Content
January 2019, Volume 55, Issue 1
- 90-104 Why Did FDI Inflows of Pakistan Decline? From the Perspective of Terrorism, Energy Shortage, Financial Instability, and Political Instability
by Sadia Bano & Yuhuan Zhao & Ashfaq Ahmad & Song Wang & Ya Liu - 105-117 Oil Prices and Monetary Policy in Emerging Markets: Structural Shifts in Causal Linkages
by Saban Nazlioglu & Alper Gormus & Ugur Soytas - 118-132 Predicting Prepayment and Default Risks of Unsecured Consumer Loans in Online Lending
by Zhiyong Li & Ke Li & Xiao Yao & Qing Wen - 133-149 Research Performance of Turkish Economists and Economics Departments: Another Update and a Review of the 2000s
by Murat Çokgezen - 150-167 The Profitability of Moving Average Rules: Smaller Is Better in the Brazilian Stock Market
by José Luis Miralles-Quirós & María del Mar Miralles-Quirós & Luis Miguel Valente Gonçalves - 168-180 Exchange Rate Targeting and Gold Demand by Central Banks: Modeling International Reserves Composition
by Aleksandr V. Gevorkyan & Tarron Khemraj - 181-200 The Impact of Liquidity on Debt Maturity After a Financial Crisis: Evidence from the Gulf Cooperation Council Region
by Karim Mimouni & Akram Temimi & Mohamed Goaied & Rami Zeitun - 201-217 Long Memory in Turkish Unemployment Rates
by Luis Alberiko Gil-Alana & Zeynel Abidin Ozdemir & Aysit Tansel - 218-235 Brand Equity and Firm Risk: An Empirical Investigation in an Emerging Market
by Yilmaz Yildiz & Selin Metin Camgoz
December 2018, Volume 54, Issue 15
- 3385-3400 Analyzing Determinants of Household Financial Decision-Making: Household Stock Investment in China
by Jing Zhou & Tianhua Xiao - 3401-3410 Determinants of Credit Constraints: Evidence from Sindh, Pakistan
by Abbas Ali Chandio & Yuansheng Jiang - 3411-3425 Performance of Cross Listed Dual-Class Firms: Evidence from Chinese Firms Cross Listed on US Exchanges
by Abdullah & Jia’nan Zhou & Muhammad Hashim Shah - 3426-3437 Estimation and Explanation of Time-Varying Weights in Chinese CPI
by Yuhuang Shang & Chunhui Zhu & Shaoyu Li - 3438-3453 The Impact of Public Expenditure and International Trade on Agricultural Productivity in China
by Binlei Gong - 3454-3469 How Do Institutional Investors Affect Corporate Performance? Evidence from Private Placements in China
by Qizhi Tao & Ming Liu & Qingchen Feng & Yingjun Zhu - 3470-3484 Political Environment and Chinese OFDI Under RMB Appreciation: A Panel Data Analysis
by Haiyue Liu & Xiaolan Chen & Ying Wu - 3485-3499 Using Social Influence Processes and Psychological Factors to Measure Pervasive Adoption of Social Networking Sites: Evidence from Pakistan
by Jiang Yushi & Muhammad Hasnain Abbas Naqvi & Mishal Hasnain Naqvi - 3500-3518 Insider Selling and IPO Price Premium
by Chunhua Chen & Tianze Li & Yingqi Li & Steven Xiaofan Zheng - 3519-3538 Moral and Ethical Antecedents of Attitude Toward Counterfeit Luxury Products: Evidence from Pakistan
by Yushi Jiang & Luo Xiao & Tariq Jalees & Mishal Hasnain Naqvi & Syed Imran Zaman - 3539-3551 The Impact of Business Groups on Investment Efficiency: Does Capital Allocation Matter?
