Content
November 2024, Volume 63, Issue 4
- 1155-1192 Does share pledging impair stakeholder welfare? Evidence based on corporate social responsibility
by Chengcheng Li & Xiaoqiong Wang & Feifei Zhu - 1193-1231 European banking M&As: The role of financial advisors
by Yiannis Anagnostopoulos & George Alexandrou & Hardy M. Thomas - 1233-1249 Madam Yellen is right about minimum wage policies: evidence from millions of sole proprietors
by Xiaohui Gao - 1251-1279 The role of independent directors’ tenure and network in controlling real-earnings management practices
by Muhammad Asad & Saeed Akbar & Sabur Mollah - 1281-1321 Industry tournament incentives and debt contracting
by Thomas R. Kubick & G. Brandon Lockhart & David C. Mauer - 1323-1348 Information disclosure ratings and stock price crash risk
by Kung-Cheng Ho & Andreas karathanasopoulos & Chia Chun Lo & Xixi Shen - 1349-1389 Governance through exit: Pension fund reform impact on real earnings management of portfolio companies
by Michał Kałdoński & Tomasz Jewartowski - 1391-1411 Asymptotic analyses for trend-stationary pairs trading strategy in high-frequency trading
by Tian-Shyr Dai & Yi-Jen Luo & Hao-Han Chang & Chu-Lan Kao & Kuan-Lun Wang & Liang-Chih Liu - 1413-1429 Stock buybacks and growth opportunities
by Naresh Gopal & Ravi S. Mateti & Duong Nguyen & Gopala Vasudevan - 1431-1471 Machine learning in accounting and finance research: a literature review
by Evangelos Liaras & Michail Nerantzidis & Antonios Alexandridis - 1473-1510 Oil shocks and state-level stock market volatility of the United States: a GARCH-MIDAS approach
by Afees A. Salisu & Rangan Gupta & Oguzhan Cepni & Petre Caraiani - 1511-1548 Limiting environmental reporting flexibility: investor judgment based on the EU taxonomy
by Sandra Chrzan & Christiane Pott
October 2024, Volume 63, Issue 3
- 807-827 The role of dividends and investor sentiment in the relation between idiosyncratic risk and expected returns
by Jungshik Hur & Qing Yang - 829-862 The order in a series of continuous special items and the likelihood of income classification shifting
by Haeyoung Shin & Michael Lacina & Shanshan Pan - 863-887 Robust portfolio strategies based on reference points for personal experience and upward pacesetters
by Zongrun Wang & Tangtang He & Xiaohang Ren & Luu Duc Toan Huynh - 889-923 Exploring the connections: Dividend announcements, stock market returns, and major sporting events
by Fakhrul Hasan & Basil Al-Najjar - 925-954 Can we trust machine learning to predict the credit risk of small businesses?
by Alessandro Bitetto & Paola Cerchiello & Stefano Filomeni & Alessandra Tanda & Barbara Tarantino - 955-977 Solar Weather Dynamics and the US Economy: A Comprehensive GVAR Perspective
by Theodoros Daglis & Konstantinos N. Konstantakis & Panos Xidonas & Panayotis G. Michaelides & Areistidis Samitas - 979-1006 Predicting expected idiosyncratic volatility: Empirical evidence from ARFIMA, HAR, and EGARCH models
by Chuxuan Xiao & Winifred Huang & David P. Newton - 1007-1045 Do board monitoring and audit committee quality help risky firms reduce CSR controversies?
by Cemil Kuzey & Habiba Al-Shaer & Ali Uyar & Abdullah S. Karaman - 1047-1081 Managerial attention to environmental protection and corporate green innovation
by Dan Huang & Jie Cheng & Xiaofeng Quan & Yanling Wu - 1083-1119 Asymmetries in risk spillovers between currency and stock markets: Evidence from the CoVaR-copula approach
by Yi-Chiuan Wang & Yi-hao Lai & Jyh-Lin Wu - 1121-1147 AN examination of linear factor models in U.K. stock returns in the presence of dynamic trading
by Jonathan Fletcher
August 2024, Volume 63, Issue 2
- 397-432 Shedding light on foreign currency cash flow hedges: transparency and the hedging decision
by Han Jin & Beverly B. Marshall - 433-468 Securitization and risk appetite: empirical evidence from US banks
by Stefano Filomeni - 469-518 The diversification benefits of cryptocurrency factor portfolios: Are they there?
