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Content
April 2026, Volume 31, Issue 2
- 1493-1511 Unveiling the Double‐Edged Sword: Assessing the Impact of Venture Capital Market Competition on Startup Success in China
by Weiping Liang & Xiangyi Zhou & Wei Huang
- 1512-1529 Dynamic Persistence of Shocks to Stock Prices in Emerging Markets: Non‐Normal Distributions, Structural Changes and Asymmetry
by Saban Nazlioglu & Ilhan Kucukkaplan & Sevket Pazarci & Asim Kar & Osman Varol
- 1530-1556 Evaluating Innovation Output of Companies Backed by Corporate, Independent and Syndicated Venture Capital
by Fatima Shuwaikh & Sabrina Khemiri & Souad Brinette & Joakim Zebulon Börrén Dias
- 1557-1581 Does Fund Herding Help Stabilise Fund Flows? An Investigation in a Fund Mutual‐Holding Network Framework
by Shuai Lu & Shouwei Li & Peter Teirlinck
- 1582-1605 ESG and Firm Value: The Moderating Effects of Corporate Transparency and Institutional Environment
by Qing Li & Chengcheng Liu & Yu‐En Lin
- 1606-1626 Hedging With Gold, Correlation Cycles and Risk Aversion: Evidence From Global Economic Sectors
by Geoffrey M. Ngene & Ann Nduati Mungai & M. Kabir Hassan
- 1627-1659 Earnings Quality and ESG Performance in Energy and Utilities: What Really Matters?
by Antonios Persakis & Athanasios P. Fassas & Dionisis Philippas
- 1660-1681 Appeasing Stockholders at the Expense of Stakeholders: Do Contingencies Matter?
by Ali Uyar & Cemil Kuzey & Habiba Al‐Shaer & Abdullah S. Karaman
- 1682-1710 Economic Policy Uncertainty, Investor Sentiment and Industry Stock Market Volatility in China: A Quantile Regression Approach
by Peng Guo & Luzhu Tian & Jing Shi
- 1711-1734 The Effect of Corporate Leverage Regulation on Innovation: Evidence From a Quasi‐Natural Experiment in China
by Xiaofang Xu & Moran Jia & Yu Lu
- 1735-1753 The Relationship Between Energy Metal Price Volatility and Clean Energy Assets
by Philip Igeland & Mona El Yadini & Gazi Salah Uddin & Muhammad Yahya & Ali Ahmed & Axel Hedström
- 1754-1779 Corporate Climate Risk Disclosure and Institutional Investor Holdings
by Feng Zhao & Siting Geng & He Xiao
- 1780-1804 Herding and Anti‐Herding Behaviour in the UK, French and German Stock Markets Before and During the Covid Pandemic
by Dimitrios Asteriou & Paraskevi Katsiampa & Keith Pilbeam & Alexander Tziamalis
- 1805-1821 Caught in a Debt Trap: Financial Distress and Corporate Production Decisions
by Yanan Li & Wenjun Wang
- 1822-1832 The Financial Accelerator Mechanism: Time‐Varying Frequency‐Dependent Evidence From the C&I Loan Market
by Marco Gallegati & Edoardo Gaffeo
- 1833-1859 The Return Power of Analyst Reports: Definition, Factor and Strategy
by Yongli Li & Baoqiang Zhan & Tianchen Wang
- 1860-1879 Firm Digitalisation Empowers ESG Performance‐Evidence From China
by Lin Wang & Lingyao Kong & Huixiang Zeng
- 1880-1898 Do off‐Site R&D Institutions Matter for Corporate Exploratory Innovation?
by Chen Cheng & Jinghao Mu & Guanchun Liu
- 1899-1916 Excess Remuneration, Governance, and Risk‐Taking in Islamic Banks
by Tastaftiyan Risfandy & M. Kabir Hassan
- 1917-1932 Decoding the Role of Corruption in Economic Freedom and CO2 Emissions Nexus: A Disaggregated Analysis From BRICS and N‐11
by Rafi Farooq & Amir Rahman & Khalid Ashraf Chisti
- 1933-1956 Rural Commercial Bank's Efficiency on Supporting Rural Revitalization in China: Do Leverage Implementation and Green Finance Matter?