by Wenhao Tan & Shuangli Yu & Zhenpeng Ma - 3552-3565 Monetary Policy Reaction Functions of the TICKs: A Quantile Regression Approach
by Christina Christou & Ruthira Naraidoo & Rangan Gupta & Won Joong Kim - 3566-3576 The Cross-Section of Expected Stock Returns: New Evidence from an Emerging Market
by Thach Ngoc Pham & Vuong Minh Nguyen & Duc Hong Vo - 3577-3577 Editorial Board EOV
by The Editors
November 2018, Volume 54, Issue 14
- 3153-3167 Effect of Cross-Border E-Business Policy on the Export Trade of an Emerging Market: A Dynamic Study of Institutional Support to Cross-Border E-Business at Chinese Pilot Cities
by Da Huo & Rihui Ouyang & Ken Hung & Baowen Sun - 3168-3188 Investor Attention and Stock Returns: International Evidence
by Liyan Han & Ziying Li & Libo Yin - 3189-3208 Online Search Frequency, Retail Investor Overreaction, and the Cross-Section of Stock Returns: Evidence from the Chinese Stock Market
by Jiaqi Chen - 3209-3234 Platform Externality, Asymmetric Information, and Counterfeit Deterrence in E-Commerce
by Qi Miao & Danxia Xie & Weiqiang Zhong - 3235-3255 Expectations, Behavior, and Stock Market Volatility
by Yong Wang & Hanzhong Deng - 3256-3271 Evolutionary Approaches and the Construction of Technology-Driven Regulations
by Dong Yang & Min Li - 3272-3293 Portfolio Diversification Benefits at Different Investment Horizons During the Arab Uprisings: Turkish Perspectives Based on MGARCH–DCC and Wavelet Approaches
by Abdul Aziz Buriev & Ginanjar Dewandaru & Mohd-Pisal Zainal & Mansur Masih - 3294-3311 International Equity Index and Currency Futures: Commodity Currencies or Emerging Versus Developed Markets?
by Timothy A. Krause & Yiuman Tse - 3312-3329 Group Affiliation and Ownership Concentration as Determinants of Capital Structure Decisions: Contextualizing the Facts for an Emerging Economy
by Paolo Saona & Pablo San Martín & Mauricio Jara - 3330-3350 Stakeholder Returns of Islamic Banks Versus Conventional Banks
by Begumhan Ozdincer & Ayse Yuce - 3351-3365 Impact of Government Intervention on Industrial Cluster Innovation Network in Developing Countries
by Qi Zhong & Tang Tang - 3366-3383 Managerial Placement and Entrenchment
by Qizhi Tao & Zhao Zhao & Mingming Zhang & Xueman Xiang
October 2018, Volume 54, Issue 13
- 2897-2908 Creating Financial Cycles in China and Interaction with Business Cycles on the Chinese Economy
by Chung-Hua Shen & Jun-Yu Ren & Yu-Li Huang & Jun-Guo Shi & An-Qi Wang - 2909-2924 The Dynamics of Financial Market Integration Between Chinese A- and H-Shares
by Di Yuan & Xiafei Zhou & Shan Li - 2925-2947 Financial Development and Economic Growth: Do Outliers Matter?
by Chung-Hua Shen & Xingyu Fan & Dengshi Huang & Hongquan Zhu & Meng-Wen Wu - 2948-2964 Old-Age Social Insurance and Household Consumption: Evidence from China
by Dihong Chen & Chunv Xiao & Jiaheng Zang & Zilan Liu - 2965-2981 Do Female Executives Prioritize Corporate Social Responsibility?
by Ziang Zou & Yuqing Wu & Qi Zhu & Shenggang Yang - 2982-2994 Can Listing Information Indicate Borrower Credit Risk in Online Peer-to-Peer Lending?
by Yi Liu & Quanli Zhou & Xuan Zhao & Yudong Wang - 2995-3012 Are Farmers’ Behaviors Rational When They Pay Less for Social Endowment Insurance? Evidence from Chinese Rural Survey Data
by Zhonghai Liu & Kuangqi Li & Ning Zhang & Lianyou Li & Yi Fan - 3013-3029 The Effects of the Sharing Economy: How Does Internet Finance Influence Commercial Bank Risk Preferences?
