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Content
2021, Volume 68, Issue C
- S0927538X19305402 Jumps at ultra-high frequency: Evidence from the Chinese stock market
by Zhang, Chuanhai & Liu, Zhi & Liu, Qiang
- S0927538X19305542 Predicting the risk of financial distress using corporate governance measures
by Li, Zhiyong & Crook, Jonathan & Andreeva, Galina & Tang, Ying
- S0927538X21000251 The importance of large shocks to return predictability
by Diaz, Juan & Duarte, Diogo & Galindo, Hamilton & Montecinos, Alexis & Truffa, Santiago
- S0927538X21000536 A fresh look at the risk-return tradeoff
by Wang, Cindy S.H. & Chen, Yi-Chi & Lo, Hsin-Yu
- S0927538X21000627 Firm-level perception of uncertainty and innovation activity: Textual evidence from China's A-share market
by Yu, Zhen & Xiao, Yao & Li, Jinpo
- S0927538X21000676 Does size and book-to-market contain intangible information about managerial incentives? Learning from corporate D&O insurance purchase
by Huang, Rachel J. & Jeng, Vivian & Wang, Cheng-Wei & Yue, Jack C.
- S0927538X21000792 How does labor protection influence corporate risk-taking? Evidence from China
by Jiang, Jiaoliang & Chen, Yulin
- S0927538X21000810 Explaining the risk premiums of life settlements
by Kung, Ko-Lun & Hsieh, Ming-Hua & Peng, Jin-Lung & Tsai, Chenghsien Jason & Wang, Jennifer L.
- S0927538X21000822 Do economic policy uncertainty and its components predict China's housing returns?
by Yin, Xiao-Cui & Li, Xin & Wang, Min-Hui & Qin, Meng & Shao, Xue-Feng
- S0927538X21000834 Uncertainty, venture capital and entrepreneurial enterprise innovation—Evidence from companies listed on China's GEM
by Chu, Chien-Chi & Li, Yong-Li & Li, Shi-Jie & Ji, Yun
- S0927538X21000846 Is inflation persistent? Evidence from a time-varying unit root model
by Devpura, Neluka & Sharma, Susan Sunila & Harischandra, P.K.G. & Pathberiya, Lasitha R.C.
- S0927538X21000937 Quantile relationship between Islamic and non-Islamic equity markets
by Rahman, Md Lutfur & Hedström, Axel & Uddin, Gazi Salah & Kang, Sang Hoon
- S0927538X21000949 Financial stability efficiency of Islamic and conventional banks
by Safiullah, Md
- S0927538X21000950 Can management tone predict IPO performance? – Evidence from mandatory online roadshows in China
by Bian, Shibo & Jia, Dekui & Li, Ruihai & Sun, Wujun & Yan, Zhipeng & Zheng, Yingfei
- S0927538X21000962 Time-varying asymmetric tail dependence of international equities markets
by Zhou, Chunyang & Qin, Xiao
- S0927538X21000974 Do fund managers time implied tail risk? — Evidence from Chinese mutual funds
by Ni, Zhongxin & Wang, Linyu & Li, Weishu
- S0927538X21000986 The relationship between yield curve components and equity sectorial indices: Evidence from China
by Umar, Zaghum & Yousaf, Imran & Aharon, David Y.
- S0927538X21000998 Geographic proximity and cross-region merger and acquisitions: Evidence from the opening of high-speed rail in China
by Jin, Zhi & Yang, Yinan & Zhang, Liguang
- S0927538X21001001 Property rights protection and mergers and acquisitions
by Fang, Tian Jin & Han, Jianlei & He, Jing & Shi, Jing
- S0927538X21001013 The nonlinear effect of foreign ownership on capital structure in Japan: A panel threshold analysis
by Zeitun, Rami & Goaied, Mohamed
- S0927538X21001025 Does the q theory of investment work well in China?
by Chen, Te-Feng & Kwok, Wing Chun & Wong, George
- S0927538X21001037 Corporate environmental responsibility and default risk: Evidence from China
by Shih, Yi-Cheng & Wang, Yao & Zhong, Rui & Ma, Yi-Ming
- S0927538X21001049 Economic policy uncertainty, COVID-19 lockdown, and firm-level volatility: Evidence from China
by Yang, Jianlei & Yang, Chunpeng
- S0927538X21001050 Financial literacy, debt, risk tolerance and retirement preparedness: Evidence from New Zealand
by Noviarini, Jelita & Coleman, Andrew & Roberts, Helen & Whiting, Rosalind H.