by Yue Li & Zariyawati Mohd Ashhari & Nazrul Hisyam Ab Razak & Wei Ni Soh & Xianghua Tang & Kuan Kang
- 1957-1978 Climate Risk and Risk‐Taking of Rural Financial Institutions in China
by Xiaoming Zhang & Luping He & Chien‐Chiang Lee
- 1979-1994 ESG Performance, Family Ownership, and Corporate Risk‐Taking: The Moderating Role of the CSR Committee
by Zahra Adardour & Slimane Ed‐Dafali & Hicham Sbai & Khaled Hussainey
- 1995-2011 Sustainability Performance and Corporate Risk: Evidence From the Tourism Industry
by Omneya Abdelsalam & Antonios Chantziaras & Vassiliki Grougiou & Stergios Leventis & Nikolaos Tsileponis
- 2012-2026 Digital Financial Inclusion and Rural Household Debt Risks
by Yunhui Wang & Yihua Chen
- 2027-2062 Foreign Residency Rights and Corporate Bond Yield Spreads
by Zhong‐qin Su & Yiting Zhu & Hongmin Jin & Meiting Wu
- 2063-2081 The Impact of Digital Transformation on Corporate Cost Stickiness: Evidence From China's Agriculture‐Related Listed Companies
by Wenbing Luo & Yuxin Yu & Mingjun Deng
- 2082-2097 Mergers and Acquisitions and Brexit: A Natural Experiment
by Di Luo & Tapas Mishra & Mamata Parhi & Zhuang Zhang
- 2098-2117 Bitcoin Prices: Configurational Effects of Technological Drivers, Macroeconomic Fundamentals and Economic Agents' Expectation
by Jeevananthan Manickavasagam & Kanagaraj Ayyalusamy & Firoz Bhaiyat & Shilpi Jha & Tinu Jain & Surendra Poddar
- 2118-2143 Reindustrialization Through AI and Automation? Productivity and Sectoral Employment in Advanced Economies
by Pedro Bação & Joshua Duarte & Ana Figueiredo & Marta Simões
- 2144-2159 Expansionary and Contractionary Fiscal Multipliers in the United States
by George Kapetanios & Panagiotis Koutroumpis & Christopher Tsoukis & Ekaterina Glebkina
- 2160-2179 Exploring the Connectedness Between Green Bonds and Financial Markets and Its Drivers During Recent Crises: New Evidence From a TVP‐VAR Extended Joint Connectedness Approach and Wavelet Coherence Analysis
by Wafa Abdelmalek & Molka Khemakhem
- 2180-2193 Cryptocurrency Momentum: Is It an Illusion?
by Klaus Grobys & Syed Jawad Hussain Shahzad
- 2194-2207 Dynamic Connectedness Between a Corporate Bond Market With WTI, Geopolitical and Financial Volatility: Spillover From Post‐COVID‐19 and Russian‐Ukrainian Clash
by Umer Shahzad & Kamel Si Mohammed & Mohammad Sharif Karimi
- 2208-2228 Climate Transition Risk, ESG Rating Divergence and Portfolio Performance: Evidence From Composite Scores and Climate‐Adjusted Factor Models
by Ahmed Bouteska & Murad Harasheh & Giovanni Esposito
- 2229-2248 Time‐Varying Efficiency and Predictability in Cryptocurrency Markets: Forward‐Looking Dynamics
by Darko B. Vukovic & M. Kabir Hassan & Vyacheslav Zinovev & Elena Moiseevna Rogova & Mohammed Shakib
- 2249-2274 New Evidence on Factors Affecting Labour Shares in OECD Countries
by George Agiomirgianakis & Maria Grydaki & George Sfakianakis
- 2275-2292 The Black‐Box of ESG Scores From Rating Agencies: Do They Genuinely Reflect Sustainability Practices, or Are They Disproportionately Shaped by Financial Performance?