by Haishu Qiao & Meilin Chen & Yue Xia - 3030-3050 Can Insurance Activity Act as a Stimulus of Economic Growth? Evidence from Time-Varying Causality in China
by Deng-Kui Si & Xiao-Lin Li & Shi-jie Jiang - 3051-3063 Interest Rate Pass-Through in China: An Analysis of Chinese Commercial Banks
by Bo Liu & Chang Liu & Jiangang Peng - 3064-3080 Intra-Provincial Financial Disparity, Economic Disparity, and Regional Development in China: Evidence from Prefecture-Level City Data
by Ke Zou & Jing He - 3081-3099 Heterogeneity of Funds and Information Disclosure: Evidence
by Yanjian Zhu & Zhaoying Wu & Xiaolin Yang - 3100-3116 The Onshore–Offshore Exchange Rate Differential, Interest Rate Spreads, and Internationalization: Evidence from the Hong Kong Offshore Renminbi Market
by Yinghua Ren & Lin Chen & Ye Liu - 3117-3130 Fuel Intensity, Access to Finance and Profitability: Firm-Level Evidence from China
by Lingbing Feng & Tong Fu & Ali M. Kutan - 3131-3151 Asymmetric Cointegration, Nonlinear ARDL, and the J-Curve: A Bilateral Analysis of China and Its 21 Trading Partners
by Mohsen Bahmani-Oskooee & Niloy Bose & Yun Zhang
September 2018, Volume 54, Issue 12
- 2651-2668 Political Connection, Ownership, and Post-Crisis Industrial Upgrading Investment: Evidence from China
by Bao Wu & Haiyan Liang & Yan Shen - 2669-2686 Carbon Disclosure, Financial Transparency, and Agency Cost: Evidence from Chinese Manufacturing Listed Companies
by Zhifang Zhou & Hong Zhou & Danlu Peng & Xiao-hong Chen & Shi-hui Li - 2687-2697 Market Reform and Efficiency: The Case of KOSPI200 Options
by Heejin Yang & Doojin Ryu & Doowon Ryu - 2698-2717 The Resource Curse Hypothesis: Dynamic Heterogeneous Approach
by Dong-Hyeon Kim & Shu-Chin Lin - 2718-2735 Bilateral Export Trade, Outward and Inward FDI: A Dynamic Gravity Model Approach Using Sectoral Data from Malaysia
by Siew Yean Tham & Soo Khoon Goh & Koi Nyen Wong & Ahmad Fadhli - 2736-2764 Firm- and Country-Level Attributes as Determinants of Earnings Management: An Analysis for Latin American Firms
by Paolo Saona & Laura Muro - 2765-2777 The New Stock that Did Not Underperform
by Bader S. Alhashel - 2778-2798 The Impact of Institutions and Exchange Rate Volatility on China’s Outward FDI
by Yang Li & Erick W. Rengifo - 2799-2814 Export Sophistication: A Dynamic Panel Data Approach
by Evžen Kočenda & Karen Poghosyan - 2815-2833 On Foreign Shareholdings and Agency Costs: New Evidence from China
by Jiang Hai & Huang Min & James R. Barth - 2834-2850 Effective or Manipulated Crawling Pegged? Examining the Efficiency of China’s Foreign Exchange Markets
by W. D. Chen - 2851-2873 Financial Regulations, Financial Literacy, and Financial Inclusion: Insights from Kenya
by Odongo Kodongo - 2874-2896 Effect of Shariah Compliance on Operating Performance: Evidence from GCC Countries
by Serkan Akguc & Naseem Al Rahahleh
September 2018, Volume 54, Issue 11
- 2409-2432 Information of Unusual Trading Volume
by Yugang Yin & Yahui Liu - 2433-2454 How Does Asymmetric Information Affect Catering Behavior?
by Szu-Hsien Lin & Huei-Hwa Lai & Ai-Chi Hsu - 2455-2471 Market Sentiment and Investor Overreaction: Evidence from New York Listed Asian Country Exchange Traded Funds
by Jason Zhe Ma & Kung-Cheng Ho & Lu Yang & Chien-Chi Chu - 2472-2494 Quality of Corporate Social Responsibility Disclosure and Cost of Equity Capital: Lessons from China
by Shaofang Li & Chao Liu - 2495-2515 Crowding Out in a Dual Currency Regime? Digital Versus Fiat Currency
by KiHoon Hong & Kyounghoon Park & Jongmin Yu - 2516-2532 Filtered Historical Simulation for Initial Margin of Interest Rate Swap Under Korean Market
by Kyungsub Lee & Byoung Ki Seo - 2533-2556 IFRS Adoption and the Choice Between Public and Private Debt: Evidence from South Korea
by Kyoungwon Mo & Jaehong Lee - 2557-2576 Examining the Equilibrium Relationship Between the Shanghai 50 Stock Index Futures and the Shanghai 50 ETF Options Markets
by Jinzhong Wang & Hao Kang & Fei Xia & Guowei Li - 2577-2595 Stock Market Reaction to Monetary Policy: An Event Study Analysis of the Brazilian Case
by Flávio de Freitas Val & Marcelo Cabus Klotzle & Antonio Carlos Figueiredo Pinto & Claudio Henrique da Silveira Barbedo - 2596-2613 Finance–Growth Nexus: New Insights from the West African Region
by Kizito Uyi Ehigiamusoe & Hooi Hooi Lean - 2614-2629 The Effects of Ownership Structure and Intragroup Loans on Leverage: Evidence from Family Firms in Chile
by Mauricio Jara & Cristian Pinto-Gutiérrez & Paula Núñez - 2630-2649 Trade and Growth in the New Member States: The Role of Global Value Chains
by Jan Hagemejer
August 2018, Volume 54, Issue 10
- 2169-2191 Foreign Investment in Emerging Markets: International Diversification or Familiarity Bias?
