity: Evidence from Manufacturing and Energy Sectors
by Feng Guan & Usha R. Mittoo & Zhou Zhang - 2230-2245 Market Sentiment, Valuation Heterogeneity, and Corporate Investment: Evidence from China’s A-Share Stock Market
by Bo Huang & Xi Fang - 2246-2258 Advance Booking Discount for Risk-Averse Firm in the Presence of Spot Market
by Shanshan Ma & Wei Xing & Xiaohua Liu & Liyan Wang - 2259-2270 Risk Early Warning Research on China’s Futures Company
by Wang Ping & Feng Wang & Aihua Wang & Yuncheng Huang - 2271-2289 Platform Heterogeneity, Competitive Relationship, and Network Lending Efficiency
by Chengguo Zhao & Meng Li & Lei Zhuang & Jun Wang - 2290-2306 Analysis of Economic Shock Effects between China and ASEAN: An Empirical Study Based on Multinational VAR
by Yujiang Bi & Guangyi Xin - 2307-2322 Business Group Affiliation and R&D Investment: Evidence from China
by Zhukun Lou & Siyu Chen & Yingya Jia & Xiaoyu Yu - 2323-2330 Modeling Optimal Pension Fund Asset Allocation in a Dynamic Capital Market
by Jiapeng Liu & Hong Qiu & Xiaoli Zhao & Yingjun Zhu - 2331-2355 Spatial Differences in Emission Reduction Effect of Servitization of Manufacturing Industry Export in China
by Xiuzhen Li & Xiangjin Wang & Yun Zhang & Xiao Miao - 2356-2369 Predecessor versus Acquisition: Evidence of Business Combination under Common Control from China
by Shimin Chen & Weifang Han & Qifeng Zhang - 2370-2388 Effects of the EU-GCC Economic Agreement on the Margins of Trade
by Ahmad Alawadhi & Nayef Al-Shammari & Wael Alshuwaiee - 2389-2406 Government Fighting Pandemic, Stock Market Return, and COVID-19 Virus Outbreak
by Chun-Ping Chang & Gen-Fu Feng & Mingbo Zheng - 2407-2414 Financial Market Risks during the COVID-19 Pandemic
by Omair Haroon & Mohsin Ali & Abdullah Khan & Mudeer A. Khattak & Syed Aun R. Rizvi - 2415-2425 Who has done a better job in fighting the COVID-19 epidemic? Left or Right?
by Hai-Jie Wang & Kang an & Mingbo Zheng - 2426-2446 Family Control, Pyramidal Ownership and Investment-Cash Flow Sensitivity: Evidence from an Emerging Economy
by Aline Damasceno Pellicani & Aquiles Elie Guimarães Kalatzis & Dante Mendes Aldrighi
May 2021, Volume 57, Issue 7
- 1843-1858 The Impact of Government Subsidies on Company Debt Financing: New Evidence from Chinese Listed Companies
by Yating Zeng & Peixiang Guo & Bin Li - 1859-1877 The Impact of Non-Interest Business Development on the Performance of Chinese Rural Commercial Banks
by Yueshu Zhou & Yuanyuan Peng & Rashid Latief - 1878-1889 The Relationship between Agricultural Credit, Regional Agricultural Growth, and Economic Development: The Role of Rural Commercial Banks in Jiangsu, China
by Yuanyuan Peng & Rashid Latief & Yueshu Zhou - 1890-1911 Why is Microfinance for the Poor Used by the Wealthy? Evidence from China
by Peng Peng & Zhigang Xu - 1912-1928 How Does the Shanghai-Hong Kong Stock Connect Policy Impact the A-H Share Premium?
