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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
- 2085-2107 The role of market discipline and macroprudential policies in achieving bank stability
by Tiago F. A. Matos & João C. A. Teixeira & Tiago M. Dutra
- 2108-2129 Sovereign bonds' risk‐based heterogeneity
by Dimitris A. Georgoutsos & Petros M. Migiakis
- 2130-2162 The scientific tale of the nexus between oil prices, macroeconomic uncertainty and Pakistan's exports to its major trading partners: Insights from advanced methods
by Muhammad Zubair Chishti
- 2163-2185 Growth potential of machine learning in credit risk predicting of farmers in the industry 4.0 era
by Nana Chai & Mohammad Zoynul Abedin & Xiaoling Wang & Baofeng Shi
- 2186-2214 Do responsible practices lead to higher firm productivity? Evidence from Europe
by Stefano Piserà & Luca Gandullia & Claudia Girardone
- 2215-2239 Banking market consolidation in Asia: Evidence from acquirers, targets, and rivals
by Sascha Kolaric & Florian Kiesel & Dirk Schiereck
- 2240-2253 COVID‐19 and insurance industry: Initial impact of the pandemic based on time‐frequency methods
by Zeeshan Fareed & Najaf Iqbal & Shaoyong Zhang & Livia Madureira
- 2254-2269 Forecasting reserve risk for temporal dependent losses in insurance
by Sawssen Araichi & Christian de Peretti & Lotfi Belkacem
- 2270-2283 Can green bonds be a safe haven for equity investors?
by Thomas Flavin & Lisa Sheenan
- 2284-2310 ESG peer effects and corporate financial distress: An executive social network perspective
by Qian Ding & Jianbai Huang & Jinyu Chen & Ding Wang
- 2311-2326 Total, quantile, and frequency risk transmission among metal commodities
by Huifu Nong & Qian Huang
- 2327-2348 Is inflation targeting effective? Lessons from global financial crisis and COVID‐19 pandemic
by Chandan Sethi & Bibhuti Ranjan Mishra
- 2349-2368 The role of firm life cycle on capital structure of family firms over non‐family firms: Empirical evidence from India
by Manpreet Kaur Khurana & Shweta Sharma & Muhammad Shahin Miah
- 2369-2388 Multi‐class financial distress prediction based on stacking ensemble method
by Xiaofang Chen & Chong Wu & Zijiao Zhang & Jiaming Liu
- 2389-2406 Connectedness in exchange rates and news sentiment in the Asia‐Pacific region
by Tjeerd M. Boonman & Jens C. Fittje
- 2407-2426 Is transparency in sustainability the fruit of business trust: Evidence from sustainability disclosure?
by Yanqi Sun & Kun Su & Wei Cai & Min Bai
- 2427-2449 The impact of economic policy uncertainty on earnings value relevance
by Huanyu Ma & Xuegang Sun
- 2450-2469 Negative interest rate policy and bank risk‐taking: Search for yield or de‐leverage?
by Wenjin Tang & Weichang Chen & Xiaorui Ma & Chengbo Fu
- 2470-2491 Spillover effects in the nexus of finance‐institutions‐growth: New insights from spatial Durbin analysis on emerging economies
by Mahyudin Ahmad & Stephen G. Hall & Siong Hook Law & Sabri Nayan
- 2492-2513 The effect of shareholder pressure on stakeholder interests: Evidence from corporate tax avoidance
by Jiaoliang Jiang & Hengmiao Bao & Shijie Yang
- 2514-2535 Climate risk and trade credit financing: Evidence from China
by Jinyu Chen & Xinyu Guo & Yuan Geng & Ran Liu
- 2536-2573 Green banks versus non‐green banks: A financial stability comparative analysis in terms of CAMEL ratios
by Ioannis Malandrakis & Konstantinos Drakos
- 2574-2602 Reputational risk and target selection: An evidence from China
by Tanveer Hussain & Abubakr Saeed & Hammad Riaz
- 2603-2621 An integrative model for understanding cryptocurrency investment‐related behaviours: A comparison between millennials and pre‐millennials
by Christian Nedu Osakwe & Oluwatobi A. Ogunmokun & Islam Elgammal & Darya Baeva & Victoria Kamneva
- 2622-2646 Patented innovation and left‐tail risk: Evidence from China
by Shaoqing Jia & Liuyong Yang & Fangzhao Zhou & Jiayao Li & Yawei Qi
- 2647-2661 International mergers and acquisitions and institutional differences: An integrated approach
by Andrzej Cieślik & Monika Tarsalewska
- 2662-2681 Does climate risk vulnerability affect the value of excess cash? International evidence
by Assil Guizani & Hamza Nizar & Faten Lakhal & Taher Hamza & Ramzi Benkraiem
- 2682-2704 Corporate capital structure in BRICS economies: An integrated analysis of ESG, firm, industry, and macroeconomic determinants
by Tanveer Bagh & Ahmed Imran Hunjra & Yongsheng Guo & Elie Bouri
- 2705-2723 How does board gender diversity drive the ESG performance‐cash holdings relationship? Evidence from China
by Mohamed Marie & Baolei Qi & Ahmed A. Elamer & Ibrahim N. Khatatbeh & Eltayyeb Al‐Fakir Al Rabab'a
- 2724-2744 The repo market under Basel III: Effects of capital and liquidity regulations on market fragmentation
by Eddie Gerba & Petros Katsoulis
- 2745-2770 Do the specific characteristics of female directors work as alternative governance mechanisms to restrict earnings management in a developing country?