by Yunxiao Liu & James L. Park & Bumjean Sohn - 2192-2206 Do Changes in Industrial Policy Affect Allocation of Financial Resources Among Subsidiaries?
by Riguang Wen & Shaoqin Ye - 2207-2224 Legal System and Trade Credit: Evidence from Emerging Economies
by Yunong Li & Mao Zhou & Yan Du & Wei Zhao - 2225-2244 Coaches or Speculators? The Role and Impact of Venture Capital on Executive Compensation in Chinese Listed Companies
by Yangbin Sun & Cheng Cheng & Shenggang Yang - 2245-2257 Is China’s Manufacturing Industry Efficient? Evidence from an Energy-Rebound Effect Perspective
by Guangyu Chen & Boqiang Lin & Bin Ye - 2258-2277 The Effect of a Complex Ownership Structure and Judicial Efficiency on Leverage: Evidence from Pakistani Listed Companies
by Muhammad Hashim Shah & Xiao Zuoping & Abdullah & Muhammad Kashif Shah - 2278-2295 Risk Awareness of Interpersonal Trust and Entrepreneurship in China: Evidence from Survey Data
by Li Xiong & Biyan Tang & Ke Xu & Gang Wu - 2296-2314 Decomposing Labor Share Movements in a Small Open Economy: The Case of Korea
by Bae-Geun Kim - 2315-2332 Effects of Ownership Structure on Capital Structure of Indian Listed Firms: Role of Business Groups vis-à-vis Stand-Alone Firms
by Indrani Chakraborty - 2333-2347 Peer Effects in Consumption Among Chinese Rural Households
by Chen Ling & Anquan Zhang & Xiaopeng Zhen - 2348-2366 Do Islamic Stock Returns Hedge Against Inflation? A Wavelet Approach
by Norazza M. Haniff & Abul Mansur M. Masih - 2367-2381 Contagion Effect in International Trade After the Japanese 311 Earthquake
by Yu-Che Huang & Chaug-Ing Hsu & K. I. Wong - 2382-2399 Monitoring Role of Venture Capital in the Initial Public Offerings: Evidence from Korea
by Chi-Seung Song & Youngjoo Lee - 2400-2408 Positive Feedback Trading and Investor Sentiment
by Zhi-Min Dai & De-Cheng Yang
July 2018, Volume 54, Issue 9
- 1925-1926 Challenges in the Recent Experience of Emerging Market Economies
by Manuel Duarte Rocha - 1927-1945 Challenges of Fiscal Policy in Emerging and Developing Economies
by Raju Huidrom & M. Ayhan Kose & Franziska L. Ohnsorge - 1946-1962 International Evidence on Risk Taking by Banks Around the Global Financial Crisis
by Seza Danışoğlu & Z. Nuray Güner & Hande Ayaydın Hacıömeroğlu - 1963-1972 State Dependence in Poverty: The Case of Turkey
by Julide Yildirim & M. Akif Bakır & Ayse Savas - 1973-1992 Multiples’ Valuation: The Selection of Cross-Border Comparable Firms
by Ricardo Goulart Serra & Luiz Paulo Lopes Fávero - 1993-2020 Price- vs. Quantity-Based Monetary Policies and Credit Substitution Asymmetry
by Xiaojun Shi & Rong Ma & Xing Liu - 2021-2039 Role of Algorithmic and Co-Location Trading on the Speed of Information Adjustments: Evidence from India
by Mohammad Shameem Jawed & Prasenjit Chakrabarti - 2040-2052 Why Do Firms Switch Banks? Evidence from China