by Junchang Pan & Jing Chi - 1929-1958 Inclusive Finance, Farm Households Entrepreneurship, and Inclusive Rural Transformation in Rural Poverty-stricken Areas in China
by Tian Liu & Guangwen He & Calum G. Turvey - 1959-1985 The Financing and Investment Crowding-out Effect of Zombie Firms on Non-zombie Firms: Evidence from China
by Yiqiu Wang & Yunyi Zhu - 1986-2005 Tax Shelters, Reputational Costs and CEO Turnover: Evidence from Tax-Violating Enterprises in China
by Na Wang & Liangliang Wang & Lirong Zhang & Yin Yu - 2006-2022 Oil and Sovereign Credit Risk: Asymmetric Nonlinear Dynamic Interactions
by Geoffrey Ngene & Jinghua Wang & M. Kabir Hassan & Ivan Julio & Jung-Suk Yu - 2023-2041 The Impact of Emerging Asia´s Demand on the Pacific Alliance Countries
by Lya Paola Sierra & Pavel Vidal Alejandro - 2042-2051 Oil Price and Exchange Rate Behaviour of the BRICS
by Afees A. Salisu & Juncal Cuñado & Kazeem Isah & Rangan Gupta - 2052-2064 The Impact of Decreased Margin Requirements on Futures Markets: Evidence from CSI 300 Index Futures
by Wenli Huang & Jingyu Luo & Yanhong Qian & Yuqi Zheng - 2065-2078 Convergence Analysis of Chinese Corporations’ Debt Leverage Utilizing the Nonlinear Time-varying Factor Model
by Hailian Xiao & Chuanli Zhou & Kaijie Zhuang & Jin He - 2079-2093 Digital Payments and Households’ Consumption: A Mental Accounting Interpretation
by Liming Hou & Shao-Chieh Hsueh & Shuoxun Zhang - 2094-2106 Impact of Bank Concentration and Financial Development on Growth Volatility: The Case of Selected OIC Countries
by Edib Smolo & Mansor H. Ibrahim & Ginanjar Dewandaru - 2107-2119 Stock Market Volatility Spillovers in G7 and BRIC
by Ping Zhang & Yezhou Sha & Yifan Xu - 2120-2137 Revisiting Corporate Political Connections Using Social Networks and Prediction of Post-IPO Performance
by Li-Chuan Tsai & Ruhui Zhang & Cui-Fang Zhao - 2138-2151 Does Corporate Carbon Risk Management Mitigate the Cost of Debt Capital? Evidence from South Korean Climate Change Policies
by Su-Yol Lee & Dong-Kwon Choi
May 2021, Volume 57, Issue 6
- 1543-1546 Special Issue on the Pandemic Research
by Susan Sunila Sharma & Yezhou Sha - 1547-1565 Strategic Deviance, Diversification and Enterprise Resilience in the Context of COVID-19: Heterogeneous Effect of Managerial Power
by Xiaoxu Kong & Fei Jiang & Xuexin Liu - 1566-1577 Firm Sustainable Growth during the COVID-19 Pandemic: The Role of Customer Concentration
by Xuesheng Chen & Caixia Liu & Feng Liu & Mingjie Fang - 1578-1591 Stock Liquidity and Firm Value in the Time of COVID-19 Pandemic
by Ping Zhang & Jieying Gao & Xingchao Li - 1592-1602 Oil and BRIC Stock Markets before and after COVID-19: A Local Gaussian Correlation Approach
by Di Yuan & Feipeng Zhang & Fenghui Cui & Shuo Wang - 1603-1612 Impact of the COVID-19 Pandemic on Economic Sentiment: A Cross-Country Study
by Hongyuan Zhang & Yibing Ding & Jing Li - 1613-1627 How Does the Market React to Corporate Philanthropic Behavior? —evidence from the COVID-19 Pandemic Shock
by Lu Jolly Zhou & Hua Qiu & Xinyu Zhang - 1628-1639 Greenfield or M&A? The Role of Economic Policy Uncertainty in Home and Host Countries
by Tiezhu Sun & Weiwei Zhang & Xiaobo Xu & Li Zhang - 1640-1651 Will the Supporting Policies Help the Recovery of SMEs during the Pandemic of COVID-19? — Evidence from Chinese Listed Companies
by Liangyu Zhang & Haolin Zhang & Xinye Yu & Yongqi Feng - 1652-1661 Bank Loans for Small Businesses in Times of COVID-19: Evidence from China
by Quanyun Song & Jun Du & Yu Wu - 1662-1674 Household-owned Businesses’ Vulnerability to the COVID-19 Pandemic
by Pengpeng Yue & Aslihan Gizem Korkmaz & Zhichao Yin & Haigang Zhou - 1675-1688 Impact of COVID-19 on Financial Constraints and the Moderating Effect of Financial Technology
by Shixian Ling & Tianyue Pei & Zhaohui Li & Zhiping Zhang - 1689-1698 Predictability of Analysts’ Forecast Revision under COVID-19: Evidence from Emerging Markets
by Zhaomin Ren & Shi Li - 1699-1715 Pandemic Effect on Analyst Forecast Dispersion: Earnings Uncertainty or Information Lockdown?
