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April 2024, Volume 29, Issue 2
- 1179-1204 Investment‐cash flow sensitivity: Evidence from investment in identifiable intangible and tangible assets activities
by Emmanuel Adu‐Ameyaw & Albert Danso & Moshfique Uddin & Samuel Acheampong
- 1205-1218 Political risk and environmental quality in Brazil: Role of green finance and green innovation
by Dervis Kirikkaleli & Tomiwa Sunday Adebayo
- 1219-1235 The link between technological innovation and financial development: Evidence from selected OECD countries
by Hamza Çeştepe & Murat Çetin & Pınar Avcı & Bersu Bahtiyar
- 1236-1258 Effects of monetary policy credibility and the open economy trilemma on monetary policy efficiency
by Gabriel Caldas Montes & Irineu da Silva Rodrigues Júnior & Júlio Cesar Albuquerque Bastos & Linican Monteiro Batista
- 1259-1276 Corporate social responsibility disclosure and corporate creditworthiness: Evidence from the UK
by Zied Ftiti & Maher Jeriji & Sourour Kammoun & Waël Louhichi & Amel Zenaidi
- 1277-1300 Bank‐lending channel of monetary policy transmission in WAEMU: An estimated DSGE model approach
by Thierry U. Kame Babilla
- 1301-1317 The effect of the US dollar exchange rate on oil prices: An oil financialization perspective
by Panpan Wang & Xiaoxing Liu & Tsungwu Ho & Yishi Li
- 1318-1344 Volatility spillovers, hedging and safe‐havens under pandemics: All that glitters is not gold!
by Yosra Ghabri & Luu Duc Toan Huynh & Muhammad Ali Nasir
- 1345-1377 Ranking of countries based on multi‐dimensional financial inclusion index: A global perspective
by Chandralekha Ghosh & Rimita Hom Chaudhury
- 1378-1400 Insider trading, gender diversity within the board room, CEO pay gap, and stock price crash risk
by Viet Phuong Le & Ann‐Ngoc Nguyen & Andros Gregoriou
- 1401-1416 The nexus between climate change risk and financial policy uncertainty
by Ahmed Imran Hunjra & Muhammad Azam & Mamdouh Abdulaziz Saleh Al‐Faryan
- 1417-1431 Does illicit financial flows crowd‐out domestic investment? Evidence from Sub‐Saharan Africa economic regions
by Joshua Adeyemi Afolabi
- 1432-1450 Do stock market fluctuations lead to currency deflation in the South Asian region? Evidence beyond symmetry
by Muhammad Tahir Suleman & Mosab I. Tabash & Umaid A. Sheikh
- 1451-1495 In search of light in the darkness: What can we learn from ethical, sustainable and green investments?
by Gazi Salah Uddin & Muhammad Yahya & Ali Ahmed & Donghyun Park & Shu Tian
- 1496-1512 Forecasting the Asian stock market volatility: Evidence from WTI and INE oil futures
by Maria Ghani & Feng Ma & Dengshi Huang
- 1513-1533 Inventory information arrival and the crude oil futures market
by Tarek Chebbi & Waleed Hmedat
- 1534-1568 Why do corporate social responsibility‐oriented companies opt for bond debt? Evidence from crisis periods
by Wajih Abbassi & Sabri Boubaker & Wael Louhichi
- 1569-1580 Market efficiency of the cryptocurrencies: Some new evidence based on price–volume relationship
by Pradipta Kumar Sahoo & Dinabandhu Sethi
- 1581-1608 Macro‐financial linkages in the high‐frequency domain: Economic fundamentals and the Covid‐induced uncertainty channel in US and UK financial markets
by Guglielmo Maria Caporale & Menelaos Karanasos & Stavroula Yfanti
- 1609-1626 The impact of CEOs' early‐life experience on the financialization of non‐financial firms: Evidence from the great Chinese famine
by Zhongchao Wang & Shaoni Zhou & Yuping Zhou & Hao Yang
- 1627-1679 Corporate governance and financial distress: A review of the theoretical and empirical literature
by Umair Bin Yousaf & Khalil Jebran & Irfan Ullah
- 1680-1695 Impact of return and volatility spillover from banking industry to other industries: An evidence from Pakistan
by Fahad Waqas Mir & Nousheen Tariq Bhutta