by Weihao Han & David Newton & Emmanouil Platanakis & Haoran Wu & Libo Xiao - 519-550 Nothing to fear: strong corporate culture and workplace safety
by Jesper Haga & Fredrik Huhtamäki & Dennis Sundvik & Timmy Thor - 551-577 Book-to-market effect and product life cycle
by Ming-Che Hu & Alex YiHou Huang & Yanzhi Wang & Dan-Liou Yu - 579-597 Political landscape and liquidity of non-U.S. stocks from emerging markets
by Jang-Chul Kim & Qing Su - 599-632 Do markets value manager-investor interaction quality? Evidence from IPO returns
by Shibo Bian & Iftekhar Hasan & Xunxiao Wang & Zhipeng Yan - 633-678 Locally-rooted directors
by Axel Kind & Christophe Volonté - 679-714 Cash flow duration and market reactions to earnings announcements
by Wenlian Gao - 715-752 Dance with wolves: firm-level political risk and mergers and acquisitions
by Xin Chen & Haina Shi & Gaoguang Zhou & Xindong Zhu - 753-780 Does the audit committee member’s accounting experience associated with key audit matter types?
by Ahmed Aboud & Hany Elbardan & Moataz El-Helaly & Amr Kotb - 781-805 Eco-innovation and corporate waste management: The moderating role of ESG performance
by Khaldoon Albitar & Nohade Nasrallah & Khaled Hussainey & Yadong Wang
July 2024, Volume 63, Issue 1
- 1-36 Machine learning and trade direction classification: insights from the corporate bond market
by Mark Fedenia & Tavy Ronen & Seunghan Nam - 37-61 Hedge fund activism and corporate intangible capital investments
by Christof Beuselinck & Luc Desrousseaux - 63-85 Vertical propagation of default risk along the supply chain
by Mu-Shu Yun & Ko-Chia Yu - 87-146 Regulatory and contextual factors influencing earnings and capital management decisions: evidence from the European banking sector
by Raffaela Casciello & Marco Maffei & David A. Ziebart - 147-167 To mitigate the effect of underwriter bargaining power on IPO pricing through audit committee under an economy of little information asymmetry
by Lanfeng Kao & Min-Hsien Chiang & Anlin Chen - 169-194 CEO optimism and the use of credit default swaps: evidence from the US life insurance industry
by Jiang Cheng & Hung-Gay Fung & Tzu-Ting Lin & Min-Ming Wen - 195-235 Two-tier board characteristics and expanded audit reporting: Evidence from China
by Emad Noureldeen & Mohamed Elsayed & Ahmed A. Elamer & Jianming Ye - 237-264 Bank intervention and firms’ earnings management: evidence from debt covenant violations
by Yichu Huang & Lei Chen & Frank Hong Liu - 265-309 Freedom of choice impact on country-specific liquidity commonality
by Pawan Jain & Mohamed Mekhaimer & Ronald W. Spahr & Mark A. Sunderman - 311-324 The iSPAC
by Tasawar Nawaz - 325-353 Trade secret laws and initial public offering underpricing
by Chu-hsuan Chang & Woan-lih Liang & Yanzhi Wang - 355-395 Reduced disclosure and default risk: analysis of smaller reporting companies
by Shiyan Yin & Kai Yao & Thanaset Chevapatrakul & Rong Huang
May 2024, Volume 62, Issue 4
- 1329-1353 The impact of the Paycheck Protection Program on the risk-taking behaviour of US banks
by Stefano Filomeni - 1355-1396 Social media disclosure and reputational damage
by Xing Huan & Antonio Parbonetti & Giulia Redigolo & Zhewei Zhang - 1397-1429 The impact of political uncertainty on the cost of capital
by Frank Kwabi & Andrews Owusu & Ernest Ezeani & Agyenim Boateng - 1431-1458 Public access to in-house meeting reports and stock liquidity: evidence from China
by Hanyu Zhang & Rong Ding & Hang Zhou - 1459-1504 External social networks and tax avoidance
by Chih-Liang Liu & Junmao Chiu - 1505-1523 Military directors and stock price informativeness: What's all the fuss about?