- S0927538X21001062 Mutual fund herding and return comovement in Chinese equities
by Caglayan, Mustafa Onur & Hu, Yu & Xue, Wenjun
- S0927538X21001074 Female directors and acquisitions: Australian evidence
by Lucas, Ryley & Gunasekarage, Abeyratna & Shams, Syed & Edirisuriya, Piyadasa
- S0927538X21001086 An inflation-based ICAPM in China
by Zhang, Han
- S0927538X21001098 What factors are associated with stock price jumps in high frequency?
by Ahn, Yongkil & Tsai, Shih-Chuan
- S0927538X21001104 Technical expert CEOs and corporate innovation
by Ting, Hsiu-I & Wang, Ming-Chun & Yang, J. Jimmy & Tuan, Kai-Wen
- S0927538X21001116 Media exposure on corporate social irresponsibility and firm performance
by Teng, Chia-Chen & Yang, J. Jimmy
- S0927538X21001128 How noise trading affects informational efficiency: Evidence from an order-driven market
by Zhang, Chris H. & Kalev, Petko S.
- S0927538X21001141 Anomalies in the China A-share market
by Jansen, Maarten & Swinkels, Laurens & Zhou, Weili
- S0927538X21001153 Stock market reactions to the COVID-19 pandemic: The moderating role of corporate big data strategies based on Word2Vec
by Xue, Fujing & Li, Xiaoyu & Zhang, Ting & Hu, Nan
- S0927538X21001165 Do messages on online stock forums spur firm productivity?
by Zhang, Wei & Wang, Pengfei & Li, Yi
- S0927538X21001177 Economic policy uncertainty and bank stability: Threshold effect of institutional quality and competition
by Shabir, Mohsin & Jiang, Ping & Bakhsh, Satar & Zhao, Zhongxiu
- S0927538X21001189 Lottery preferences and retail short selling
by Tsai, Chia-Fen & Chang, Jung-Hsien & Tsai, Feng-Tse
- S0927538X21001190 Deriving managerial skills by dissecting holding changes of mutual funds: Evidence from China
by Jun, Xiao & Ren, He & Sun, Ping-Wen
- S0927538X21001207 The effect of economic policy uncertainty on enterprise total factor productivity based on financial mismatch: Evidence from China
by Li, Kaifeng & Guo, Zhaoxuan & Chen, Qi
- S0927538X21001219 How do investors in Chinese stock market react to external uncertainty? An event study to the Sino-US disputes
by Gu, Xin & Zhang, Weiqiang & Cheng, Sang
- S0927538X21001220 Measuring the connectedness of global health sector stock markets
by Ye, Liping & Geng, Jiang-Bo
- S0927538X21001232 Predictive ability of similarity-based futures trading strategies
by Chiang, Mi-Hsiu & Chiu, Hsin-Yu & Kuo, Wei-Yu
- S0927538X21001244 Do CEO's political promotion incentives influence the value of cash holdings: Evidence from state-owned enterprises in China
by Lou, Xu & Qian, Aimin & Zhang, Chenyu
- S0927538X21001256 The way back home: Trading behaviours of foreign institutional investors in China amid the COVID-19 pandemic
by Zhang, Jinhua & Mao, Rui & Wang, Jieyu & Xing, Mengying
- S0927538X21001268 Does sectoral diversification of loans and financing improve bank returns and risk in dual-banking systems?