- 1696-1706 Cascading bankruptcies under simultaneous sectorial shocks: Theory and application to the Tunisian banking sector
by Mahmoud‐Sami Nabi & Sami Fersi
- 1707-1721 Corporate social responsibility assurance, board characteristics and social performance disclosure. Evidence of listed firms in India
by Kofi Mintah Oware & Harshitha Moulya & Thathaiah Mallikarjunappa
- 1722-1744 Investor trading behavior and asset prices: Evidence from quantile regression analysis
by Liyun Zhou & Weinan Lin & Chunpeng Yang
- 1745-1761 Corporate social responsibility disclosure on Twitter: Signalling or greenwashing? Evidence from the UK
by Marian H. Amin & Heba Ali & Ehab K. A. Mohamed
- 1762-1780 Demographic efficiency drivers in the Chinese energy production chain: A hybrid neural multi‐activity network data envelopment analysis
by Yue Zhao & Jorge Antunes & Yong Tan & Peter Wanke
- 1781-1803 Smart money or chasing stars: Evidence from northbound trading in China
by Cunfei Liao & Guohao Tang & Xiaoying Xu
- 1804-1819 Exploring the role of oil shocks on the financial stability of Gulf Cooperation Council countries
by Ahmed H. Elsayed & Gareth Downing & Chi Keung Marco Lau & Xin Sheng
- 1820-1833 How does the stock market affect the interest rate corridor system in China?
by Jing Wan & Shen Zhang & Xu Feng
- 1834-1855 Financial crises and the national logistics performance: Evidence from emerging and developing countries
by Thanh Cong Nguyen & Trung Hieu Le
- 1856-1876 Convergence of public expenditures and revenues in EU28 during 2002–2019: Evidence from club‐clustering analysis before and after the European debt crisis
by Athanasios Anastasiou & Nicholas Apergis & Athina Zervoyianni
- 1877-1895 On the solution of games with arbitrary payoffs: An application to an over‐the‐counter financial market
by Iraklis Kollias & John Leventides & Vassilios G. Papavassiliou
- 1896-1919 Which implied volatilities contain more information? Evidence from China
by Linyu Wang & Yifan Ji & Zhongxin Ni
- 1920-1946 What type of central banker dampens the political business cycle? The case of Africa
by Christine Strong
- 1947-1971 The impact of justified corporate governance changes against exchange rate exposure in North Cyprus
by Mustafa Avcın
- 1972-1987 How the effective reproductive number impacts global stock markets
by Werner Kristjanpoller & Kevin Michell & Marcel C. Minutolo
- 1988-2010 How does institutional cross‐ownership affect firm productivity? The importance of the corporate social responsibility channel
by Hamza Nizar & Taher Hamza & Faten Lakhal
- 2011-2029 Are Ecuadorian banks enough technically efficient for growth? A clinical study
by Bladimir Proaño‐Rivera & José Manuel Feria‐Dominguez
- 2030-2048 Political uncertainty and stock market liquidity, size, and transaction cost: The role of institutional quality
by Frank Obenpong Kwabi & Emmanuel Adegbite & Ernest Ezeani & Chizindu Wonu & Henry Mumbi
- 2049-2076 Returns to scale, spillovers and persistence: A network perspective of U.S. bank size
by Anthony J. Glass & Karligash Kenjegalieva
- 2077-2094 Model‐based estimation in monetary policy inertia and it's another possibility
by H. E. Cha & Raymond Jay Lim
- 2095-2115 How bank‐specific factors affect access to financing for small and medium enterprises: Evidence from an emerging economy
by Sadia Noor Khan
- 2116-2138 Educational (mis)match in the context of new manufacturing: A qualitative comparative analysis study in five European countries
by Mariachiara Barzotto
- 2139-2154 Investment under uncertainty and irreversibility: Evidence from the shipping markets
by Konstantinos Drakos & Dimitris Tsouknidis
- 2155-2175 Extreme risk spillovers across energy and carbon markets: Evidence from the quantile extended joint connectedness approach
by Guangxi Cao & Fei Xie
- 2176-2192 A risk–return trade‐off or co‐movement? Are food processing firms risk‐averse?