by Wei Yin & Kent Matthews - 2053-2077 Political and Interlocking Connections in the Boardroom on Private Equity Placements
by M. M. Fonseka & Omar Al Farooque & R. L. Theja N. Rajapakse & Gao-Liang Tian - 2078-2092 Consequences of the Treasury Single Account Policy on the Wealth of Nigerian Commercial Banks’ Shareholders
by Olayinka Moses & Dimu Ehalaiye & Sebastian Maimako & Kayode Fasua - 2093-2116 Inflation Targeting, Fiscal Policy, and the Exchange Rate Regime
by Semih Emre Çekin - 2117-2135 Steward Effects of Target Founder-CEO in Takeovers
by Qizhi Tao & Fei Shen & Yingying Shao & Guowei Li - 2136-2152 The Explanatory Power and the Forecast Performance of Consumer Confidence Indices for Private Consumption Growth in Turkey
by Hatice Gökçe Karasoy Can & Çağlar Yüncüler - 2153-2168 Trade Size Preference of Informed Traders in Indian Equity Markets
by Kidambi Sridharan Sriram & Arun Kumar Gopalaswamy
June 2018, Volume 54, Issue 8
- 1687-1692 Energy Finance: Background, Concept, and Recent Developments
by Dayong Zhang - 1693-1705 Asymmetric Impact of Oil Price Shock on Stock Market in China: A Combination Analysis Based on SVAR Model and NARDL Model
by Chunyan Hu & Xinheng Liu & Bin Pan & Bin Chen & Xiaohua Xia - 1706-1719 Regime-Dependent Effect of Crude Oil Price on BRICS Stock Markets
by Durmuş Çağrı Yıldırım & Seyfettin Erdoğan & Emrah İsmail Çevik - 1720-1739 Performance of Electricity Price Forecasting Models: Evidence from Turkey
by Umut Ugurlu & Oktay Tas & Umut Gunduz - 1740-1760 Stand by or Follow? Responsibility Diffusion Effects and Green Credit
by Ling-Yun He & Li Liu - 1761-1777 Financing Renewable Energy Projects in Major Emerging Market Economies: Evidence in the Perspective of Sustainable Economic Development
by Ali M. Kutan & Sudharshan Reddy Paramati & Mallesh Ummalla & Abdulrasheed Zakari - 1778-1792 Energy Savings and Economic Impact of Green Roofs: A Pilot Study
by Serdar Celik & Ayla Ogus Binatli - 1793-1807 The Forward Premium in the Nord Pool Power Market
by Erik Haugom & Guttorm A. Hoff & Peter Molnár & Maria Mortensen & Sjur Westgaard - 1808-1826 Degree of Integration Between Brent Oil Spot and Futures Markets: Intraday Evidence
by A. Can Inci & H. Nejat Seyhun - 1827-1836 Risk Transmission from Oil and Natural Gas Futures to Emerging Market Mutual Funds
by Bradley T. Ewing & Alper Gormus & Ugur Soytas - 1837-1855 Time-Varying Spillover and the Portfolio Diversification Implications of Clean Energy Equity with Commodities and Financial Assets
by Wasim Ahmad & Shirin Rais - 1856-1871 The Impact of Monetary and Fiscal Policy Shocks on Stock Markets: Evidence from China
by Lei Hu & Junying Han & Qiang Zhang - 1872-1884 What Drives Internet Industrial Competitiveness in China? The Evolvement of Cultivation Factors Index
by Xi Chen & Jing He & Ming-Hsiang Chen - 1885-1906 Earnings Announcement Lags and Market Responses—Does the Tone of the News and the Market Sentiment Matter?
