Content
October 2019, Volume 55, Issue 13
- 3058-3068 Time-Varying Comovement of Chinese Stock and Government Bond Markets: Flight to Safe Haven
by Hyunchul Lee & Kyungtag Lee & Xinrong Zhang - 3069-3093 Banking Sector Reform, Competition, and Bank Stability: An Empirical Analysis of Transition Countries
by Shaofang Li - 3094-3111 Determinants of Low Inflation in an Emerging, Small Open Economy through the Lens of Aggregated and Disaggregated Approach
by Karol Szafranek & Aleksandra Hałka - 3112-3130 The Effect of Monetary and Fiscal Policy on Bond Mutual Funds and Stock Market: An International Comparison
by Fiza Qureshi & Habib Hussain Khan & Ijaz ur Rehman & Saba Qureshi & Abdul Ghafoor
September 2019, Volume 55, Issue 12
- 2669-2672 New Challenge and Research Development in Global Energy Financialization
by Qiang Ji & Jianping Li & Xiaolei Sun - 2673-2688 Stranded Coal Power Assets in China: A Case Study of Jilin Province
by Jiahai Yuan & Xiaoxuan Guo & Weirong Zhang & Jinghong Zhou & Chengju Qin - 2689-2702 The Impacts of an Energy Price Decline Associated with a Carbon Tax on the Energy-Economy-Environment System in China
by Zhengquan Guo & Xingping Zhang & Daojuan Wang & Xiaonan Zhao - 2703-2717 Dynamic Spillover Effect Between Oil Prices and Economic Policy Uncertainty in BRIC Countries: A Wavelet-Based Approach
by Xiuwen Chen & Xiaolei Sun & Jun Wang - 2718-2737 Measurement of the Price Distortion Degree for Exhaustible Energy Resources in China: A Discount Rate Perspective
by Keyi Ju & Qunwei Wang & Lifan Liu & Dequn Zhou - 2738-2755 Inferring Energy Stock Returns Based on Financial Indicators from the Network Perspective
by Xian Xi & Xiangyun Gao & Qing Guan & Nairong Liu & Sida Feng & Xueyong Liu & Pengli An - 2756-2773 Interaction between Oil Price and Investor Sentiment: Nonlinear Causality, Time- Varying Influence, and Asymmetric Effect
by Zhifang He & Fangzhao Zhou & Xiaohua Xia & Fenghua Wen & Yiyuan Huang - 2774-2795 Knowledge Transfer from Multinationals through Labour Mobility: Are There Effects on Productivity, Product Sophistication and Exporting?
by Jaan Masso & Priit Vahter - 2796-2808 Do Stringent Environmental Regulations Attract Foreign Direct Investment in Developing Countries? Evidence on the “Race to the Top” from Cross-Country Panel Data
by Yeseul Kim & Dong-Eun Rhee - 2809-2833 (Ab)Normal Returns in an Emerging Stock Market: International Investor Perspective
by Paulina Roszkowska & Lukasz K. Langer - 2834-2850 Does Real Activities Management Influence Earnings Quality and Stock Returns in Emerging Markets? Evidence from Korea
by Kwang Hwa Jeong & Seung Uk Choi - 2851-2870 The Role of Private Equity When Portfolio Firms Go Public: Evidence from ChiNext Board
by Yao Li & Mike Wright & Louise Scholes & Ziwei Zhang - 2871-2885 Comparison of Business Environments in Oil-Rich MENA Countries: A Clustering Analysis of Economic Diversification and Performance
by Şule L. Aker & Iman Aghaei - 2886-2903 Individual Stock Cash Inflow–Outflow Imbalance, Individual Stock Investor Sentiment and Excess Returns
by Chunpeng Yang & Jianlei Yang - 2904-2927 On the Mystery of Financial Conservatism: Insights from Pakistan
by Ammara Yasmin & Abdul Rashid
September 2019, Volume 55, Issue 11
- 2389-2408 Inflation Targeting and Inflation Risk in Latin America
by Bruno Ferreira Frascaroli & Wellington Charles Lacerda Nobrega - 2409-2424 Banks’ Governance and Innovation: Evidence from the Listed Firms in China
by Yanjian Zhu - 2425-2436 Do Loan Loss Provisions Affect the Credit Fluctuations in China’s Banking System?