by Subhadip Mukherjee & Soumyatanu Mukherjee & Mamata Parhi & Kun Duan & Ahmed Usman
- 2193-2213 Board gender diversity and the cost of equity: What difference does gender quota legislation make?
by Aitzaz Ahsan Alias Sarang & Nicolas Aubert & Xavier Hollandts
- 2214-2229 The rapid growth of cryptocurrencies: How profitable is trading in digital money?
by Viktor Manahov
- 2230-2264 Mobile and internet usage, institutions and the trade balance: Evidence from African countries
by Canh Phuc Nguyen & Nadia Doytch & Christophe Schinckus & Thanh Dinh Su
- 2265-2277 The performance of OECD's composite leading indicator
by Mustapha Olalekan Ojo & Luís Aguiar‐Conraria & Maria Joana Soares
- 2278-2299 The effect of output additionality of public funding support on firm innovation. Evidence from firms of different sizes
by Antonio Prencipe & Luciano D'Amico & Danilo Boffa & Christian Corsi
- 2300-2316 Correcting for productivity growth misspecification: A local likelihood estimation in global banking
by Emmanuel Mamatzakis & Mike Tsionas
- 2317-2341 Breaks in term structures: Evidence from the oil futures markets
by Lajos Horváth & Zhenya Liu & Curtis Miller & Weiqing Tang
- 2342-2359 Economic policy uncertainty nexus with the value relevance of advertising: Evidence from an emerging market
by Imad Jabbouri & Omar Farooq & Rachid Jabbouri
- 2360-2380 Endogenous market choice, listing regulations, and IPO spread: Evidence from the London Stock Exchange
by Hafiz Hoque & John Doukas
- 2381-2414 Hedge and safe haven role of commodities for the US and Chinese equity markets
by Ghulam Mujtaba & Asima Siddique & Nader Naifar & Syed Jawad Hussain Shahzad
- 2415-2427 A study on a new fiscal risk‐sharing system to make Eurozone an OCA
by Wi‐Dae Kim
- 2428-2451 Green bonds as a bridge to the UN sustainable development goals on environment: A climate change empirical investigation
by Rizwan Ahmed & Fatima Yusuf & Maria Ishaque
- 2452-2471 Investment decisions under uncertainty: Corporate venture capital as a real option
by Fatima Shuwaikh & Mathew Hughes & Souad Brinette & Sabrina Khemiri
- 2472-2494 Oil price uncertainty and the relation to tanker shipping
by Panos K. Pouliasis & Christos Bentsos
- 2495-2514 Financial development, economic growth and the role of fiscal policy during normal and stress times: Evidence for 26 EU countries
by Dimitrios Asteriou & Konstantinos Spanos & Emmanouil Trachanas
- 2515-2526 Changes in the effects of oil price shocks on US industrial production
by Dohyoung Kwon
- 2527-2542 Kinship, gender and social links impact on micro group lending defaults
by Adil EL Fakir & Richard Fairchild & Youssef Lamrani Alaoui & Dora Chan & Mohamed Tkiouat & Zaid Amer
- 2543-2555 The Skewness‐Kurtosis plane for cryptocurrencies' universe
by Ariston Karagiorgis & Antonis Ballis & Konstantinos Drakos
January 2024, Volume 29, Issue 1
October 2023, Volume 28, Issue 4
- 3471-3487 Economic policy uncertainty and stock markets’ co‐movements
by Peter Albrecht & Svatopluk Kapounek & Zuzana Kučerová
- 3488-3510 Global factors and the transmission between United States and emerging stock markets
by Muhammad Abubakr Naeem & Saqib Farid & Fiza Qureshi & Farhad Taghizadeh‐Hesary