by Laivi Laidroo & Joonas Joost - 1907-1923 Determinants of the Performance of Investment Promotion Agencies: Evidence from a Mix of Emerging Economies
by Sung-Hoon Lim
May 2018, Volume 54, Issue 7
- 1461-1462 Asian Economic Integration
by Jehoon Park - 1463-1474 Political Economy of Regional Integration: The Northeast Asian Model Revisited
by Jehoon Park - 1475-1489 Trade Between North Korea and China: Firm-Level Analysis
by Seung-Ho Jung & Byung-Yeon Kim - 1490-1512 Structural Changes in China’s Import Market: A Comparison with Korea’s Exports to China
by Furong Jin & Jihyun Jung - 1513-1537 Sovereign Risk Contagion in East Asia: A Mixture of Time-Varying Copulas Approach
by Yongwoong Lee & KiHoon Hong & Kisung Yang - 1538-1556 Dynamic Currency Linkages and Their Determinants: An Empirical Study for East Asian Economic Community Region
by Piyush Pandey & Sanjay Sehgal - 1557-1577 Economic Impacts of the Possible China–US Trade War
by Chunding Li & Chuantian He & Chuangwei Lin - 1578-1585 Offshoring Quotas and Strategic Export Subsidies
by Subhayu Bandyopadhyay & Koushik Ghosh - 1586-1607 What Drives Shareholder Reaction and Wealth Effect in Block Trades? Evidence from the Warsaw Stock Exchange
by Katarzyna Byrka-Kita & Mateusz Czerwiński & Agnieszka Preś-Perepeczo - 1608-1622 The Determinants of Nonperforming Loans Before and After the Crisis: Challenges and Policy Implications for Turkish Banks
by Vuslat Us - 1623-1634 Profitability Life Cycle of Foreign Direct Investment: Application to the Czech Republic
by Filip Novotný - 1635-1652 An Analysis of Trade Patterns and the Effects of the Real Exchange Rate Movements in East Asia
by Moon Jung Choi & Geun-Young Kim & Joo Yong Lee - 1653-1671 Carbon Price in China: A CO2 Abatement Cost of Wind Power Perspective
by Boqiang Lin & Yufang Chen - 1672-1685 Can Foreigners Improve the Profitability of Emerging Market Banks? Evidence from the Vietnamese Strategic Partner Program
by Giang Phung & Michael Tröge
May 2018, Volume 54, Issue 6
- 1205-1207 Overcoming the Middle-Income Challenge
by Joshua Aizenman & Barry Eichengreen & Donghyun Park - 1208-1224 Asia’s Middle-Income Challenge: An Overview
by Gemma Estrada & Xuehui Han & Donghyun Park & Shu Tian - 1225-1238 Population Aging and the Possibility of a Middle-Income Trap in Asia
by Joonkyung Ha & Sang-Hyop Lee - 1239-1263 The Evolution and Impact of Infrastructure in Middle-Income Countries: Anything Special?
by Abdul Abiad & Margarita Debuque-Gonzales & Andrea Loren Sy - 1264-1284 The Role of Total Factor Productivity Growth in Middle-Income Countries
by Jungsuk Kim & Jungsoo Park - 1285-1303 Human Capital Spending, Inequality, and Growth in Middle-Income Asia
by Michael R.M. Abrigo & Sang-Hyop Lee & Donghyun Park - 1304-1319 Financial Health and the Intensive Margin of Trade
by Deniz Baglan & Hakan Yilmazkuday - 1320-1336 Exploring Portfolio Diversification Opportunities Through Venture Capital Financing: Evidence from MGARCH-DCC, Markov Switching, and Wavelet Approaches
by Yusuf Jaffar & Ginanjar Dewandaru & Mansur Masih - 1337-1357 Unemployment Clubs in Russian Regions
by Tatiana Danilenko & Olga Demidova & Marcello Signorelli - 1358-1374 The Investment Performance of Art in Mainland China
by Yang Shi & Paul Conroy & Mancang Wang & Chenlu Dang - 1375-1390 Country Risk, Regulation, and Liquidity Transformation in Palestine and Neighboring Countries