by Zongrun Wang & Nan Xie & Yanbo Jin - 2437-2447 Excessive Financial Support, Real Estate Development and Macroeconomic Growth: Evidence from China
by Feiyan Wang & Guanghe Ran - 2448-2472 Boardroom Diversity and Operating Performance: The Moderating Effect of Strategic Change
by Chih-shun Hsu & Wei-hung Lai & Sin-hui Yen - 2473-2496 Government and Financial Institutional Determinants of Development in MENA Countries
by Mahmoud Arayssi & Ali Fakih & Mohamad Kassem - 2497-2522 How Does Information Disclosure Affect Bank Systemic Risk in the Presence of a Deposit Insurance System?
by Bo Zhu & Li Li & Yao Zhou & Wenhua Yang - 2523-2543 A Multicriteria Approach for Modeling Small Enterprise Credit Rating: Evidence from China
by Nana Chai & Bi Wu & Weiwei Yang & Baofeng Shi - 2544-2565 Determinants of Exports in China’s Meat Industry: A Gravity Model Analysis
by Saleh Shahriar & Lu Qian & Sokvibol Kea - 2566-2588 R&D Efforts, Total Factor Productivity, and the Energy Intensity in China
by Xiaobo Shen & Boqiang Lin & Wei Wu - 2589-2608 The Impact of Environmental Regulation on Productivity and Exports: A Firm-Level Evidence from China
by Xiaobing Huang & Xiaolian Liu - 2609-2627 Monetary and Financial Cooperation Between China and the One Belt One Road Countries
by Jin Sun & Jack W. Hou - 2628-2651 Does Government Subsidy Affect Firm Survival? Evidence from Chinese Manufacturing Firms
by Dongyang Zhang & Gang Xu - 2652-2667 Financial Constraints, Institutions, and Firm Productivity: Evidence from China
by Yang Wang & Qunxi Kong
August 2019, Volume 55, Issue 10
- 2147-2148 Guest Editors’ Introduction: Structural Transformation, Foreign Direct Investment, and Institutional Development
by Ali M. Kutan & Marcello Signorelli - 2149-2163 Currency Shifts as a Market Discipline Device: The Case of the Russian Market for Personal Deposits
by Maria Semenova & Andrey Shapkin - 2164-2184 Building the Index of Efficiency of FDI Transformation: Economic Development and Intellectual Capital
by Tamara V. Teplova & Tatiana V. Sokolova - 2185-2210 Export Structure Upgrading and Economic Growth in the Western Balkan Countries
by Bojan Shimbov & Maite Alguacil & Celestino Suárez - 2211-2229 TFP Growth and Commodity Prices in Emerging Economies
by Iván Kataryniuk & Jaime Martínez-Martín - 2230-2253 The Employment Effects of Global Value Chains
by Shuzhong Ma & Yinfeng Liang & Hongsheng Zhang - 2254-2274 The Crude Oil–Stock Market Dependence and Its Determinants: Evidence from Emerging Economies
by Xiaoqian Wen & Elie Bouri & Hua Cheng - 2275-2297 Regulations, Governance, and Resolution of Non-Performing Loan: Evidence from an Emerging Economy
by Abu S. Amin & Mahmood Osman Imam & Mahfuja Malik - 2298-2313 The Effect of R&D Input and Financial Agglomeration on the Growth Private Enterprises: Evidence from Chinese Manufacturing Industry
by Haixin Zhang & Donghong Ding & Lili Ke - 2314-2333 Family Pay Premium in Large Business Group Firms
by Juyoung Cheong & Woochan Kim - 2334-2364 The Impact of Bank Regulation and Supervision on Competition: Evidence from Emerging Economies
by Shaofang Li - 2365-2387 Does Culture Matter for Corporate Philanthropic Giving?