- 3511-3528 Long‐short speculator sentiment in agricultural commodity markets
by Oliver Borgards & Robert L. Czudaj
- 3529-3551 The ability of U.S. macroeconomic variables to predict Asian financial market returns
by Kae‐Yih Tzeng
- 3552-3573 Bibliometric analysis of global research trends on microfinance institutions and microfinance: Suggesting new research agendas
by Adnan Ali & Suresh Ramakrishnan & Faisal Faisal & Zahir Ullah
- 3574-3592 What drives the distress risk–return puzzle? A perspective on limits of arbitrage
by Yezhou Sha & Ziwen Bu & Zilong Wang
- 3593-3610 A novel best‐worst‐method two‐stage data envelopment analysis model considering decision makers' preferences: An application in bank branches evaluation
by Hashem Omrani & Arash Alizadeh & Ali Emrouznejad & Zeynab Oveysi
- 3611-3636 Investment opportunities in the energy market: What can be learnt from different energy sectors
by Gazi Salah Uddin & Maziar Sahamkhadam & Muhammad Yahya & Ou Tang
- 3637-3653 Financial market integration in sub‐Saharan Africa: How important is contagion?
by Robert Akunga & Ahmad Hassan Ahmad & Simeon Coleman
- 3654-3666 Club convergence and factors of income inequality in the European Union
by Claudia Suárez‐Arbesú & Nicholas Apergis & Francisco J. Delgado
- 3667-3688 Unbundling institutional determinants of innovation
by Qing (Larry) Chen & Kelley Bergsma Lovelace
- 3689-3699 Forecasting China's stock market volatility with shrinkage method: Can Adaptive Lasso select stronger predictors from numerous predictors?
by Chao Liang & Yongan Xu & Zhonglu Chen & Xiafei Li
- 3700-3726 Impact of capital account liberalization on stock market crashes
by Rizwan Khalid & Choudhry Tanveer Shehzad & Bushra Naqvi
- 3727-3748 Is the Fisher effect asymmetric? Cointegration analysis and expectations measurement
by David O. Cushman & Glauco De Vita & Emmanouil Trachanas
- 3749-3773 Unveiling the black swan of the finance‐growth Nexus: Assumptions and preliminary evidence of virtuous and unvirtuous cycles
by Eliana Lauretta & Sajid M. Chaudhry & Daniel Santamaria
- 3774-3788 Synthetic money: Addressing the budget‐constraint issue
by Michael Kunkler
- 3789-3807 Capital‐constrained loan creation, household stock market participation and monetary policy in a behavioural new Keynesian model
by Naira Kotb & Christian R. Proaño
- 3808-3823 Clarifying the impact of corporate governance and intellectual capital on financial performance: A longitudinal study of Deutsche Bank (1957–2019)
by Tasawar Nawaz & Oliver Ohlrogge
- 3824-3832 State history, governance and financial institutions' efficiency: Evidence from African countries
by Atanga Ondoa Henri & Seabrook Arthur Mveng
- 3833-3845 Information diversity and household portfolio diversification
by Zhifeng Liu & Kaixin Li & Tingting Zhang
- 3846-3864 Macro‐management policies: A supporting role to company' capital expenditure
by Chokri Zehri
- 3865-3875 Is there J‐curve effect in the US Service Trade? Evidence from asymmetric analysis
by Mohsen Bahmani‐Oskooee & Huseyin Karamelikli
- 3876-3890 Do corporate governance mechanisms and ESG disclosure drive CSR narrative tones?