by Philipe Balan & Jorge Antunes & Peter Wanke & Yong Tan & Ali Meftah Gerged
- 2293-2312 Exploring the Information Acquisition Mechanism in a Bond Market: Evidence From Peer Effects in Bond Covenant Design in China
by Chunqiang Zhang & Tingting Yu & Kam C. Chan & Hengguang Wu & Wenbing Wang
- 2313-2331 A Novel DTW‐TMFG Network Analysis of Emerging Blockchain Market in China
by Hairong Lan & Liukai Wang & Yuncai Ning
- 2332-2364 Impact of FinTech on Stock Price Liquidity
by Irfan Ullah & Khalil Jebran & Mohib Ur Rahman
- 2365-2375 Dynamic Effects of U.S. Monetary Policy, Unconventional Tools, and Trade Integration
by Chokri Zehri & Abdullah Alsadan & Wissem Ajili Ben Youssef & Latifa Saleh Iben Ammar
- 2376-2395 Material ESG Performance and Bid Premium in Merger and Acquisition Deals
by Ndubuisi Ezenwa & Ibrahim Ayoade Adekunle & Robin Maialeh
- 2396-2416 Should Practitioners Apply a Truncated Process for Pricing and Hedging?
by Sharif Mozumder & Ghulam Sorwar & M. Kabir Hassan & M. Humayun Kabir & Farzana Afroz
- 2417-2430 Digital Payments and Overspending: A Study of Payment Biases and Spending Behaviour Using Mental Accounting Perspective
by Mohay Ud Din Shah & Ikram Ullah Khan & Mehboob Ul Hassan & Qingyu Zhang & Safeer Ullah Khan
- 2431-2454 Do Lenders and Donors Value Transparency? Evidence From Financial Organisations in the Social Sector
by Hubert Tchakoute Tchuigoua
- 2455-2472 Effect of Prudential Policies on Sovereign Bond Markets: Evidence From the ASEAN‐4 Countries
by Joshua Aizenman & Gazi Salah Uddin & Tianqi Luo & Ranadeva Jayasekera & Donghyun Park
- 2473-2491 US Economic Policy Uncertainty and the Exchange Market Pressure of Large Emerging‐Market Economies: Evidence From GETS‐VAR and Bayesian Quantile Regression Methods
by Hasan Güngör & Ifedolapo Olabisi Olanipekun & Godwin Olasehinde‐Williams & Ojonugwa Usman
- 2492-2507 Household Indebtedness and the Effectiveness of Fiscal Policy
by Dooyeon Cho & Dong‐Eun Rhee
- 2508-2535 Intraday and Overnight Causality in Time and Frequency Domains: Evidence From Stock Returns and Volatility
by Xiaojun Zhao & Mingxuan Lv & Xin Wen & Jingqi Xu
- 2536-2567 The Impact Mechanism of CEO Social Capital on Corporate Governance
by Yamin Xie & Ze Yuan
- 2568-2592 The Effect of Geopolitical Risk on the Volatility of Connectedness Between Carbon Neutrality and Energy Markets: Evidence From China
by Yingyue Sun & Yu Wei & Lin Ren
- 2593-2620 Financial Well‐Being: A Combined Analysis of Objective and Subjective Factors and Institutional Context
by Helena Susana Amaral Geraldes & Ana Paula Matias Gama & Mário Augusto
- 2621-2637 Analysis of Spatial Evolution of Inclusive Finance at the County Level: A Comparative Study of Traditional and Digital Finance
by Qiaoling Fu & Ying Zhang & Zeyun Yang & Xiangyu Zhang
- 2638-2663 Financial Contagion: Detecting Non‐Simultaneous Breaks in DCC‐GARCH Models
by Farah Mugrabi
- 2664-2689 Financial Technology and Environmental Performance: International Evidence
by Charilaos Mertzanis & Asma Houcine & Athanasios Pavlopoulos & Apostolos Vetsikas & Ilias Kampouris
- 2690-2712 Analyst Reports and Corporate Financial Distress Prediction
by Jie Sun & Jie Li & Zichen Wang
- 2713-2728 Expectations and Speculation in the US Natural Gas Market
by Christina Anderl & Guglielmo Maria Caporale
- 2729-2753 CFO's Famine Experience and Earnings Management: The Moderating Effect of the CEO Power
by Radwan Alkebsee & Abdullah Muhammad Dhrubo & Adeeb Alhebri & Redhwan Aldamari & Ebrahim Mohammed Al‐Matari
- 2754-2779 Does Geopolitical Risk Matter for the Success of Initial Coin Offerings?