by Kiridaran Kanagaretnam & Zongfeng Xiu & Zejiang Zhou
July 2019, Volume 55, Issue 9
- 1907-1908 Guest Editor’s Introduction: Selected Papers from the 2017 Chinese Economists Society, North America Annual Conference
by Jun Ma - 1909-1925 Credit Misallocation, Endogenous TFP Changes, and Economic Fluctuation in China
by Shikong (Scott) Luo - 1926-1953 International Real Business Cycles of the Chinese Economy: Asymmetric Preference, Incomplete Financial Markets, and Terms of Trade Shocks
by Qing Han - 1954-1968 Board Business Connections and Firm Profitability: Evidence from China
by Yu Liu & Feixue Xie & Zhenning Xu - 1969-1990 Don’t Touch My Cheese: Short Selling Pressure, Executive Compensation Justification, and Real Activity Earnings Management
by Fei Liu & Jianhua Du & Chao Bian - 1991-2003 Financial Vulnerability and Its Determinants: Survey Evidence from Malaysian Households
by Siti Nurazira Mohd Daud & Ainulashikin Marzuki & Nursilah Ahmad & Zurina Kefeli - 2004-2021 Profitability of Vietnamese Banks Under Competitive Pressure
by Hoang Phong Nguyen - 2022-2038 How Did the Introduction of Deposit Insurance Affect Chinese Banks? An Investigation of Its Wealth Effects
by Nobuyoshi Yamori & Jianjun Sun - 2039-2056 An Application of Factor Pricing Models to the Polish Stock Market
by Adam Zaremba & Anna Czapkiewicz & Jan Jakub Szczygielski & Vitaly Kaganov - 2057-2071 Oil Price Volatility and Corporate Decisions: Evidence from the GCC Region
by Abdulrahman Alhassan - 2072-2085 Inflation Expectations and Risk Premiums: Implications for Korean Exchange Rates
by Seojin Lee & Young Min Kim - 2086-2105 Internationalization of Chinese SMEs: The Perception of Disadvantages of Foreignness
by Gaston Fornes & Guillermo Cardoza - 2106-2123 Variations in Valuation Methodologies and the Cost of Capital: Evidence from MENA Countries
by Alaa Rady & Hakim Meshreki & Ayman Ismail & Laura Núñez - 2124-2145 Does Bank Competition Alleviate Financing Constraints in China? Further Evidence From Listed Firms
by Zhiwei Zhang & Dayong Zhang & Josef C. Brada & Ali M. Kutan
June 2019, Volume 55, Issue 8
- 1671-1680 The Impacts of Trade and Financial Developments on Economic Growth in Turkey: ARDL Approach with Structural Break
by Mouyad Alsamara & Zouhair Mrabet & Karim Barkat & Mohamed Elafif - 1681-1693 Paradox of Austerity: Multi-Country Evidence
by Surajit Das & Israa A. El Husseiny - 1694-1708 What Drives Non-Performing Loans? Evidence from Emerging and Advanced Economies during Pre- and Post-Global Financial Crisis
by Narman Kuzucu & Serpil Kuzucu - 1709-1721 Explaining Recent Investment Weakness: Causes and Implications
by Ergys Islamaj & M. Ayhan Kose & Franziska L. Ohnsorge & Lei Sandy Ye - 1722-1736 Private Information, Investor Sentiment, and IPO Pricing: Which Institutional Investors Are Better Informed?
by Kenta Funaoka & Yusaku Nishimura - 1737-1753 Exchange Rate Risk and Corporate Hedging: Evidence from Turkey
by Goknur Buyukkara & Mehmet Baha Karan & Huseyin Temiz & Yilmaz Yildiz - 1754-1775 Institutional Quality, Resource Endowment, and Economic Growth: Evidence from Cross-Country Data
by Helian Xu & Moga Tano Jilenga & Yuping Deng - 1776-1802 Revisiting the Impact of Stock Market Liquidity on Bank Liquidity Creation: Evidence from Malaysia
by Moau Yong Toh & Christopher Gan & Zhaohua Li - 1803-1820 Board Gender Diversity and Organizational Determinants: Empirical Evidence from a Major Developing Country
by Abubakr Saeed & Muhammad Sameer & Muhammad Mustafa Raziq & Aneel Salman & Shawkat Hammoudeh - 1821-1840 Effects of Transparency on Herding Behavior: Evidence from the Taiwanese Stock Market
by Kuei-Yuan Wang & Yu-Sin Huang - 1841-1856 Geopolitical Risks, Returns, and Volatility in Emerging Stock Markets: Evidence from a Panel GARCH Model
by Christos Bouras & Christina Christou & Rangan Gupta & Tahir Suleman - 1857-1879 Is It Liquidity or Quality that Matters More in Foreign Exchange Markets?