by Khaldoon Albitar & Tony Abdoush & Khaled Hussainey
- 3891-3901 The short‐run and long‐run effects of trade openness on financial development: Some panel evidence for Europe
by Guglielmo Maria Caporale & Anamaria Diana Sova & Robert Sova
- 3902-3917 Firm‐level impact of the global financial crisis: Evidence on innovation from Latin America
by King Yoong Lim & Diego Morris
- 3918-3937 Open account, import decision and financial constraints: A cross‐country firm‐level study
by Van Tien Nguyen & Ngoc Thang Doan
- 3938-3959 Connectedness between G10 currencies: Searching for the causal structure
by Timo Bettendorf & Reinhold Heinlein
- 3960-3975 Are lower interest rates really associated with higher growth? New empirical evidence on the interest rate thesis from 19 countries
by Kang‐Soek Lee & Richard A. Werner
- 3976-3996 A disaggregated approach to analysing the effects of globalization and energy consumption on economic growth: New insights from low‐income countries
by Kizito Uyi Ehigiamusoe
- 3997-4019 Analysis of stock markets risk spillover with copula models under the background of Chinese financial opening
by Jiangze Du & Xizhuo Chen & Jincheng Gong & Xiao Lin & Kin Keung Lai
- 4020-4036 Effects of monetary policy on the skill premium and the growth rate in a directed technical change model with heterogeneous cash‐in‐advance constraints
by Oscar Afonso & Pedro G. Lima
- 4037-4054 Greek government‐debt crisis events and European financial markets: News surprises on Greek bond yields and inter‐relations of European financial markets
by Konstantinos Gkillas & Paraskevi Katsiampa & Dimitrios I. Vortelinos & Mark E. Wohar
- 4055-4078 The moderating effects of CEO power and personal traits on say‐on‐pay effectiveness: Insights from the Anglo‐Saxon economies
by Essam Joura & Qin Xiao & Subhan Ullah
- 4079-4119 Basel accords and banking inefficiency: Evidence from the Italian local market
by Cristian Barra & Anna Papaccio & Nazzareno Ruggiero
- 4120-4138 The impact of R&D investment on grain crops production in China: Analysing the role of agricultural credit and CO2 emissions
by Abbas Ali Chandio & Yuansheng Jiang & Waqar Akram & Ilhan Ozturk & Abdul Rauf & Aamir Ali Mirani & Huaquan Zhang
- 4139-4155 Does financial fraud affect implied cost of equity?
by Asad Ali Rind & Aitzaz Ahsan Alias Sarang & Ameet Kumar & Muhammad Shahbaz
- 4156-4175 High frequency volatility forecasting: A new approach using a hybrid ANN‐MC‐GARCH model
by Aneessa Firdaus Jumoorty & Ruben Thoplan & Jason Narsoo
- 4176-4193 Mechanism analysis of the influence of oil price uncertainty on strategic investment of renewable energy enterprises
by Boqiang Lin & Siquan Wang
- 4194-4219 Commodity price uncertainty as a leading indicator of economic activity
by Athanasios Triantafyllou & Dimitrios Bakas & Marilou Ioakimidis
- 4220-4235 Fertility and banking development: New panel evidence
by Dong‐Hyeon Kim & Ting‐Cih Chen & Shu‐Chin Lin
- 4236-4245 Rural credit and agricultural production: Empirical evidence from Brazil
by Daniel Henrique Nascimento & Carlos Enrique Carrasco‐Gutierrez & Mathias Schneid Tessmann
- 4246-4270 The choice of performance measures, target setting and vesting levels in UK firms' Chief Executive Officer equity‐based compensation
by Affan Hameed & Carol Padgett & Michael P. Clements & Subhan Ullah