by Aristogenis Lazos & Laurent Pataillot
- 2780-2803 Information Dissemination or Collusion: Embedded Underwriters and Bond Issue Pricing
by Yun‐Lang Wu & Zhu Ding & Jun Huang
- 2804-2823 Practice What You Preach: A Multilevel Perspective on Stock Exchanges' Female Directorship
by Faten Ben Slimane & Laura Padilla‐Angulo
- 2824-2844 Reporting ESG Initiatives and Gender Diversity in Germany: Implications for Stock Liquidity
by Ahmed Hassanein & Nader Elsayed
- 2845-2862 Using Deep Learning Conditional Value‐at‐Risk Based Utility Function in Cryptocurrency Portfolio Optimisation
by Xinran Huang & Linzhi Tan & Haozhe Su & Jeremy Eng‐Tuck Cheah
- 2863-2877 Did Liquidity Limits Amplify Money Market Fund Redemptions During the COVID Crisis?
by Peter G. Dunne & Raffaele Giuliana
- 2878-2898 Risk Aversion and Economic Policy Uncertainty Impacts on Investor Attention: Evidence From International Stock Markets Indices
by Stephanos Papadamou & Athanasios P. Fassas & Nikoletta Poutachidou
- 2899-2911 Plaintiff Litigation, Institution, and Startup Financing
by Yanan Feng & Bin Hao & Shumin Qiu & Haoxiang Zhang & Haoyu Xu
- 2912-2932 Rural–Urban Digital Divide: Evidence From Indian States
by Rashmi Arora & Nikhil Sapre
- 2933-2949 Golden Returns From Green Investments: The Impact of Corporate Environmental Behaviour on Product Market Performance
by Changchun Pan & Yuhang Song & Yuzhe Huang
- 2950-2963 Effects of Financial Agglomeration on Green Technology Innovation: Evidence From the Yangtze River Delta in China
by Yunfeng Yan & Aodong Jiao & Yun Zhang & Sajid Anwar
- 2964-2979 Fintech and Dividend Payouts: Evidence From China
by Kun Wang & Bozhou Li & Lu Qiao & Zhiyi Xia
January 2026, Volume 31, Issue 1
- 4-28 Measuring Currency Risk Premium: The Case of Turkey
by Idil Uz Akdogan & Ferda Halicioglu & Ishak Demir
- 29-45 Fiscal Rules, Independent Fiscal Institutions and Sovereign Risk: Evidence From the European Union
by Bogdan Căpraru & George Georgescu & Nicu Sprincean
- 46-69 The Role of Uncertainty, Regulatory and Economic Environment and Quantitative Tightening in Banks’ Performance
by Asma Nasim & Gareth Downing & Muhammad Ali Nasir
- 70-98 How Do GCC Countries Stocks Interact With US and European Debt Markets?
by Waqas Hanif & Rim El Khoury & Mariya Gubareva
- 99-128 The Role of FinTech on the Relationship Between Ownership Structure and Dividend Payments
by Tahir Akhtar
- 129-150 The Impact of Say‐On‐Pay on Firm Efficiency in Anglo‐Saxon Economies—Do CEO Personal Traits and CG Mechanisms Matter?