by Haoyu Gao & Huiyu Wen & Shujiaming Yu - 1716-1726 Implications of COVID-19 Pandemic on China’s Exports
by Yu Zhao & Hongyuan Zhang & Yibing Ding & Sitong Tang - 1727-1740 Deconstructing the Effects of SARS on China’s Real Economy: What are the Lessons for Monetary Policy?
by Yichao Mo & Ding Liu & Weihong Sun - 1741-1756 Are Cryptos Safe-Haven Assets during Covid-19? Evidence from Wavelet Coherence Analysis
by Ghulame Rubbaniy & Ali Awais Khalid & Aristeidis Samitas - 1757-1772 The comovement between epidemics and atmospheric quality in emerging countries
by Yiwei Wang & Ke Wang & Quan-Jing Wang - 1773-1792 The Impact of China’s Outward Foreign Direct Investment on Trade Intensity with Belt and Road Countries
by Yan Wu & Chunlai Chen - 1793-1810 Daily and Intraday Herding within Different Types of Investors in Borsa Istanbul
by Nihan Dalgıç & Cumhur Ekinci & Oğuz Ersan - 1811-1827 Household Financial Portfolios in an Emerging Economy—The Case of Chile
by Piotr Białowolski & Florian Chávez-Juárez - 1828-1841 Trade Liberalization and Labor Market Adjustments: Does Rent Sharing Matter?
by Pham Dinh Long & Pham Thi Bich Ngoc & Holger Görg
April 2021, Volume 57, Issue 5
- 1247-1270 Re-Evaluating the ‘Smile Curve’ in Relation to Outsourcing Industrialization
by Jim Huangnan Shen & Kent Deng & Sarah Tang - 1271-1283 The Effect of Political Connections: Model Analysis and Quantitative Simulation
by Xiaoqin Zhao - 1284-1299 The Effect of Personality Traits on Entrepreneurial Development in Western China
by Xi Tian - 1300-1311 On the Market Reaction to Capitalization of R&D Expenditures: Evidence from ChiNext
by Li Kong & Huaitao Su - 1312-1332 The Family’s Push and Pull on Female Entrepreneurship: Evidence in China
by Jianmin Zhang & Nanjin Zhou - 1333-1348 The Impact of Customer Bullying on Employees’ Job Performance: The Locus of Control as a Moderating Effect
by He Gao & Zheng Feng & Zhang Zhao - 1349-1357 Research into the Competitiveness of Scenic Areas from the Perspective of Tourists: A Case Study of the Jiuzhai Valley
by Zhu Cheng & Maozhu Jin & Qijie Jiang - 1358-1379 A Bibliometric Review of Volatility Spillovers in Financial Markets: Knowledge Bases and Research Fronts
by Jun Chen & Lingling Yang - 1380-1398 Never Forget Where You Started: To Prevent Pre-Retirement Corruption at China’s State-Owned Enterprises
by Yu Ping Zhao & Xi Chen & Xiao-Hong Miao & Ying-Ran Tan & Xiao-Yu Song - 1399-1419 The Effect of Chinese Population Aging on Income Inequality: Based on a Micro-Macro Multiregional Dynamic CGE Modelling Analysis
by Haixin Zhang & Lili Ke & Donghong Ding - 1420-1436 Revision of the Effectiveness of China’s Sterilization Policies Considering the Role of the Reserve Requirement Ratio Adjustment
by Yanzhen Wang & Xiumin Li & Dong Huang & Aihua Wang - 1437-1454 The Impact of RMB Internationalization and International Situations on China’s Foreign Exchange Market: Dynamic Linkages between USD/CNY and SDR/CNY