by Ehab Yamani - 1880-1892 Intra-Regional vs. Extra-Regional Trade Liberalization in Central America
by Adolfo Cristóbal Campoamor & Manuel Alejandro Cardenete Flores & Pedro Caldentey Del Pozo & Olexandr Nekhay - 1893-1906 Heterogeneous Impact of Monetary Policy on Regional Economic Activity: Empirical Evidence for Poland
by Ageliki Anagnostou & Paweł Gajewski
May 2019, Volume 55, Issue 7
- 1429-1454 Funding Liquidity, Political Geography, and Private Equity Performance: Evidence from China
by Xiaohui Hou & Jiale Lian & Shuo Li & Qing Wang - 1455-1471 Relationship Between the Degree of Internationalization and Performance in Manufacturing Enterprises of the Yangtze River Delta Region
by Delian Feng & Qun Chen & Malin Song & Lianbiao Cui - 1472-1485 Does Belt and Road Initiative Hurt Node Countries? A Study from Export Perspective
by Haiou Mao & Guanchun Liu & Chengsi Zhang & Rao Muhammad Atif - 1486-1496 Public Service of City Government and Political Trust from Resident: An Analysis Based on 1992–2015 Hong Kong Livelihood Data
by Shujian Zhang & Kuai Peng Ip - 1497-1515 Do the Markov Switching-based Hybrid Models Perform Better in Forecasting Exchange Rates?
by Jiangze Du & Runfang Yu & Jin Li & Kin Keung Lai - 1516-1530 The Effect of Extremely Small Price Limits: Evidence from the Early Period of the Chinese Stock Market
by Xinyue Dong & Honggang Li - 1531-1549 Metafrontier Eco-Efficiency and Its Convergence Analysis for China: A Multidimensional Heterogeneity Perspective
by Yantuan Yu & Hui Hu & Yun Zhang & Zhujia Yin - 1550-1565 Does Regional Favoritism Affect the Relationship between CSR Performance and the Ability to Obtain Bank Loans?
by Haijing Cai & Chao Tan & Hong Wang & Ting Zhong - 1566-1592 Does Stock Price Crash of Firms in the Same Business Group Cause Stock Price Crash in Other Member Firm? Evidence from Korea
by Sewon Kwon & Taejin Jung & Hee-Yeon Sunwoo & Sang-Giun Yim - 1593-1618 The Impact of Oil Shocks in a Small Open Economy New-Keynesian Dynamic Stochastic General Equilibrium Model for an Oil-Importing Country: The Case of South Africa
by Hylton Hollander & Rangan Gupta & Mark E. Wohar - 1619-1633 Mispricing in Single Stock Futures: Empirical Examination of Indian Markets
by R. L. Shankar & Ganesh Sankar & Kumar K. Kiran - 1634-1655 The Transmission of Financial Shocks on a Global Scale: Some New Empirical Evidence
by Georges-Charbel Beaino & Domenico Lombardi & Pierre L. Siklos - 1656-1668 Ownership, Internal Capital Markets, and Cash Holdings
by Zhenkung Wang & Yanping Wang - 1669-1669 Correction
by The Editors
May 2019, Volume 55, Issue 6
- 1199-1215 The Role of China’s Demand in Global Oil Price Dynamics
by Yihua Yu & Wen Zhang - 1216-1228 Direct and Indirect Effects of Energy-Intensive Industries on Energy Consumption in China
by Shimei Wu & Xinye Zheng & Feng Song - 1229-1246 Rationality of Natural Gas Prices and the Determining Factors in China
by Jian Chai & Ting Liang & Zhe George Zhang & Sophie Kong & Zenghui Liu - 1247-1263 Oil Prices and Chinese Stock Market: Nonlinear Causality and Volatility Persistence
by Fenghua Wen & Jihong Xiao & Xiaohua Xia & Bin Chen & Zhengyan Xiao & Jinyi Li - 1264-1279 Pros and Cons of Replacing Grandfathering by Auctioning for Heterogeneous Enterprises in China’s Carbon Trading
by Mingxi Wang & Ming Li & Qiang Feng & Yi Hu - 1280-1293 Economic Transition under Carbon Emission Constraints in China: An Evaluation at the City Level
by Bingbing Zhang & Xi Tian - 1294-1311 Differences in Changes in Carbon Dioxide Emissions among China’s Transportation Subsectors: A Structural Decomposition Analysis
by Rui Xie & Linyuan Huang & Boshi Tian & Jiayu Fang - 1312-1325 The Impact of Carbon Market and Carbon Tax on Green Growth Pathway in China: A Dynamic CGE Model Approach
by Huimin Bi & Hao Xiao & Kejuan Sun - 1326-1342 Quality Competition Versus Price Competition: Why Does China Dominate the Global Solar Photo-Voltaic Market?