by Essam Joura & Ali Meftah Gerged & Qin Xiao & Subhan Ullah
- 151-173 Information Flows, Stock Market Volatility and the Systemic Risk in Global Finance
by Yen‐Hsiao Chen & Jiang Wu & Richard McManus & Yang Liu
- 174-209 Multiple Large Shareholders and Controlling Shareholders' Equity Pledging
by Caiyu Yan & Rui Li & Juan Li & Min Zhang
- 210-225 Capital Structure Decisions and Zombie Firms in India
by Asha K. Rai & Ruchi Sharma
- 226-240 Does Central Bank Talk Matter for Forecasting? Evidence From Speeches of the BoE, ECB, and Fed
by Georgios Chortareas & Fotis Papailias & Linda Shuku
- 241-269 The Governance Role of Independent Directors' Cash Compensation in Suspect Firms? Evidence From Real Earnings Management
by Radwan Alkebsee & Ammar Ali Gull & Abdul Ghafoor
- 270-284 Green R&D Efficiency and China's Industrial Carbon Intensity: New Evidence From a Spatial Perspective
by Changhua Chen & Junbing Huang & Yajun Wang
- 285-304 Multifractal Detrended Cross‐Correlation Patterns in the Dynamics of the Global Energy and Green Investment Markets: Insights From Pre‐COVID‐19 and Pandemic Experiences
by Mahdi Ghaemi Asl & Oluwasegun Babatunde Adekoya & Johnson Ayobami Oliyide & Umer Shahzad & Hamed Tajmir Riahi
- 305-316 How Does Environmental Regulation Promote Environmental Total Factor Productivity: Evidence From China's Total Carbon Emission Control Policy
by Kai Xu & Xinyi Jin & Yihua Xu & Lingqian Kong
- 317-334 To What Extent Does Green Finance Influence Carbon Intensity: The Role of Green Innovation and Industrial Structure
by Haiying Lin & Jingpeng Chen & Zigong Cai
- 335-349 Investigating the Role of Natural Resource Depletion and Consumption Expenditures in Escalating Carbon Inequality
by LinBai Li & WeiLing Liu & Samia Khalid & Hamid Mahmood
- 350-367 The Nonlinear and Spatial Effects of Digital Economy on Regional Green Development Efficiency: Empirical Evidence From 30 Provinces in China
by Qiong Zheng & Yingjuan Su & Changshuai Cao
- 368-389 Economic Policy Uncertainty and Digital Finance Development: Evidence From 30 Regions in China
by Chengdong Wang & Hui Jiao & Yuanyuan Cai & Xianyu Zhu
- 390-407 CAPM and Skewness Pricing Under Probability Weighting: Based on the Generalised Wang Transform
by Jianchun Sun & Lunyi Wang & Yanyi Wang & Shunming Zhang
- 408-424 Green Credit Policy and Environmental Outcomes in China: The Critical Role of Local Banks in Pollution Reduction and Innovation
by Jiaqi Li & Ja Ryong Kim & Emmanuel Adegbite
- 425-437 Pilot Free Trade Zone and Biodiversity: Evidence From Birding Records in China
by Zhao Liu & Yuxiu Yao & Yuping Shang & Lingqian Kong & Kai Xu
- 438-472 Board Monitoring, Shareholders' Rights, and CSR Strategy: Firm Value and Risk Implications
by Ali Uyar & Rizwan Ali & Ramiz Ur Rehman & Cemil Kuzey & Abdullah S. Karaman
- 473-488 External Debt Sustainability and Institutions: A Model‐Based Approach
by Nachiket Thakkar & A. K. M. Mahbub Morshed
- 489-501 Major Conundrums and Possible Solutions in DeFi Insurance
by Peng Zhou & Ying Zhang
- 502-529 The Impact of Social Media Activities on Stock Price Informativeness
by Wansu Hu & Frank Kwabi & Samuel Fulgence & Agyenim Boateng & Bolaji Iyiola
- 530-552 Is Globalisation all Good? Asymmetric Analysis of the Roles of Globalisation on Poverty in Africa
by Segun Thompson Bolarinwa & Ibrahim Ayoade Adekunle & Mamdouh Abdulaziz Saleh Al‐Faryan
- 553-583 Governing Decentralised Finance
by Siddharth M. Bhambhwani
- 584-619 Asymmetric Good and Bad Volatility Transmission Mechanism: Moderating Role of Global Uncertainties
by Umaid A. Sheikh & Mosab I. Tabash & David Roubaud & Emilios Galariotis & Khaled Guesmi