by Yang-Chao Wang & Jui-Jung Tsai & Xingyu Chen - 1455-1473 Does Service Trade Globalization Promote Trade and Low-Carbon Globalization? Evidence from 30 Countries
by Chuanwang Sun & Tiemeng Ma & Xiaoling Ouyang & Rong Wang - 1474-1488 Mutual Fund Voluntary Portfolio Disclosure
by Ruth Gimeno & Cristina Ortiz & José Luis Sarto - 1489-1513 Aggregate Volatility Risk and Empirical Factors: An International Study
by Woongki Lee & James L. Park & Bumjean Sohn - 1514-1542 Voluntary Adoption of Audit Committees, Ownership Structure and Firm Performance: Evidence from Taiwan
by Junmao Chiu & Huimin Chung & Shih-Chang Hung
March 2021, Volume 57, Issue 4
- 931-948 The Initial Allocation of Carbon Emission Quotas in China Based on the Industry Perspective
by Bao-Jun Tang & Yu-Jie Hu & Yang Yang - 949-971 Market-Oriented Reforms and China’s Green Economic Development: An Empirical Study Based on Stochastic Frontier Analysis
by Xiude Chen & Huiyang Li & Quande Qin & Yulian Peng - 972-988 Measuring the Impacts of International Trade on Carbon Emissions Intensity: A Global Value Chain Perspective
by Jing-Li Fan & Xian Zhang & Jian-Da Wang & Qian Wang - 989-1007 Optimal Pricing and Information Provision in Supply Chain with Consumers’ Risk Perception
by Rongji Huang & Tengfei Nie & Yangguang Zhu - 1008-1033 Trade Imbalance, Heterogeneous Firms and Pollution Emissions: Evidence from China’s Manufacturing Sector
by Ling-Yun He & Xi Lin - 1034-1049 Re-Calculation, Decomposition and Responsibility Sharing of Embodied Carbon Emissions in Sino-Korea Trade: A New Value-Added Perspective
by Bingbing Zhang & Guangmeng Zhai & Chuanwang Sun & Shuhua Xu - 1050-1067 The Price of Pollution? A Distance Function Approach to Valuing Multiple Pollutants in China
by Jia-Jia Ou & Ling-Yun He - 1068-1087 Predicting Oil Prices: An Analysis of Oil Price Volatility Cycle and Financial Markets
by Lu-Tao Zhao & Zi-Jie Wang & Shu-Ping Wang & Ling-Yun He - 1088-1102 Oil Prices and Stock Prices of Clean Energy: New Evidence from Chinese Subsectoral Data
by Xin Lv & Xinyang Dong & Weijia Dong - 1103-1123 Testing Four Types of Bubbles in BRICS Exchange Rates
by Wilfredo Leiva Maldonado & Jussara Ribeiro & Octavio Augusto Fontes Tourinho - 1124-1140 The Impact of Chinese Exports on Brazilian and Mexican Exports: A Model Using Dynamic Panel Data
by Luciane Franke & Marcos Tadeu Caputi Lélis & Alexsandro Marian Carvalho & José Roberto Iglesias - 1141-1158 Characteristics-Based Portfolio Policy: Evidence from China
by Zilin Chen & Zhe Fei - 1159-1181 Does the Political Promotion of Local Officials Impede Corporate Innovation?
by Li Wang & Dongmin Kong & Jian Zhang - 1182-1197 Corruption and Firm Value: Evidence from Emerging Market Economies
by Bhanu Pratap Singh Thakur & M Kannadhasan & Parikshit Charan & C. P. Gupta - 1198-1214 Soybean Futures Price Forecasting Using Dynamic Model Averaging: Do the Predictors Change over Time?