by Luis Otero González & Sami Othman Ashour & Jose Antonio Redondo-López & Luis Ignacio Rodríguez Gil - 1391-1413 Labor Union Effect on Corporate Cash Holdings and Their Marginal Value
by Minshik Shin & Sooeun Kim & Jongho Shin & Jaeik Lee - 1414-1424 Directional Accuracy of Urban Consumers’ Inflation Forecasts in China
by Young Bin Ahn - 1425-1441 The Relevance of Western Corporate Governance in Mitigating Management Misconduct in Thailand
by Puritud Inya & Jim Psaros & Michael Seamer - 1442-1459 Asymmetry Effects of Exchange Rate Changes on Domestic Production in Emerging Countries
by Mohsen Bahmani-Oskooee & Amirhossein Mohammadian
April 2018, Volume 54, Issue 5
- 957-980 U.S. Money Supply and China’s Business Cycles
by Yanbin Chen & Kai Liu & Zhexi Liu - 981-991 The Effects of Oil Price on the Korean Economy: A Global VAR Approach
by Hail Park & Yongcheol Shin - 992-1010 Credit Allocation and Firm Productivity Under Financial Imperfection: Evidence from Chinese Manufacturing Firms
by Hua Shang & Teng Zhang & Puman Ouyang - 1011-1046 Corporate Fraud and Corporate Bond Costs: Evidence from China
by Min Zhang & Guangming Gong & Si Xu & Xun Gong - 1047-1062 Are Controlling Shareholders Influencing the Relationship Between CSR and Earnings Quality? Evidence from Chinese Listed Companies
by Antai Li & Xinping Xia - 1063-1081 Determinants of Labor Productivity in MENA Countries
by Nahla Samargandi - 1082-1095 Can Industrial Restructuring Significantly Reduce Energy Consumption? Evidence from China
by Boqiang Lin & Guanglu Zhang - 1096-1111 Cross-Border Mergers and Acquisitions and the Role of Free Trade Agreements
by Tan Li & Ying Xue & Jian Lu & Ang Li - 1112-1131 Flexibility of Adjustment to Shocks: Economic Growth and Volatility of Middle-Income Countries Before and After the Global Financial Crisis of 2008
by Joshua Aizenman & Yothin Jinjarak & Gemma Estrada & Shu Tian - 1132-1149 The Disclosure Practices of Islamic Equity Funds
by Yunieta Anny Nainggolan & Irwan Trinugroho - 1150-1182 Business Groups in Emerging Markets: A Survey and Analysis
by Sharon Poczter - 1183-1203 Corporate Social Responsibility, Corporate Performance, and Pay-Performance Sensitivity—Evidence from Shanghai Stock Exchange Social Responsibility Index
by Yuan Chang & Ting-Hsuan Chen & Min-Cheng Shu
March 2018, Volume 54, Issue 4
- 721-732 Internet Finance: Its Uncertain Legal Foundations and the Role of Big Data in Its Development
by Dong Yang & Pu Chen & Fuyuan Shi & Chenggong Wen - 733-746 Forecasting Chinese GDP Using Online Data
by Taoxiong Liu & Xiaofei Xu & Fangda Fan - 747-760 Real Estate Confidence Index Based on Real Estate News
by Yukun Ma & Bin Xu & Xiaofei Xu - 761-773 A Study of Volatility and Externality Compensative Return of Internet Financial Products in the Case of Yuebao
by Yongwei Chen & Jiawei Pang & Weiying Zhang - 774-782 Continuous Cash Flow Payment: Theories and Practice Framework
by Xia Zhang & Cong Wu - 783-791 The Value of Crowdfunding: An Explanation Based on Demand Uncertainty and Comparison with Venture Capital
by Hang Liu & Yong Wang - 792-800 Which Socio-Economic Indicators Influence Collective Morality? Big Data Analysis on Online Chinese Social Media
by Yu Zhang & Feng Yu - 801-810 Internationalization Strategy of Chinese E-Business Companies
by Da Huo & Rihui Ouyang - 811-835 Credit Risk Research: Review and Agenda
by Stephen Zamore & Kwame Ohene Djan & Ilan Alon & Bersant Hobdari - 836-858 The Landscape of Economic Growth: Do Middle-Income Countries Differ?