- 620-654 The Transformation of Economic Structure in Developing Countries: Evidence of Financial Development as a Source of Financing
by Bruno Emmanuel Ongo Nkoa & Henri Julien Brice Akeng Meboussa
- 655-673 Exchange Rate Risk and Deviations From Purchasing Power Parity
by Michael G. Arghyrou & Wenna Lu & Panayiotis M. Pourpourides
- 674-704 Structural Impact of the US Financial Stress on the Connectedness Between Asian Economies: Evidence From the Quantile Connectedness Approach
by Ashutosh Dash & Sangram Keshari Jena & Anirban Sengupta & Aviral Kumar Tiwari
- 705-725 Audit Quality and CSR Decoupling: An International Perspective
by Asif Saeed & Muhammad Usman Khurram & Riadh Manita & Thanarerk Thanakijsombat
- 726-741 Bank Digital Transformation and Market Risk Mitigation: A Perspective From Economic Capital
by Wanrui Dai & Liangrong Song
- 742-762 Financial Market Determinants of Dynamic Herding in North American Energy Equity Market
by Ghulame Rubbaniy & Shoaib Ali & Sonia Abdennadher & Costas Siriopoulos
- 763-788 Changes to Bank Capital Ratios and Their Drivers Prior and During COVID‐19 Pandemic: Evidence From the European Union
by Pavel Jankulár & Zdeněk Tůma
- 789-803 Corporate ESG Performance, Ownership Structure and Export Intensity: Evidence From Chinese Listed Companies
by Yuchen Pan & Han Wang & Zhen Liu
- 804-827 Ideological and Political Baptism and Corporate Social Responsibility: Evidence From the Party School Experience of Chinese Executives
by Zhifang Zhou & Litian Zhu & Shangjie Han & Huixiang Zeng
- 828-841 Exploring the Concentration of Women in Blue‐Collar Occupations: New Insights From China
by Zhongwu Li & Fengzhi Lu
- 842-868 FinTech Advancement in the Banking Industry: Is It Driving Efficiency?
by Radhika Goel & Smita Kashiramka
- 869-887 Directional Extreme Risk Spillovers Between Onshore and Offshore Renminbi Markets: Evidence From Financial Events
by Yong Ma & Xiaojian Su & Chao Deng
- 888-904 Cross‐Agency Spillover Effects of Bank Internal Regulation on Systemic Risk: The Moderating Role of FinTech
by Yinghua Ren & Chuanyin Wang & Wanhai You & Yuzhou Liu
- 905-935 Effects of Financial Development on Investments: New Evidence Considering Different Aspects of Financial Development
by Gabriel Caldas Montes & Vinícius Oliveira
- 936-954 Fiscal Adjustments and Structural Reforms in OECD Countries
by Christos Chrysanthakopoulos & Christos Mavrogiannis & Athanasios Tagkalakis
- 955-972 Uncertainty and Innovation: Assessing the Impact of Economic, Monetary, Trade, and Fiscal Shocks in Japan and the United States
by Umar Farooq & Seemab Gillani & Bilal Haider Subhani & Muhammad Nouman Shafiq
- 973-984 Do Analysts Care About ESG Performance? Evidence From Tracking Decisions
by Zihao Lin
- 985-1004 Stock Market Reaction to the Recurring Incidents at Boeing: An Event Study Analysis
by Susana Cró & Nuno Moutinho & António Miguel Martins
- 1005-1023 Public Debt Dynamics Over the Business Cycle: A Fresh Perspective
by Chenyue Zhou & Zhixin Liu & Yingying Xu & Haitao Zheng
- 1024-1043 Closer Cooperates, More Greenly Disclosures? The Impact of Supplier Concentration on Climate Change Disclosure Performance
by Liukai Wang & Tingting Li & Xiangrui Meng
- 1044-1069 Second‐Generation Involvement and Earnings Management in Family Firms
by Xiangfang Zhao & Yongliang Zeng & Qun Wang & Jiamin Weng
- 1070-1088 Navigating Uncertainty: The Impact of FinTech Advancement, Economic Policy, and Social Media on the US Bank Stock Returns
by Syed Faisal Shah & Ammad Ahmed & Atia Hussain & Ali Hassan Saleem
- 1089-1107 Do Financial Structural Characteristics Affect Economic Resilience?