by Šeho, Mirzet & Ibrahim, Mansor H. & Mirakhor, Abbas
- S0927538X21001281 Monetary policy and its transmission channels: Evidence from China
by Li, Huan & Ni, Jinlan & Xu, Yueli & Zhan, Minghua
- S0927538X21001293 Corporate social responsibility, competition, and firm value
by Gupta, Kartick & Krishnamurti, Chandrasekhar
- S0927538X21001323 Economic policy uncertainty, hold-up risk and vertical integration: Evidence from China
by Yu, Zhen & Li, Yuankun & Ouyang, Ziyi
- S0927538X1930527X Reinforcement learning and mortgage partial prepayment behavior
by Deng, Yongheng & Gu, Quanlin & He, Jia
- S0927538X2100113X Political connections and banks' credit smoothing behavior: Incentives and costs
by Bian, Wenlong & Ji, Yang & Wang, Peng
- S0927538X2100127X Staged subsidies and corporate investments: Evidence from Chinese listed firms
by Deng, Kebin & Ding, Zhong & Liao, Xiaojie & Zhu, Yushu
- S0927538X2100130X Trade integration and research and development investment as a proxy for idiosyncratic risk in the cross-section of stock returns
by Galicia-Sanguino, Lucía & Rojo-Suárez, Javier & Alonso-Conde, Ana B. & López-Pérez, M. Victoria
2021, Volume 67, Issue C
- S0927538X21000226 Noise as a liquidity measure: Evidence from the JGB market
by Hattori, Takahiro
- S0927538X21000287 US government shutdowns and Indonesian stock market
by Nguyen, Dat Thanh & Phan, Dinh Hoang Bach & Anglingkusumo, Reza & Sasongko, Aryo
- S0927538X21000299 Volatility regime, inverted asymmetry, contagion, and flights in the gold market
by Chang, Meng-Shiuh & Kung, Chih-Chun & Chen, Meng-Wei & Tian, Yuan
- S0927538X21000305 Liquidity creation cyclicality, capital regulation and interbank credit: Evidence from Chinese commercial banks
by Tang, Ying & Li, Zhiyong & Chen, Jing & Deng, Chao
- S0927538X21000317 The effect of Guanxi culture on the voting of independent directors: Evidence from China
by Li, Yanlin & Tian, Gary Gang & Wang, Xin
- S0927538X21000408 Economic policy uncertainty exposure and corporate innovation investment: Evidence from China
by Cui, Xin & Wang, Chunfeng & Liao, Jing & Fang, Zhenming & Cheng, Feiyang
- S0927538X21000421 Do factor models explain stock returns when prices behave explosively? Evidence from China
by Wang, Shaoping & Yu, Lu & Zhao, Qing
- S0927538X21000433 Costly arbitrage and skewness pricing: Evidence from first-day price limit reform in China
by Yao, Jing & Zheng, Zexin
- S0927538X21000445 VC fund preferences and exits of individual investors
by Wang, Qing (Sophie) & Lai, Shaojie & Anderson, Hamish D.
- S0927538X21000457 A new estimation of institutional informed trading and firm transparency: Evidence from China
by Gu, Xin & Ying, Shan & Wang, Liangliang & Yu, Zhen & Sharma, Susan Sunila
- S0927538X21000469 Economic uncertainty and its spillover networks: Evidence from the Asia-Pacific countries
by Tang, Wenjin & Ding, Saijie & Chen, Hao
- S0927538X21000470 The role of angel investment for technology-based SMEs: Evidence from China
by Zhou, Lu Jolly & Zhang, Xinyu & Sha, Yezhou
- S0927538X21000482 Political uncertainty and allocation of decision rights among business groups: Evidence from the replacement of municipal officials
by Li, Mangmang & Cao, Yuqiang & Lu, Meiting & Wang, Hongjian
- S0927538X21000494 Economic policy uncertainty and corporate innovation: Evidence from China
by Guan, Jialin & Xu, Huijuan & Huo, Da & Hua, Yechun & Wang, Yunfeng
- S0927538X21000500 The influence of the SARS pandemic on asset prices
by Song, Pengcheng & Ma, Xinxin & Zhang, Xuan & Zhao, Qin
- S0927538X21000512 Borrow low, lend high: Credit arbitrage by sophisticated investors
by Tian, Geran & Wang, Xiaowen & Wu, Weixing
- S0927538X21000524 Industry and geographic peer effects on corporate tax avoidance: Evidence from China
by Liang, Quanxi & Li, Qiumei & Lu, Meiting & Shan, Yaowen
- S0927538X21000548 Labor costs and financialization of real sectors in emerging markets
by Hou, Qingsong & Tang, Xiaofang & Teng, Min
- S0927538X21000561 Does air pollution affect a firm's cash holdings?
by Tan, Jianhua & Tan, Zhidong & Chan, Kam C.
- S0927538X21000573 International trade friction and the cost of debt: Evidence from China
by Feng, Xiaoli & Li, Wenjing & Peng, Yuanhuai & Tan, Youchao
- S0927538X21000585 Does the turnover effect matter in emerging markets? Evidence from China
by Chen, Tsung-Yu & Chao, Ching-Hsiang & Wu, Zhen-Xing
- S0927538X21000597 Undergraduate student financial education interventions: Medium term evidence of retention, decay, and confidence in financial literacy
by Gerrans, Paul
- S0927538X21000603 The effect of language on investing: Evidence from searches in Chinese versus English
by Huang, Yin-Siang & Chuang, Hui-Ching & Hasan, Iftekhar & Lin, Chih-Yung
- S0927538X21000615 Policy uncertainty spillovers and financial risk contagion in the Asia-Pacific network
by LI, Yang & Luo, Jingqiu & Jiang, Yongmu
- S0927538X21000639 Stock price manipulation, short-sale constraints, and breadth-return relationship
by Cao, Zhiqi & Lv, Dayong & Sun, Zhenzhen
- S0927538X21000640 Microfinance institutions and Peer-to-Peer lending: What does microfinance competition bring?