by Tao Xiong & Zhongyi Hu - 1215-1231 What Determines the Subsidy Decision Bias of Local Governments? An Enterprise Heterogeneity Perspective
by Wei Peng & Chi-Chuan Lee & Ke Xiong - 1232-1246 Political Background and Household Financial Asset Allocation in China
by Yongbo Ge & Hongyu Chen & Liping Zou & Zhuojun Zhou
February 2021, Volume 57, Issue 3
- 410-429 Environmental Regulation, Resource Misallocation, and Ecological Efficiency
by Shuhong Wang & Xiaoli Sun & Malin Song - 631-652 Study on the Factors Related to Energy Performance Contracting for Urban Residential Building and their Effects in the World
by Lei Wang & Ruyin Long & Hong Chen - 653-667 Modeling and Policy Study for Information Asymmetry Problem of Photovoltaic Module Quality in China
by Yan Li & Qi Zhang & Ge Wang & Xuefei Liu & Benjamin McLellan - 668-683 Assessing the Drivers of China’s CO2 Emissions Based on PDA
by Bingquan Liu & Yongqing Li & Rui Hou & Hui Wang - 684-697 Research on Evolution in the Center of Gravity and a Contribution Decomposition of Energy–Related CO2 Emissions at the Provincial Level in China
by Yan Song & Junjie Sun & Ming Zhang - 698-712 Nexus between Environmental Tax, Economic Growth, Energy Consumption, and Carbon Dioxide Emissions: Evidence from China, Finland, and Malaysia Based on a Panel-ARDL Approach
by Pinglin He & Qiao Ya & Long Chengfeng & Yuan Yuan & Chen Xiao - 713-726 Study on the Dual Targets of CO2 Emissions Reductions in China: Decoupling Analysis and Driving Forces
by Mian Yang & Yaru Hou & Fuxia Yang - 727-739 A Forecasting Analysis on China‘S Energy Use and Carbon Emissions Based on A Dynamic Computable General Equilibrium Model
by Zhengquan Guo & Xingping Zhang & Yihong Ding & Xiaonan Zhao - 740-756 Can China Realize the Grid Parity Target of Centralized Photovoltaic Power by 2020?
by Xingping Zhang & Wenfeng Liu & Hongyang Zhang & Jiahai Yuan - 757-772 The Effectiveness of China’s Renewable Energy Policy: An Empirical Evaluation of Wind Power Based on the Framework of Renewable Energy Law and Its Accompanying Policies
by Wenfeng Liu & Xingping Zhang & Yinhe Bu & Sida Feng - 773-785 Deepening Supply-Side Structural Reforms in Coal Power with a Power Market
by Jiahai Yuan & Weirong Zhang & Xiaoxuan Guo & Yu Ai & Ruijin Zheng - 786-797 Research on Grid Parity Predictions of Centralized Photovoltaic Electricity
by Wenjun Chen & Yanlei Zhu & Yifei Li & Na Zhao & Zhanjun Lv - 798-823 Cross-Section of Returns in Frontier Markets: Evidence from the GCC Markets
by Bader S. Alhashel - 824-838 How Did the Elimination of the Window Guidance Policy Affect IPO Performance in China? A Stochastic Dominance Analysis
by Haifeng Guo & Yuanjing Ge & Chuan-Hao Hsu & Hung-Gay Fung - 839-858 The Effect of Religiosity on Stock Market Speculation
by Abdullah M. AlAwadhi - 859-874 Electricity Consumption and Economic Growth in BRI Countries: Panel Causality and Policy Implications
by Haonan Zhang & Xingping Zhang & Changhong Zhao & Jiahai Yuan - 875-890 Financial Deepening and Business Creation: A Regional Analysis of Colombia
by José Julián Cao-Alvira & Lorena A. Palacios-Chacón - 891-913 How Do Bank Features and Global Crises Affect Scale Economies? Evidence from the Banking Sectors of Oil-Rich GCC Emerging Markets
by Idries Mohammad Wanas Al-Jarrah & Khalid Al-Abdulqader & Shawkat Hammoudeh - 914-929 Global Oil Shocks and China’s Commodity Markets: The Role of OVX
by Xuejun Jin & Fangfei Zhu
January 2021, Volume 57, Issue 2
- 297-310 Investing in Mutual Funds Using the Bayesian Framework: Evidence from China
by Honghai Yu & Pengfei Zhao & Wen Xiao & Libing Fang - 311-321 Evaluation of Housing Price Control Policies Based on a Sensitivity Analysis and Nonstationary Markov Chain Simulation: Empirical Evidence from China
by Chang Liu & Dongtao Lin & Jijia Fan & Xiaosu Li & Pan Chen - 322-334 The Impact of Trade on Scale Efficiency in Grain and Oil-Bearing Plant Production in China
by Fumin Deng & Hui Zhu & Ying Huang & Xuedong Liang - 335-347 MNE Activity in Poland: Horizontal, Vertical or Both?