by Lili Wang & Rui Zhuang & Shunwu Huang & Yong Zhao - 1343-1356 China’s Investment Incentive Strategy for Shale Gas Development
by Aolin Leng & Zihan Liu & Guangyuan Xing & Yixin Li - 1357-1374 Factors Affecting the Intensity of Industrial Carbon Emissions: Empirical Evidence from Chinese Heterogeneous Subindustries
by Li Xie & Tengfei Wang & Tuo Zhang - 1375-1387 Margin Trading and Volatility: Further Evidence from China’s Stock Market
by Shiqing Xie & Yuwei Jia - 1388-1404 Culture and Enterprise Rent-Seeking: Evidence from Native Place Networks among Officials in China
by Lili Fu & Fengyun Wu - 1405-1416 Determinants of Investment in Turkey: A Firm-Level Investigation
by Armağan Gezici & Özgür Orhangazi & Cihan Yalçın - 1417-1428 Determinants of Bank Profitability—Evidence from Vietnam
by Jonathan Batten & Xuan Vinh Vo
April 2019, Volume 55, Issue 5
- 967-979 Energy Conservation and Emission Reduction of Chinese Cement Industry: From a Perspective of Factor Substitutions
by Zihan Zhang & Boqiang Lin - 980-997 Does Financial Inclusion Create a Spatial Spillover Effect Between Regions? Evidence from China
by Bao Zhu & Jing He & Shiting Zhai - 998-1013 Effects of Farmers’ Participation in Inclusive Finance on Their Vulnerability to Poverty: Evidence from Qinba Poverty-Stricken Area in China
by Jinmian Han & Jiaqi Wang & Xiaoqiang Ma - 1014-1033 Does Low Price Synchronicity Mean More Informativeness in Stock Prices? Empirical Evidence on Information Integration Speed in the Chinese Stock Market
by Yingyi Hu & Tiao Zhao & Lin Zhang - 1034-1050 Forecasting Volatility with Price Limit Hits—Evidence from Chinese Stock Market
by Xiaojun Chu & Jianying Qiu - 1051-1068 Corruption and Entrepreneurship in Emerging Markets
by Jiaqi Liu & Mingzhi Hu & Huan Zhang & Jon Carrick - 1069-1090 Relationship Between the Characteristics of CEOs and Excess Cash Holdings of Firms
by Jaemin Lim & Sang Cheol Lee - 1091-1108 Corporate Governance Boundary, Debt Constraint, and Investment Efficiency
by Qianhua Lei & Huili Chen - 1109-1136 Institutions, Firm Characteristics, and FDI Spillovers
by Yi Zhang - 1137-1152 Do State-Owned Enterprises Cooperate with Suppliers? Performance Analysis in the Korean Case
by So Yeon Kim & Hyun-Han Shin & Seungwon Yu - 1153-1170 The Role of US Variables in Long-Run and Short-Run Taiwan Stock Volatility
by Shih-Wei Chao - 1171-1183 Transmission of Risk Between U.S. and Emerging Equity Markets
by Ghulam Sarwar - 1184-1198 Abnormal Returns and Idiosyncratic Volatility Puzzle: Evidence from the Chinese Stock Market
by Zhengyang Qu & Xiaotian Liu & Shi He
March 2019, Volume 55, Issue 4
- 719-742 Legitimacy in Adaptive Business Model Innovation: An Investigation of Academic Ebook Platforms in China
by Xiaobo Wu & Ziyi Zhao & Banghao Zhou - 743-758 The Strategic Fit of International Expansion Between Temporal and Spatial Dimensions: Evidence from Chinese MNEs
by Jian Du & Xiaoran Chang & Xiaobo Wu - 759-780 Do Better-Networked Venture Capital Firms Always Enjoy Higher Investment Performance? The Contingent Role of China’s Institutional Changes
by Delin Yang & Xiao Hu & Banggang Wu & Zhenzhen Xie - 781-794 An Exploratory Study of Antecedents of Entrepreneurial Decision-Making Logics: The Role of Self-Efficacy, Optimism, and Perspective Taking