by Wang, Bo & Yu, Yunjun & Yang, Ziying & Zhang, Xiaomei
- S0927538X21000652 Enhanced factor investing in the Korean stock market
by Kim, Saejoon
- S0927538X21000664 Can high speed railway curb tunneling? Evidence from the independent directors' monitoring effect in China
by Zhang, Linyi & Zhang, Honghui
- S0927538X21000688 Risk spillover from energy market uncertainties to the Chinese carbon market
by Xu, Yingying
- S0927538X21000706 Return and volatility transmission between emerging markets and US debt throughout the pandemic crisis
by Umar, Zaghum & Manel, Youssef & Riaz, Yasir & Gubareva, Mariya
- S0927538X21000718 Cross-trading and liquidity management: Evidence from municipal bond funds
by Wang, Z. Jay & Yang, Jingyun
- S0927538X21000731 Guaxi and financial exclusion: Empirical evidence from households in China
by Zhu, Kehan & Zhou, Yuhong & Zhao, Jingmei
- S0927538X21000743 Liquidity, informed trading, and a market surveillance system: Evidence from the Vietnamese stock market
by Chen, Rong & Geng, Heng (Griffin) & Lin, Hai & Nguyen, Phuong Thi Ly
- S0927538X21000755 Limited attention, managerial multitasking, and hedge fund performance in China
by Li, Lu & Li, Yang & Wang, Xueding & He, Yuqian
- S0927538X21000767 Does corporate social responsibility reduce share price premium? Evidence from China's A- and H-shares
by Deng, Lu & Liao, Mingqing & Luo, Rui & Sun, Jianfei & Xu, Chen
- S0927538X21000779 Credit cards and small business dynamics: Evidence from China
by Yuan, Yan & Rong, Zhao & Xu, Nana & Lu, Yiyang
- S0927538X21000780 Faith-based investments and the Covid-19 pandemic: Analyzing equity volatility and media coverage time-frequency relations
by Umar, Zaghum & Gubareva, Mariya
- S0927538X21000809 Commonality in disagreement
by Gong, Qiang & Jacoby, Gady & Li, Shi & Lu, Lei
- S0927538X2100024X Fixed asset revaluation and external financing during the financial crisis: Evidence from Korea
by Cho, Hyungjin & Chung, Ju Ryum & Kim, Young Jun
- S0927538X2100041X Do CEOs with academic experience add value to firms? Evidence on bank loans from Chinese firms
by Wang, Lu & Su, Zhong-qin & Fung, Hung-Gay & Jin, Hong-min & Xiao, Zuoping
- S0927538X2100055X The changing role of foreign investors in Tokyo stock price formation
by Iwatsubo, Kentaro & Watkins, Clinton
- S0927538X2100069X Japanese monetary policy and its impact on stock market implied volatility during pleasant and unpleasant weather
by Finta, Marinela Adriana
- S0927538X2100072X FinTech innovation regulation based on reputation theory with the participation of new media
by Zhou, Xi & Chen, Shou
2021, Volume 66, Issue C
- S0927538X17303645 Stock trading behaviour and firm performance: Do CEO equity-based compensation and block ownership matter?
by Chapple, Larelle & Chen, Brandon & Suleman, Tahir & Truong, Thu Phuong
- S0927538X17305747 To pay or not pay: Board remuneration and insolvency risk in credit unions
by Unda, Luisa A. & Ranasinghe, Dinithi
- S0927538X20306715 ‘Growing out of the growing pain’: Financial literacy and life insurance demand in China
by Wang, Hongyang & Zhang, Dayong & Guariglia, Alessandra & Fan, Gang-Zhi
- S0927538X21000056 Value at risk and the cross-section of expected returns: Evidence from China
by Gui, Pingshu & Zhu, Yifeng
- S0927538X21000159 Future profitability and stock returns of innovative firms in Australia
by Bedford, Anna & Ma, Le & Ma, Nelson & Vojvoda, Kristina
- S0927538X21000160 The power of investor sentiment in explaining bank stock performance: Listed conventional vs. Islamic banks
by Di, Li & Shaiban, Mohammed Sharaf & Hasanov, Akram Shavkatovich
- S0927538X21000172 Bank ownership, institutional quality and financial stability: evidence from the GCC region
by Boulanouar, Zakaria & Alqahtani, Faisal & Hamdi, Besma
- S0927538X21000184 Does controlling shareholders' share pledging raise suppliers' eyebrows?