by Andrzej Cieślik - 348-364 How Do Chinese Firms Perform Before and After Cross-Border Mergers and Acquisitions?
by HaiYue Liu & YiXian Li & Rui Yang & XiaoPing Li - 365-385 Gains or Pains? Effects of US–China Trade on US Employment: Based on a WIOT Analysis from 2000 to 2014
by Feng Dai & Ruixiang Liu & Shunfeng Song - 386-399 Does Tourism Promote Economic Growth in the Ethnic Areas of China?
by Xiaoyan Zhu & Yingqi He - 400-426 Intermediate Imports, Institutional Environment, and Export Product Quality Upgrading: Evidence from Chinese Micro-Level Enterprises
by Yuegang Song & Yaoguo Wu & Guoying Deng & Pengfei Deng - 427-443 Listing Effect in Acquirer Returns and Economic Growth Uncertainty in the Target Country: The Case of Cross-border M&A from Emerging Economies
by Byoung-Jin Kim & Jin-Young Jung & Sung-Woo Cho - 444-464 The Effects of Going Public on Bank Risks: Evidence from China
by Hongyan Geng & Maoyong Cheng & Junrui Zhang & Hong Zhao - 465-481 Export Diversification and Fiscal Procyclicality
by Ting Ji & Dongzhou Mei - 482-494 Predictability of Extreme Returns in the Turkish Stock Market
by Syed Riaz Mahmood Ali & Shaker Ahmed & Mohammad Nurul Hasan & Ralf Östermark - 495-509 Cyclical variation of the fiscal multiplier in Turkey
by Cem Çebi & K.Azim Özdemir - 510-524 Investor Sentiment with Information Shock in the Stock Market
by Chunpeng Yang & Huihui Wu - 525-540 Institutional Information Manipulation and Individual Investors’ Disadvantages: A New Explanation for Momentum Reversal on the Chinese Stock Market
by Chang Liu & Haiyue Liu & Raja Nassar & Liang Li - 541-561 Religiosity and Political Connections of Private Firms in China
by Chun Liu & Yi Zhang - 562-590 Do Local Currency Bond Markets Enhance Financial Stability? Some Empirical Evidence
by Donghyun Park & Kwanho Shin & Shu Tian - 591-609 Analyzing Dynamic Connectedness in Korean Housing Markets
by So Jung Hwang & Hyunduk Suh
January 2021, Volume 57, Issue 1
- 1-4 Guest Editor’s Introduction - Exchange Rate Pass-Through, Fiscal Decentralization, and the Gender Wealth Gap: Policy Implications for Vietnam
by Vo Hong Duc - 5-20 Macroeconomics Determinants of Exchange Rate Pass-Through: New Evidence from the Asia-Pacific Region
by Nguyen Van Phuc & Vo Hong Duc - 21-34 Exchange Rate Pass-Through in ASEAN Countries: An Application of the SVAR Model
by Vo The Anh & Le Thai Thuong Quan & Nguyen Van Phuc & Ho Minh Chi & Vo Hong Duc - 35-46 Public Relations in Emerging Markets: Empirical Evidence in Vietnam
by Van Thi Hong Loan - 47-58 Return Spillover from the US and Japanese Stock Markets to the Vietnamese Stock Market: A Frequency-Domain Approach
by Minh Kieu Nguyen & Dinh Nghi Le - 59-75 Productivity Spillover from FDI to Domestic Firms across Six Regions in Vietnam
by Hien T. N. Huynh & Phuong V. Nguyen & Hoa D. X. Trieu & Khoa T. Tran - 76-84 Entry Mode Choice of FDI Firms in Emerging Markets: An Evidence from Vietnam
by Minh Ha Nguyen & Quan Minh Quoc Binh - 85-107 A Study on the Relationship Between Diversification and Firm Performance Using the GSEM Method