by Yuli Zhang & Lianguang Cui & Guangqi Zhang & Saras Sarasvathy & Ramesh Anusha - 795-808 Heterogeneous Effects of Business Collaboration on Innovation in Small Enterprises: China Compared to Brazil, Indonesia, Nigeria, and Thailand
by Junguang Gao & Thomas Schøtt & Xuewei Sun & Ye Liu - 809-826 Impact of the Core Founder’s Functional Experience Diversity on New Venture Performance and Moderating Effects of Environmental Dynamism
by Delin Yang & Jiapeng Li & Rui Wu - 827-842 Leveraging University Competitiveness: Evidence from Alliance Portfolio Practices at Zhejiang University
by Jia Zhou & Liang Mei & Jin Chen - 843-862 Establishing the Enterprises’ Innovation Ecosystem Based on Dynamics Core Competence—The Case of China’s High-Speed Railway
by Haixia Huang & Jin Chen & Fei Yu & Ziqin Zhu - 863-888 The Effect of Financing on Firm Innovation: Multiple Case Studies on Chinese Manufacturing Enterprises
by Yu Shi & Lei Gong & Jin Chen - 889-901 The Influence of Product Modularity on Customer Perceived Customization: The Moderating Effects Based on Resource Dependence Theory
by Shuang (Sara) Ma & Yonggui Wang & Dahui Li - 902-914 How Do Managerial Ties Leverage Innovation Ambidexterity for Firm Growth?
by Leinan Zhang & Yonggui Wang & Zelong Wei - 915-933 Investor Sentiment and Bond Risk Premia: Evidence from China
by Kiryoung Lee & Minki Kim - 934-949 The Role of Labor Market Flexibility in the Job Matching Process in India: An Analysis of the Matching Function Using State-Level Panel Data
by Woong Lee - 950-966 Product Complexity in International Production Networks: Comparing EU Core and Old and New EU Periphery
by Carmen Díaz-Mora & Erena García López
February 2019, Volume 55, Issue 3
- 475-476 Innovation, Entrepreneurship, and Economic Development in the Context of China’s Institutional Change
by Jun Zhang - 477-495 Tax Burden, Regulations and Development of Service Sector in China
by Hongsheng Fang & Linhui Yu & Yuanshuang Hong & Jun Zhang - 496-512 Family Talents in Family Firms
by Yanren Zhang - 513-530 Internal and External Effect of Estate Investment upon Regional Innovation in China
by Chen Zhu & Da Zhao & Zhiyi Qiu - 531-544 Financial Asset Allocations and R&D Activities: Evidence from China’s Listed Companies
by Guanchun Liu & Jun Zhang & Huihang Wu & Yuchao Peng - 545-561 Investor Education and IPO Participation
by Kristjan Liivamägi & Tarvo Vaarmets & Tõnn Talpsepp - 562-583 Determinants of Firms’ Initial Decision to Invest Abroad: An Application of “Survival” Analysis to Manufacturing Firms in India
by Isha Chawla - 584-612 Regulatory Capital Constraint and Its Effects on Price Discrimination and Default Risk: Evidence from China’s Bond Market
by Huaili Lyu & Conghui Yang - 613-633 Equity Pricing in Islamic Banks: International Evidence
by Jocelyn Grira & M. Kabir Hassan & Chiraz Labidi & Issouf Soumaré - 634-654 Liquidity Provision on Demand in the Argentine Banking System
by Martín Leandro Dutto Giolongo & Emiliano A. Carlevaro - 655-670 The Impact of Charter Values on Bank Capital in Asia: A Threshold Regression Analysis
by Hassan Daher & Mansur Masih & Mansor Ibrahim - 671-686 The Impact of the Anti-Corruption Campaign on the Relationship Between Political Connections and Preferential Bank Loans: The Case of China