by Yujia Chen & Fuqiang Wu & Guihong Hua
- 1108-1130 Unleashing Innovation Under Sanctions: The Catalyst of National Culture
by Anh Dang Bao Phan & Daniel Dao & Loan Thi Quynh Nguyen
- 1131-1155 Bond Losses in Post‐Auction Resale Markets: Causes and Consequences
by Klenio Barbosa & Dakshina G. De Silva & Liyu Yang & Hisayuki Yoshimoto
- 1156-1168 Central Bank Transparency and Interest Rate Volatility
by Christoph S. Weber
- 1169-1185 Climate and Environment Risks and Opportunities in the Banking Industry: The Role of Risk Management
by Doriana Cucinelli & Laura Nieri & Stefano Piserà
- 1186-1202 Does Algorithmic Trading Induce Herding?
by Servanna Mianjun Fu & Christos Alexakis & Vasileios Pappas & Emmanouil Skarmeas & Thanos Verousis
- 1203-1213 A Learning Model with Memory in the Financial Markets
by Shikta Singh & Supun Chandrasena & Yue Shi & Abdullah Alhussaini & Claude Diebolt & Martin Enilov & Tapas Mishra
- 1214-1231 The Resilience of Green Bonds During Market Turmoil: Implications for Investors and Policymakers
by Muhammad Saeed Meo & Sahar Afshan & Younes Ben Zaied & Marcin Staniewski
- 1232-1249 Bank Capital Regulation and Derivatives Clearing
by Jonathan Acosta‐Smith & Gerardo Ferrara & Francesc Rodriguez‐Tous
- 1250-1268 Climate Change and Investors' Behaviour: Assessing a New Type of Systematic Risk
by Natthinee Thampanya & Junjie Wu
- 1269-1283 Deep Learning for Bond Yield Forecasting: The LSTM‐LagLasso
by Manuel Nunes & Enrico Gerding & Frank McGroarty & Mahesan Niranjan & Georgios Sermpinis
- 1284-1301 Managers' Risk Preferences and Firm Investment: The Moderating Role of Early‐Life War Exposure and Firm Size
by Huong Trang Kim & Quang Nguyen
- 1302-1332 Women on Board and Climate Change: An Illustration Through Greenhouse Gas Emissions
by Ammar Ali Gull & Tanveer Ahsan & Sabri Boubaker & Fabiana Roberto
- 1333-1346 Driving ESG Excellence: Analysing China's Green Finance Policy With Double/Debiased Machine Learning
by Weiwei Zhong & Weijun Xu & Minghui Han & Junhao Zhong & Khaldoon Albitar
- 1347-1368 Repetita Iuvant: Mutual Fund Performance During the COVID Pandemic
by Taufiq Choudhry & Marta Degl'Innocenti & Si Zhou & Yue Zhou
- 1369-1394 The Effects of Top Management Team R&D Functional Background on Corporate Social Responsibility: Detrimental or Beneficial in Family Firms?
by Yi‐Shuai Ren & Najoua Elommal & Xiaolin Kong & Xukang Liu
- 1395-1423 CSR Governance Committee and Carbon Emission Performance: Does Committee Composition Matter?
by Rasmi Meqbel & Mohammad Alta'any & Mohammad Abweny & Habiba Al‐Shaer
- 1424-1443 Noncausal AR‐ARCH Model and Its Applications to Financial Time Series
by Yaosong Zhan & Shiqing Ling & Zhenya Liu & Shixuan Wang
- 1444-1471 Is the Stock Market Performance Vulnerable to the Russian–Ukrainian War? Evidence From the Twitter Sentiment Index
by Yi‐Shuai Ren & Tony Klein & Ngoc Quang Anh Huynh & Xukang Liu
- 1472-1486 Boardroom Gender Diversity's Effect on the Relationship Between Corporate Charitable Donations and Earnings Management: Evidence From Borsa Istanbul
by Mohamed Chakib Kolsi & Ahmad Al‐Hiyari
October 2025, Volume 30, Issue 4
July 2025, Volume 30, Issue 3