by Jiang, Fuxiu & Xia, Xiaoxue & Zheng, Xiaojia
- S0927538X21000214 How does trade policy uncertainty affect agriculture commodity prices?
by Sun, Ting-Ting & Su, Chi-Wei & Mirza, Nawazish & Umar, Muhammad
- S0927538X21000238 Does geopolitical risk uncertainty strengthen or depress cash holdings of oil enterprises? Evidence from China
by Wang, Kai-Hua & Xiong, De-Ping & Mirza, Nawazish & Shao, Xue-Feng & Yue, Xiao-Guang
- S0927538X21000263 Does crude oil price stimulate economic policy uncertainty in BRICS?
by Su, Chi-Wei & Huang, Shi-Wen & Qin, Meng & Umar, Muhammad
- S0927538X21000275 Effect of coronavirus fear on the performance of Australian stock returns: Evidence from an event study
by Naidu, Dharmendra & Ranjeeni, Kumari
- S0927538X1730392X The value relevance of corporate donations
by Houqe, Muhammad Nurul & van Zijl, Tony & Karim, A.K.M. Waresul & George, Thomas St
2021, Volume 65, Issue C
- S0927538X20306740 Extreme linkages between foreign exchange and general financial markets
by Wu, Chih-Chiang & Chen, Wei-Peng & Korsakul, Nattawadee
- S0927538X20306752 Coronavirus (Covid-19) outbreak, investor sentiment, and medical portfolio: Evidence from China, Hong Kong, Korea, Japan, and U.S
by Sun, Yunpeng & Bao, Qun & Lu, Zhou
- S0927538X20306776 Corruption and firm efforts on environmental protection: Evidence from a policy shock
by Yang, Cheng & Zhang, Wenzhe & Sheng, Yan & Yang, Zhiqing
- S0927538X20306788 Volatility spillovers of A- and B-shares for the Chinese stock market and its impact on the Chinese index returns
by Chung, Chien-Ping & Liao, Tzu-Hsiang & Lee, Hsiu-Chuan
- S0927538X20306806 Guanxi, media coverage and IPO approvals: Evidence from China
by Xiong, Yan & Zhao, Yan
- S0927538X20306818 Monitoring or tunneling? Information interaction among large shareholders and the crash risk of the stock price
by Li, Jie & Wang, Lidan & Zhou, Zhong-Qiang & Zhang, Yongjie
- S0927538X20306831 How do zombie firms affect debt financing costs of others: From spillover effects views
by Yu, Miao & Guo, Yue Mei & Wang, Di & Gao, Xiaohan
- S0927538X20306922 Firms' cash reserve, financial constraint, and geopolitical risk
by Lee, Chien-Chiang & Wang, Chih-Wei
- S0927538X20306934 Financial literacy and financial decision-making at older ages
by Fong, Joelle H. & Koh, Benedict S.K. & Mitchell, Olivia S. & Rohwedder, Susann
- S0927538X20306946 Supply-side structural reform and dynamic capital structure adjustment: Evidence from Chinese-listed firms
by Jiang, Xiaochen & Shen, Jim Huangnan & Lee, Chien-Chiang & Chen, Chong
- S0927538X20306958 Xi's anti-corruption campaign and the speed of capital structure adjustment
by Hu, Yiming & Xu, Mingxia
- S0927538X20306971 Economic policy uncertainty and stock price synchronicity: Evidence from China
by Shen, Huayu & Liu, Runxin & Xiong, Hao & Hou, Fei & Tang, Xiaoyi
- S0927538X20306983 Revisiting momentum profits in emerging markets
by Butt, Hilal Anwar & Kolari, James W. & Sadaqat, Mohsin
- S0927538X20306995 Turnover premia in China's stock markets
by Zhang, Bing & Chen, Wei & Yeh, Chung-Ying
- S0927538X20307009 Overconfident CEOs and shadow banking in China
by Wu, Meng-Wen & Xu, Li & Shen, Chung-hua & Zhang, Ke-Kun
- S0927538X20307010 Childhood matters: Family education and financial inclusion
by Yan, Yu & Qi, Shusen
- S0927538X20307022 Performance of Japanese leveraged ETFs
by Miu, Peter & Yueh, Meng-Lan & Han, Jing
- S0927538X20307034 On the investors' sentiments and the Islamic stock-bond interplay across investments' horizons
by Aloui, Chaker & Shahzad, Syed Jawad Hussain & Hkiri, Besma & Hela, Ben Hamida & Khan, Muhammad Asif
- S0927538X20307046 Who reacts to what information in securities analyst reports? Direct evidence from the investor trade imbalance
by Hsieh, Wen-liang Gideon & Lee, Chin-Shen