- 4271-4298 Influence of governance bundles and directors' social capital on cash holding in foreign cross‐listed firms
by Suman Lodh & Monomita Nandy & Jaskaran Kaur
- 4299-4323 The asymmetric impact of oil price uncertainty on emerging market financial stress: A quantile regression approach
by Debojyoti Das & Anupam Dutta & Rabin K. Jana & Indranil Ghosh
- 4324-4330 Links between growth, trade and financial openness in South Africa: An empirical investigation
by Setareh Katircioglu & Salih Katircioglu & Farid Irani
- 4331-4352 Forecasting equity risk premium: A new method based on wavelet de‐noising
by Zhifeng Dai & Jie Kang & Hua Yin
- 4353-4364 Foreign exchange market asymmetries in Pacific small island developing states: Evidence from Fiji
by Devendra Kumar Jain & Rup Singh & Arvind Patel & Ronal Chand
- 4365-4384 Reference prices and withdrawn acquisitions
by Shaojie Lai & Xiaoling Pu & Qing (Sophie) Wang & Jianing Zhang
- 4385-4400 Are European commercial banks more profitable than cooperative banks? Evidence from a low interest rate environment
by Matěj Kuc & Petr Teplý
- 4401-4419 Invoicing currency, exchange rate pass‐through, and value‐added trade: The case of Turkey
by Hülya Saygılı
- 4420-4457 The religion effect on corporate cash holding in China: Buddhism and Taoism
by Lingyun Xiong & Lijuan Xiao & Min Bai & Yafeng Qin & Lijuan Yang
- 4458-4475 Uncertainties and green bond markets: Evidence from tail dependence
by Boqiang Lin & Tong Su
- 4476-4499 Stock markets response to contagious disease: Evidence on the impact of COVID‐19 in the three worst hit African economies
by Terver Kumeka & Oluwatosin Adeniyi
- 4500-4511 The effects of business and finance conditions on the tourism stock markets: An empirical investigation from Turkey
by Setareh Katircioglu & Salih Katircioglu
- 4512-4531 Zombie enterprises, crowding out effect, and total factor productivity: Empirical evidence from Chinese manufacturing listed companies
by Wei Shao & Yangyang Sun & Xiao Bai & Muhammad Abubakr Naeem & Farhad Taghizadeh‐Hesary
- 4532-4556 The influence of corporate governance and shareholding structure on corporate social responsibility: The key role of executive compensation
by Ahmed A. Sarhan & Basil Al‐Najjar
- 4557-4571 Optimal hedging in the presence of internal flexibility
by Jiaqi Jiang & Yun Feng
- 4572-4591 Playing by the rules: Do the post‐crisis regulations influence banks' funding model in the EU?
by Marta Penczar & Sabina Nowak & Monika Liszewska
- 4592-4603 Corruption and foreign bank entry denials: A cross‐country panel analysis
by Vahe Lskavyan
- 4604-4626 Asset allocation, limited participation and flight‐to‐quality under ambiguity of correlation
by Helen Hui Huang & Yanjie Wang & Shunming Zhang
- 4627-4654 The macroeconomic effects of unconventional monetary policies in a commodity‐exporting economy: Evidence from Mongolia
by Gan‐Ochir Doojav & Davaasukh Damdinjav
- 4655-4683 The finance–growth nexus in the Middle East and Africa: A comparative meta‐analysis
by Amar Anwar & Ichiro Iwasaki
- 4684-4706 How do investors price accrual risk during crises?
by Yasser Alhenawi & M. Kabir Hassan
- 4707-4716 Trend Inflation in Sweden
by Pär Österholm & Aubrey Poon
- 4717-4737 Banking performance and institutional quality: Evidence from dynamic panel data analysis
by Ameet Kumar & Khalid Ahmed & Mujeeb‐u‐Rehman Bhayo & Muhammad Ramzan Kalhoro
July 2023, Volume 28, Issue 3