by Barry Eichengreen & Donghyun Park & Kwanho Shin - 859-880 Unraveling the Financial Contagion in European Stock Markets During Financial Crises: Multi-Timescale Analysis
by Ginanjar Dewandaru & Rumi Masih & Mansur Masih - 881-900 New Measures for Inflation Uncertainty and Disagreement from Treasury Auctions: Alternative to Surveys
by Mustafa Haluk Güler & Tandoğan Polat - 901-920 Earnings Quality Effect on Corporate Excess Cash Holdings and Their Marginal Value
by Minshik Shin & Sooeun Kim & Jongho Shin & Jaeik Lee - 921-934 Will Order Imbalances Predict Stock Returns in Extreme Market Situations? Evidence from China
by Lanjun Lao & Shu Tian & Qidan Zhao - 935-956 A Multiple and Partial Wavelet Analysis of the Oil Price, Inflation, Exchange Rate, and Economic Growth Nexus in Saudi Arabia
by Chaker Aloui & Besma Hkiri & Shawkat Hammoudeh & Muhammad Shahbaz
February 2018, Volume 54, Issue 3
- 489-490 Guest Editors' Introduction: Emerging Market Economies: Global Financial Crises and Resiliency
by Tudorel Toader & Mihaela Onofrei & Alin Marius Andrieș - 491-507 The Asset Growth Effect and Investor Protection in Emerging Markets: The Role of the Global Financial Crisis
by Halit Gonenc & Silviu Ursu - 508-536 What Drives the Creation of New Businesses? A Panel-Data Analysis for EU Countries
by Angela Roman & Irina Bilan & Cristina Ciumaș - 537-551 Are Private Vices Public Finance Virtues? An Empirical Investigation
by Sebastian Lazar & Bogdan Gabriel Zugravu & Adina Dornean - 552-570 The Impact of Public Expenditures on Economic Growth: A Case Study of Central and Eastern European Countries
by Dan Lupu & Mihai Bogdan Petrisor & Ana Bercu & Mihaela Tofan - 571-590 Study of Effective Corporate Tax Rate and Its Influential Factors: Empirical Evidence from Emerging European Markets
by Georgeta Vintilă & Ştefan Cristian Gherghina & Radu Alin Păunescu - 591-617 Corruption and Banking Stability: Evidence from Emerging Economies
by Tudorel Toader & Mihaela Onofrei & Ada-Iuliana Popescu & Alin Marius Andrieș - 618-641 Contagion of Capital Markets in CEE Countries: Evidence from Wavelet Analysis
by Dumitru Nicuşor Cărăuşu & Bogdan Florin Filip & Elena Cigu & Carmen Toderaşcu - 642-660 An Empirical Examination of the Dissemination of Equity Price Innovations Between the Emerging Markets of Nordic-Baltic States and Major Advanced Markets
by Richard A. Ajayi & Seyed Mehdian & Ovidiu Stoica - 661-676 Hotel Efficiency Analysis from the Customer’s Point of View in Romania: A Stochastic Production Frontier Approach
by Liviu-George Maha & Elena Daniela Viorică & Mircea Asandului & Andreea Maha - 677-689 Investments, Credit, and Corporate Financial Distress: Evidence from Central and Eastern Europe
by Kadri Männasoo & Peeter Maripuu & Aaro Hazak - 690-706 Incomplete Exchange Rate Pass-Through: Evidence from Exchange Rate Reform in China
by Yunong Li & Teng Zhang - 707-720 Investor Trading Behavior and Sentiment in Futures Markets
by Bin Gao & Chunpeng Yang
January 2018, Volume 54, Issue 2
- 255-268 The Effect of Corporate Social Responsibility on Cost of Corporate Bond: Evidence from China
by Jun Huang & Wei Hu & Guowei Zhu - 269-287 The Impact of Financial Development on Energy Demand: Evidence from China
by Lu Liu & Chong Zhou & Junbing Huang & Yu Hao - 288-306 Dissecting Real Exchange Rate Fluctuations in China
by Yong Chen & Dingming Liu - 307-327 Does Cross-Listing Really Enhance Market Efficiency for Stocks Listed in the Home Market? The Perspective of Noise Trading in the Chinese Stock Market
by Yingyi Hu & Tiao Zhao - 328-335 Financial System and Housing Price
by Changkyu Choi & Kyungsun Park - 336-358 Audit Pricing of Shared Leadership
by Youn-Sik Choi & Jiwon Hyeon & Taejin Jung & Woo-Jong Lee - 359-376 Financial Structure and Income Inequality: Evidence from China
by Xiaohui Hou & Shuo Li & Qing Wang - 377-392 The Urban–Rural Gap of Chinese Household Finance
by Yubing Sui & Geng Niu - 393-409 Central Transfer and Fiscal Capacity in China: Evidence from the Tax-Sharing System
by Meng Sun & Qichun He - 410-429 Do Stock Index Futures Affect Economic Growth? Evidence from 32 Countries
by İlkay Şendeniz-Yüncü & Levent Akdeniz & Kürşat Aydoğan - 430-449 European Union Enlargement Announcement and Corporate Valuations
by Katarzyna Platt