- S0927538X20307058 Pay more or pay less? The impact of controlling shareholders' share pledging on firms' dividend payouts
by Xu, Jingjing & Huang, Haijie
- S0927538X21000019 Stock return predictability: Evidence from moving averages of trading volume
by Ma, Yao & Yang, Baochen & Su, Yunpeng
- S0927538X21000020 Does the power gap between a chairman and CEO matter? Evidence from corporate debt financing in China
by Wang, Brian Yutao & Duan, Mengran & Liu, Guangqiang
- S0927538X21000032 Economic policy uncertainty nexus with corporate risk-taking: The role of state ownership and corruption expenditure
by Zhang, Weike & Zhang, Xueyuan & Tian, Xiaoli & Sun, Fengwei
- S0927538X21000044 Asymmetric effects of noise in Merton default risk model: Evidence from emerging Asia
by Omar, Arti & Prasanna, P. Krishna
- S0927538X21000068 Market intraday momentum in Australia
by Ho, Tu & Lv, Jin Roc & Schultz, Emma
- S0927538X2030682X State ownership, implicit government guarantees, and crash risk: Evidence from China
by Ding, Mingfa & He, Zhongda & Jia, Yuecheng & Shen, Mi
- S0927538X2030696X Institutional trading in volatile markets: Evidence from Chinese stock markets
by Darby, Julia & Zhang, Hai & Zhang, Jinkai
- S0927538X2100007X Economic policy uncertainty and corporate tax avoidance: Evidence from China
by Shen, Huayu & Hou, Fei & Peng, Miaowei & Xiong, Hao & Zuo, Haohao
2020, Volume 64, Issue C
- S0927538X17303219 The effect of say on pay on CEO compensation and spill-over effect on corporate cash holdings: Evidence from Australia
by Atif, Muhammad & Huang, Allen & Liu, Benjamin
- S0927538X17303864 Managerial acquisitiveness and corporate tax avoidance
by Gul, Ferdinand A. & Khedmati, Mehdi & Shams, Syed M.M.
- S0927538X19304950 Forecasting China's stock market variance
by Cheng, Hang & Shi, Yongdong
- S0927538X20300834 Investor sentiment and the economic policy uncertainty premium
by Nartea, Gilbert V. & Bai, Hengyu & Wu, Ji
- S0927538X20300998 Impact of foreign entry into the banking sector: The case of Thailand in 1999–2014
by Lu, Wanxue & Mieno, Fumiharu
- S0927538X20301682 The agency cost of political connections: Evidence from China's File 18
by Hu, Yi & Wang, Changyun & Xiao, Gang & Zeng, Jianyu
- S0927538X20302304 Funding liquidity risk and banks' risk-taking: Evidence from Islamic and conventional banks
by Smaoui, Houcem & Mimouni, Karim & Miniaoui, Héla & Temimi, Akram
- S0927538X20302833 Islamic stock market versus conventional: Are islamic investing a ‘Safe Haven’ for investors? A systematic literature review
by Delle Foglie, Andrea & Panetta, Ida Claudia
- S0927538X20304042 Financial stability of banks in India: Does liquidity creation matter?
by Gupta, Juhi & Kashiramka, Smita
- S0927538X20304431 The value of corporate social responsibility during the crisis: Chinese evidence
by Zhang, Jing & Zi, Shuang & Shao, Pei & Xiao, Yuchao
- S0927538X20304510 Chinese economic policy uncertainty and U.S. households' portfolio decisions
by Lee, Kiryoung & Jeon, Yoontae & Jo, Chanik
- S0927538X20305795 Testing the mood seasonality hypothesis: Evidence from down under
by Lee, Deok-Hyeon & Min, Byoung-Kyu & Xiao, Yuchao
- S0927538X20306661 Sequential forecasting of downside extreme risk during overnight and daytime: Evidence from the Chinese Stock Market☆
by Jian, Zhihong & Li, Xupei & Zhu, Zhican
- S0927538X20306673 The effectiveness of foreign debt in hedging exchange rate exposure: Multinational enterprises vs. exporting firms
by Kim, Soon Sung & Chung, Jaiho & Hwang, Joon Ho & Pyun, Ju Hyun
- S0927538X20306685 The impact of weather on order submissions and trading performance
by Chuang, Yi-Wei & Tsai, Wei-Che & Weng, Pei-Shih
- S0927538X20306697 Do country-level legal, corporate governance, and cultural characteristics influence the relationship between insider ownership and dividend policy?