by Huu Thanh Vu & Nguyen Minh Ha - 108-122 Aging Population and Economic Growth in Developing Countries: A Quantile Regression Approach
by Thach Ngoc Pham & Duc Hong Vo - 123-137 Gender-Based Attitudes toward Income Inequality in the Asia-Pacific Region
by Nguyen Cong Thang & Vo The Anh & Pham Ngoc Thach & Do Thanh Trung & Vo Hong Duc - 138-162 ‘Without United States’ Trans-Pacific Partnership Agreement and Vietnam’s Apparel Industry
by Vy Thi Tuong Nguyen & Loan Thanh Le - 163-174 The Disparity of Revenue and Expenditure among Subnational Governments in Vietnam
by Duc Hong Vo & Thuan Nguyen & Dao Thi-Thieu Ha & Ngoc Phu Tran - 175-197 State Ownership and the Relationship between Investment and Cash Flow: The Case of Vietnamese Listed Firms
by Thoa T. K. Tu & Uyen T. U. Nguyen - 198-222 The Determinants of Gender Income Inequality in Vietnam: A Longitudinal Data Analysis
by Duc Hong Vo & Loan Thi-Hong Van & Dai Binh Tran & Tan Ngoc Vu & Chi Minh Ho - 223-238 Portfolio Optimization and Diversification in China: Policy Implications for Vietnam and Other Emerging Markets
by Duc Hong Vo - 239-263 Financial Inclusion and Economic GROWTH: An International Evidence
by Loan Thi-Hong Van & Anh The Vo & Nhan Thien Nguyen & Duc Hong Vo - 264-284 Spillover Effects of Import Trade Fluctuations for China and the US: A Global Perspective
by Wei Cao & Chaohui Jin & Jingmei Zhao - 285-295 How Does Firm and Board Chairman Celebrity Influence IPO Underpricing? Empirical Evidence from China
by Zhe Ouyang & Xiaoqian Zhu & Yang Liu & Peng Cheng
December 2020, Volume 56, Issue 15
- 3551-3553 Part A: Special Section on COVID-19 Research
by Susan Sunila Sharma & Yezhou Sha - 3554-3561 Exogenous Shocks on the Dual-country Industrial Network: A Simulation Based on the Policies during the COVID-19 Pandemic
by Pengcheng Song & Xuan Zhang & Yu Zhao & Liao Xu - 3562-3577 The Response of the Stock Market to the Announcement of Global Pandemic
by Min Liu & Wei-Chong Choo & Chien-Chiang Lee - 3578-3587 Herding Behavior in Chinese Stock Markets during COVID-19
by Guosong Wu & Boxian Yang & Ningru Zhao - 3588-3598 COVID-19 Shock and Global Value Chains: Is There a Substitute for China?
by Meng Qin & Xiuyan Liu & Xiaoxue Zhou - 3599-3612 Is “Born Global” a Viable Market Entry Mode for the Internationalization of SMEs? Evidence from China before COVID-19
by Qianying She & Ying Yu & Kai Wu - 3613-3625 How COVID-induced Uncertainty Influences Chinese Firms’ OFDI Binary Margins
by Chang Zhao & Ziwei Liu & Yibing Ding - 3626-3634 COVID-19 Pandemic and Household Liquidity Constraints: Evidence from Micro Data
by Jie Li & Quanyun Song & Changyan Peng & Yu Wu - 3635-3645 Robust Portfolio Selection Based on Copula Change Analysis
by Yingwei Han & Ping Li & Jie Li & Sanmang Wu - 3646-3661 Does External Monitoring Substitute for or Complement Internal Monitoring by Corporate Board?–Evidence From Korean State-owned Enterprises
by Jongseok Lee & Seungwon Yu - 3662-3677 Is There Any Linkage between Sectoral Capital-labour Ratios, Total Factor Productivity, and Wages?