by Haseeb Ur Rahman & Muhammad Zahid & Mamdouh Abdulaziz Saleh Al‐Faryan & Anas A. Salameh
- 2771-2785 A portfolio diversification measure in the unit interval: A coherent and practical approach
by Yuri Salazar Flores & Adan Diaz‐Hernandez & Oralia Nolasco‐Jauregui & Luis Alberto Quezada‐Tellez
- 2786-2802 Islamic mutual funds: Seasonal patterns and determinants of performance across regions
by Chiraz Labidi & Jose Arreola Hernandez & Gazi Salah Uddin & Ali Ahmed & Muhammad Yahya & Seong‐Min Yoon
- 2803-2828 Monetary policy transmission under pandemic uncertainty: Effect on banks' risk and capital adjustments
by Moau Yong Toh & Dekui Jia
- 2829-2848 Climate transition risk and corporate environment, social and governance performance: Evidence from Chinese listed companies
by Jinyu Chen & Yixin Qiu & Qian Ding & Yuan Geng
- 2849-2866 Communicating tokenomics and monetary policy: A comparative analysis of real and virtual economies
by Kane Falco ter Veer & Timo Heinrich
- 2867-2882 Monetary policy and equity returns: The role of investor risk aversion
by Licheng Zhang
- 2883-2911 Integrating sustainable finance into energy policies: A comprehensive study on the influence of green investments on energy performance in OECD nations
by Bilgehan Tekin & Sadik Aden Dirir & Kadir Aden
- 2912-2929 The impact of cryptocurrency heists on Bitcoin's market efficiency
by Mingnan Li & Viktor Manahov & John Ashton
- 2930-2945 The Memory in Return Volatility: An Analysis of Mutual Fund Returns
by Kai Yao & Kun Duan & Rong Huang & Thanaset Chevapatrakul
- 2946-2963 The Impact of Brexit Disclosure on Trade Credit
by Mahmoud Elmarzouky & Khaled Hussainey & Khaldoon Albitar & Fadi Alkaraan
- 2964-2980 Do Vice Chancellors' Career Horizon Matter for University Sustainability Performance? The Moderating Role of Soft Information
by Lee Roberts & Yang Wang & Ahmed A. Elamer
- 2981-3002 Connectedness Structure and Volatility Dynamics Between BRICS Markets and International Volatility Indices: An Investigation
by Halilibrahim Gökgöz & Salha Ben Salem & Azza Bejaoui & Ahmed Jeribi
- 3003-3030 A Novel Metric for Corporate Environmental Responsibility and Its Impact on Investment Inefficiency
by Yadong Wang & Khaldoon Albitar & Imad Chbib
- 3031-3043 The Role of Environment Social and Governance (ESG) Score To Cost of Debt: Evidence From ASEAN Countries
by Moch. Doddy Ariefianto & Fitriani Rahmansyah & Valencia Wijaya & Viary Audreane
- 3044-3063 Relationship Between Pillars of Sustainability and Foreign Direct Investment Inflows: Evidence From Emerging Economies
by Tusharika Mahna & Sonali Jain & Surendra Singh Yadav
- 3064-3091 Market Efficiency and Equity Risk Premium Predictability
by Leandro dos Santos Maciel & Ricardo Franceli da Silva
- 3092-3118 CEO Age and Capital Structure Dynamics: The Moderating Effect of Overconfidence and Tenure
by Ernest Ezeani & Bilal Bilal & Fulgence Samuel
- 3119-3137 ESG Meets DeFi: Exploring Time‐Varying Linkages and Portfolio Implications
by Shoaib Ali & Manel Youssef & Muhammad Umar & Muhammad Abubakr Naeem
- 3138-3168 How Do Socially Responsible Investment Funds Go Green? The Influence of Investment Styles and managers' Experience
by Mathieu Mercadier & Yves Rannou & Mohamed Amine Boutabba & Jinzhao Chen
- 3169-3186 Forecasting Digital Asset Return: An Application of Machine Learning Model
by Vito Ciciretti & Alberto Pallotta & Suman Lodh & P. K. Senyo & Monomita Nandy
- 3187-3200 COVID‐19, Board of Directors and Pessimism in Annual Reports: An Intention to Mitigate Litigation Risk
by Khaldoon Albitar & Mahmoud Elmarzouky & ATM Enayet Karim & Ali Meftah Gerged
- 3201-3211 A note on the determinants of non‐fungible tokens returns
by Theodore Panagiotidis & Georgios Papapanagiotou
- 3212-3229 The term structure of interest rates as predictor of stock market volatility
by Anastasios Megaritis & Alexandros Kontonikas & Nikolaos Vlastakis & Athanasios Triantafyllou
- 3230-3260 The impact of new millennium crises on the power of Islamic banks in deposit markets
by Maryam Alhalboni & Kenneth Baldwin
- 3261-3279 Corporate cash policy and double machine learning
by Hadi Movaghari & Serafeim Tsoukas & Evangelos Vagenas‐Nanos
- 3280-3306 The moderating role of governance on the nexus of financial crime and sustainable development
by Monica Violeta Achim & Viorela Ligia Văidean & Nawazish Mirza
- 3307-3321 Environmental Performance in Insurance Companies: The Role of Women
by Evita Allodi & Aymen Ammari & Dario Salerno & Gian Paolo Stella
- 3322-3339 The Influence of Sanctions on Corporate Reporting Behaviour: International Evidence
by Mohammad Abweny & Rizwan Ahmed & Chonlakan Benjasak & Dung T. K. Nguyen
April 2025, Volume 30, Issue 2