by Kim, Woo Sung & Kiymaz, Halil & Oh, Sekyung
- S0927538X20306703 Cross-sectional and time-series momentum returns: Is China different?
by Cheema, Muhammad A. & Chiah, Mardy & Man, Yimei
- S0927538X20306727 Deregulation of short-selling constraints and cost of bank loans: Evidence from a quasi-natural experiment
by Chen, Shenglan & Chou, Robin K. & Liu, Xiaoling & Wu, Yuhui
- S0927538X20306739 The role of equity underwriting relationships in mergers and acquisitions
by Chen, Hsuan-Chi & Ho, Keng-Yu & Weng, Pei-Shih & Yeh, Chia-Wei
- S0927538X20306764 Do stocks outperform bank deposits in China?
by Huang, Jiexiang & Guo, Wei & Zhang, Jin E.
- S0927538X2030384X Busy directors and firm performance: Evidence from Australian mergers
by Daniliuc, Sorin Ovidiu & Li, Lingwei & Wee, Marvin
- S0927538X2030665X Managerial rents vs. shareholder value in closed-end funds: Evidence from China
by Humphrey, Jacquelyn E. & Hunter, David & Hoang, Khoa & Wei, Wang Chun
- S0927538X2030679X Decomposing value: Changes in size or changes in book-to-market?
by Chai, Daniel & Chiah, Mardy & Zhong, Angel
2020, Volume 63, Issue C
- S0927538X19305396 Mixed financing strategies for capital-constrained retailer in the Chinese financial market
by Xia, Chuanxin & Xiao, Yujie & Zhuo, Wenyan & Hsiao, YuJen
- S0927538X19305451 Does a national reform of a logistics system matter in corporate cash management? Evidence from logistics service standardization in China
by Tan, Jianhua & Wang, Xiongyuan & Chan, Kam C.
- S0927538X19306493 Do Investors exaggerate corporate ESG information? Evidence of the ESG momentum effect in the Taiwanese market
by Chen, Hong-Yi & Yang, Sharon S.
- S0927538X19306912 Corporate social responsibility, social identity, and innovation performance in China
by Ko, Kuan-Cheng & Nie, Jun & Ran, Rong & Gu, Yuan
- S0927538X19307358 Local and foreign institutional investors, information asymmetries, and state ownership
by Ding, Xiaoya & Guedhami, Omrane & Ni, Yang & Pittman, Jeffrey A.
- S0927538X19307607 Does bank FinTech reduce credit risk? Evidence from China
by Cheng, Maoyong & Qu, Yang
- S0927538X20301025 Board of director compensation in China: It pays to be connected
by Chen, Zonghao & Keefe, Michael O'Connor & Watts, Jameson K.M.
- S0927538X20301189 The impact of CFO gender on corporate fraud: Evidence from China
by Luo, Jin-hui & Peng, Chenchen & Zhang, Xin
- S0927538X20301190 Risk classification of Asian real estate funds and their performance
by Mansley, Nick & Tse, Tiffany Ching Man & Wang, Zilong
- S0927538X20301797 Left-tail risk in China
by Zhen, Fang & Ruan, Xinfeng & Zhang, Jin E.
- S0927538X20302018 Agency, firm growth, and managerial turnover: A Chinese study
by Fu, Kangkang & Kwok, Wing Chun & Wong, George
- S0927538X20302067 Price discovery, order submission, and tick size during preopen period
by Xiao, Xijuan & Yamamoto, Ryuichi
- S0927538X20302274 Investing for the long run when expected equity premium is nonnegative
by Zhang, Yugui & Zhu, Jie & Zhu, Xiaoneng
- S0927538X20302390 Strategic participation in IPOs by affiliated mutual funds: Thai evidence
by Saengchote, Kanis & Sthienchoak, Jananya
- S0927538X20302560 Internationalization of futures markets: Lessons from China
by Fan, John Hua & Fernandez-Perez, Adrian & Indriawan, Ivan & Todorova, Neda
- S0927538X20302596 Does the sales seasonality anomaly exist in China?