by Badri Narayan Rath & Bhushan Praveen Jangam - 3678-3708 Oil Prices and Stock Markets during the 2014–16 Oil Price Slump: Asymmetries and Speed of Adjustment in GCC and Oil-Importing Countries
by Anjum Siddiqui & Haider Mahmood & Dimitris Margaritis - 3709-3731 The Effect of Exchange Rates on Chinese Trade: A Dual Margin Approach
by Bin Qiu & Kuntal K. Das & W. Robert Reed - 3732-3745 How the oil price and other factors of real exchange rate dynamics affect real GDP in Russia
by Andrey Polbin & Anton Skrobotov & Andrey Zubarev - 3746-3762 Spillovers in Sub-Saharan Africa’s Sovereign Eurobond Yields
by Christian Senga & Danny Cassimon - 3763-3784 Cross-Sectional Expected Returns and Predictability in the Korean Stock Market
by Toyoung Kim & Tong Suk Kim & Yuen Jung Park - 3785-3804 Shadow Banking, Bank Ownership, and Bank Efficiency in China
by Ning Ding & Hung-Gay Fung & Jingyi Jia - 3805-3828 Ultimate Ownership, Control Mechanism, and Firm Performance: Evidence from Malaysian Firms
by Guat-Khim Hooy & Chee-Wooi Hooy & Hong-Kok Chee - 3829-3845 Impact of Institutional Quality on Financial Development: Cross-Country Evidence based on Emerging and Growth-Leading Economies
by Muhammad Asif Khan & Dongmin Kong & Junyi Xiang & Jian Zhang
November 2020, Volume 56, Issue 14
- 3235-3251 Impacts of Internet Use on Political Trust: New Evidence from China
by Dong Zhou & Weiguang Deng & Xiaoyu Wu - 3252-3269 Conditional Volatility Persistence and Realized Volatility Asymmetry: Evidence from the Chinese Stock Markets
by Fei Su & Lei Wang - 3270-3293 Institutional Quality, Financial Friction, and Sustained Economic Growth: The Case of China
by Junqing Li & Qiheng Han & Pengfei Liu & Jianbo Zhang - 3294-3319 Second-generation Succession and the Financialization of Assets: An Empirical Study of Chinese Family Firms
by Jiaqi Chen & Fangzhao Zhou & Zhifang He & Hui Fu - 3320-3350 Stay or Go? Intra-government Tax Competition and Firms’ Location Decisions in China
by Chengrui Xiao & Yaping Wu - 3351-3366 Corruption and Income Inequality in China
by Kenneth S. Chan & Vinh Q.T. Dang & Tingting Li - 3367-3382 The External Pressure, Internal Drive and Voluntary Carbon Disclosure in China
by Yongjun Tang & Mingjia Sun & Wenchao Ma & Shixiu Bai - 3383-3404 Will Foreign Aid Foster Economic Development? Grid Panel Data Evidence from China’s Aid to Africa
by Zhicheng Xu & Yu Zhang & Yang Sun - 3405-3424 International Trade, Factor Endowments, and Income Inequality: Evidence from Chinese Regional Data
by Yanyan Xiong - 3425-3444 Measuring Liquidity Commonality of Currencies in the Emerging Markets
by Chenlu Li & Ruochen Li & Yuan Tian - 3445-3467 Short-selling Activity and Return Predictability: Evidence from the Chinese Stock Market
by Lanlan Liu & Dan Luo & Ningru Zhao - 3468-3489 Disclosure Quality Rankings and Stock Misvaluation – Evidence from Chinese Stock Market
by Zhu Yang & Kung-Cheng Ho & Xixi Shen & Lisi Shi - 3490-3506 Institutional Investors, Real Earnings Management and Cost of Equity: Evidence from Listed High-tech Firms in China
by Han Gao & Zhuyi Shen & Yichen Li & Xuxin Mao & Yukun Shi - 3507-3521 The Structural Changes of Liquidity Risk, and Liquidity Risk Premium in China Stock Market
by Xinxin Ma & Pengcheng Song & Xuan Zhang - 3522-3550 Investor Disagreement, Government Subsidies and the Abnormal Day-one Returns of IPOs: Evidence from China
by Xiaoying Zhai & Yahui Hao & Eric M. Scheffel & Yongmin Zhang
October 2020, Volume 56, Issue 13
- 2945-2962 Network Connectedness among Northeast Asian Financial Markets
by Hahn Shik Lee & Woo Suk Lee - 2963-2976 Deficiencies in China’s Island Development Processes Compared with Other Countries
by Xiang Ma & Wei Wu - 2977-2992 Environmental Efficiency Analysis of Urban Agglomerations in China: A Non-Parametric Meta-Frontier Approach
by Tao Ding & Huaqing Wu & Qianzhi Dai & Zhixiang Zhou & Changchun Tan