by Chan Guo - 687-703 Enterprise Risk Management and Firm Value: Evidence from Brazil
by Juliano Rodrigues Silva & Aldy Fernandes da Silva & Betty Lilian Chan - 704-718 Risk Compensation and Market Returns: The Role of Investor Sentiment in the Stock Market
by Zhifang He & Linjie He & Fenghua Wen
January 2019, Volume 55, Issue 2
- 237-250 The Effect of Environmental Degradation on the Financing of Healthcare
by Nisreen Moosa & Huy N. A. Pham - 251-271 The Effects of Environmental Disasters and Pollution Alerts on Chinese Equity Markets
by Giancarlo Giudici & Emilia Tona & Krishna Reddy & Wang Dai - 272-288 Earnings Quality and Corporate Social Disclosure: The Moderating Role of State and Foreign Ownership in Vietnamese Listed Firms
by Trang Cam Hoang & Indra Abeysekera & Shiguang Ma - 289-307 The Effects of Environmental Announcements on Exchange Traded Funds
by Damien Wallace & Ron McIver - 308-322 Impact of Economic and Financial Development on Environmental Degradation: Evidence from Small Island Developing States (SIDS)
by Boopendra Seetanah & Raja Vinesh Sannassee & Sheereen Fauzel & Y. Soobaruth & Giancarlo Giudici & Anh Pham Huy Nguyen - 323-336 A Study of the Influence of Real Estate Development in China on CO Emissions
by Feng Wei & Yu Kong - 337-350 Ethnic Diversity and Economic Performance in China: The Role of Education, FDI, and Trade
by Shi Young Lee & Eun Jung Lim & Qinglei Meng - 351-364 Trade Balance, Savings Rate, and Real Exchange Rate: Evidence from China and Its Trading Partners
by Yi-Bin Chiu & Rushuang Ren - 365-390 Overseas Listing Location and Cost of Capital: Evidence from Chinese Firms Listed in Hong Kong, Singapore, and the United States
by Peixin Li & Frank Weikai Li & Baolian Wang - 391-408 An Analysis of IFRS and SME-IFRS Adoption Determinants: A Worldwide Study
by R. M. Ammar Zahid & Can Simga-Mugan - 409-426 Who Benefits from Antidumping and Countervailing? An Analysis Using a Computable Partial Equilibrium Model
by Yanxiang Kuang & Hongjin Xiang - 427-449 Tax Revenue Trends in Latin America and Asia: A Comparative Analysis
by Joshua Aizenman & Yothin Jinjarak & Jungsuk Kim & Donghyun Park - 450-474 Effect of Digitalized Rumor Clarification on Stock Markets
by Jun Wang & Zhilong Xie & Qing Li & Jinghua Tan & Rong Xing & Yuanzhu Chen & Fengyun Wu
January 2019, Volume 55, Issue 1
- 1-12 The Behavior of an Institutional Investor with Arbitrage Opportunities and Liquidity Risk
by Sangwook Sung & Hoon Cho & Doojin Ryu - 13-28 Daily Stock Trading by Investor Type and Information Asymmetry: Evidence from the Korean Market
by Donghyun Kim & Chune Young Chung & Kyung Soon Kim & Hong Kee Sul - 29-38 Population Structure and Housing Prices: Evidence from Chinese Provincial Panel Data
by Changkyu Choi & Hojin Jung & Li Su - 39-58 Do Institutional Investors Enhance Accounting Earnings Attributes in the Korean Market?
by Chune Young Chung & Donghyun Kim & Kyung Soon Kim & Jin Hwon Lee & Kyungjin Lee - 59-77 Group-Affiliated Analysts’ Strategic Forecasts During a Year: Evidence from Korea
by Byungjin Kwak & Kyoungwon Mo - 78-89 Performance of State-Owned Enterprises During Public Elections: The Case of Korea
by Soyeon Kim & Hyun-Han Shin & Seungwon Yu - 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
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