by Huang, Jiexiang & Tan, Yongxian & Zhao, Hailong
- S0927538X20302638 Bank valuation and size: Evidence from Japan
by Sakawa, Hideaki & Watanabel, Naoki & Sasaki, Hitoshi & Tanahashi, Noriko
- S0927538X20302687 Switching between superannuation funds: Does performance and marketing matter?
by Peng, Xiaowen & Alpert, Karen & Hsu, Grace Chia-Man
- S0927538X20303437 Short-selling risk in Australia
by Ang (Chewie), Tze Chuan & Hayat, Aziz & Li, Bob
- S0927538X20303504 The impact of supply chain finance on firm cash holdings: Evidence from China
by Pan, Ailing & Xu, Lei & Li, Bin & Ling, Runze
- S0927538X20303565 A case study on Incitec Pivot's acquisition strategy of dyno nobel
by Balachandran, Balasingham & Fazzino, James & Shams, Syed
- S0927538X20304315 Corporate governance analysts and firm value: Australian evidence
by Huang, Peng & Lu, Yue & Wee, Marvin
- S0927538X1930722X The Korea discount and chaebols
by Ducret, Romain & Isakov, Dušan
2020, Volume 62, Issue C
- S0927538X17301336 Corporate governance mechanisms with conventional bonds and Sukuk’ yield spreads
by Mohd Saad, Noriza & Haniff, Mohd Nizal & Ali, Norli
- S0927538X17303372 Earnings management in financial institutions: A comparative study of Islamic banks and conventional banks in emerging markets
by Zainuldin, Mohd Haniff & Lui, Tze Kiat
- S0927538X17305176 Benchmark rate risk, duration gap and stress testing in dual banking systems
by Chattha, Jamshaid Anwar & Alhabshi, Syed Musa
- S0927538X17305899 Dissecting anomalies in Islamic stocks: Integrated or segmented pricing?
by Zaremba, Adam & Karathanasopoulos, Andreas & Maydybura, Alina & Czapkiewicz, Anna & Bagheri, Noushin
- S0927538X18304062 Role of Islamic banks in Indonesian banking industry: an empirical exploration
by Rizvi, Syed Aun R. & Narayan, Paresh Kumar & Sakti, Ali & Syarifuddin, Ferry
- S0927538X18304803 The impact of product market competition and internal corporate governance on family succession
by Yeh, Yin-Hua & Liao, Chen-Chieh
- S0927538X18305638 Do financial technology firms influence bank performance?
by Phan, Dinh Hoang Bach & Narayan, Paresh Kumar & Rahman, R. Eki & Hutabarat, Akhis R.
- S0927538X19300034 Does concentrated founder ownership affect board independence? Role of corporate life cycle and ownership identity
by Bansal, Shashank & Thenmozhi, M.
- S0927538X19302094 Does tax really matter for corporate payout policy: Evidence from a policy experiment in South Korea
by Lee, Sang-Yeob & Hong, Woo-Hyung
- S0927538X19304068 From classroom to boardroom: The value of academic independent directors in China
by Pang, Jiaren & Zhang, Xinyi & Zhou, Xi
- S0927538X19304287 Is there a role for Islamic finance and R&D in endogenous growth models in the case of Indonesia?
by Juhro, Solikin M. & Narayan, Paresh Kumar & Iyke, Bernard Njindan & Trisnanto, Budi
- S0927538X19304731 Annual report disclosure timing and stock price crash risk
by Li, Tao & Xiang, Cheng & Liu, Zhuo & Cai, Wenwu
- S0927538X19304810 Family control and cost of debt: Evidence from Thailand
by Swanpitak, Tanapond & Pan, Xiaofei & Suardi, Sandy
- S0927538X19304974 The potential effect of taxes on the equity home bias in New Zealand PIEs
by McDowell, Shaun & Lee, John B. & Marsden, Alastair
- S0927538X19305086 The impact of loan rollover restrictions on capital structure adjustments, leverage deviations, and firm values
by Liu, Haiming & Chiang, Yao-Min & Tsai, Hui-Ju
- S0927538X19305682 Corporate social responsibility and debt maturity: Australian evidence
by Nguyen, Van Ha & Choi, Bobae & Agbola, Frank W.
- S0927538X19305827 Islamic banks’ equity financing, Shariah supervisory board, and banking environments
by Meslier, Céline & Risfandy, Tastaftiyan & Tarazi, Amine