by Tasawar Nawaz & Tahseen Nawaz - 1525-1568 Perk consumption and CEO turnover
by Yifan Zhan & Hung-Gay Fung & Wai Kin Leung - 1569-1592 Syndicated loans: mapping the trends, sources and intellectual evolution
by Mohammed Saharti & Sajid M. Chaudhry & Nisar Ahmad & Syed Mujahid Hussain - 1593-1613 You scratch my back and i scratch yours: evidence from relationship-based bidding in IPO auctions
by Wenjun Wang - 1615-1649 Macroeconomic uncertainty and earnings management: evidence from commodity firms
by Alessandro Paolo Rigamonti & Giulio Greco & Mariarita Pierotti & Alessandro Capocchi - 1651-1732 The scorching temperatures shock effect on firms’ performance: a global perspective
by Chai Liang Huang & Lai Ferry Sugianto - 1733-1753 Order backlog and its association with fundamental analysis metrics and future earnings
by Rajiv Banker & Russell Barber & Dana Hollie & Han-Up Park - 1755-1790 Short-term credit policies and operating performance
by Godfred Adjapong Afrifa & Ishmael Tingbani & Ahmad Alshehabi & Hussein Halabi
April 2024, Volume 62, Issue 3
- 865-887 The impact of economic policy uncertainty and inflation risk on corporate cash holdings
by Bijoy Chandra Das & Fakhrul Hasan & Soma Rani Sutradhar - 889-910 Research note: An investigation of the relation between pre-IPO dividends and vendor sales
by Paul B. McGuinness - 911-951 Optimal dividend decisions with capital infusion in a dynamic nonterminal bankruptcy model
by Shu Zhang & Peimin Chen & Chunchi Wu - 953-969 Effect of FinCredit on income inequality: the moderating role of financial inclusion
by Xuan T. T. Pham & Thu B. Luu - 971-1005 Realized higher moments and trading activity
by Shu-Fang Yuan - 1007-1036 Chalk it up to experience: CEO general ability and earnings management
by Leila Zbib & Kourosh Amirkhani & Douglas Fairhurst - 1037-1067 Earnings quality and board meeting frequency
by Nikos Vafeas & Adamos Vlittis - 1069-1143 CEO power and corporate strategies: a review of the literature
by Sanjukta Brahma & Fotini Economou - 1145-1190 Audit committee equity incentives and stock price crash risk
by Zhe Shen & Haili Li & Norvald Instefjord & Xinming Liu - 1191-1221 The externality of politically connected directors’ resignations on peers’ cost of debt
by Ting Liu & Shaoqing Kang & Lihong Wang - 1223-1250 Corporate investment decisions with switch flexibility, constraints, and path-dependency
by Spiros H. Martzoukos & Nayia Pospori & Lenos Trigeorgis - 1251-1290 An improved criterion for almost marginal conditional stochastic dominance
by Wei-Han Liu & Jow-Ran Chang & Guo-Jun Yang - 1291-1328 Breaking the Big Four brand’s halo effect precisely: evidence from the association between RMM coverage ratios and integrated audit effectiveness
by Dong Drew Li & Wenguang Lin & Pei-Yu Sun & Yunshu Tang & Zheng Cheng
February 2024, Volume 62, Issue 2
- 389-420 How does credit market innovation affect the fiscal policy of state governments?
by Hsien-Yi Chen & Sheng-Syan Chen - 421-447 Board diversity of industry expertise: impacts on strategic change and product markets
by Yang Fan - 449-498 Robust lessons learned from bank failures during the Great Financial Crisis
by Cullen F. Goenner - 499-552 What do dividend changes reveal? Theory and evidence from a unique environment
by Abdullah AlGhazali & Khamis Hamed Al-Yahyaee & Richard Fairchild & Yilmaz Guney - 553-577 Identifying accounting conservatism in the presence of skewness
by Henry Jarva & Matthijs Lof - 579-601 Forced consolidation
by Anna Pomeranets & Daniel G. Weaver - 603-636 CEO confidence matters: the real effects of short sale constraints revisited
by Juwon Jang & Eunju Lee - 637-682 Cash flow sensitivity of cash: when should we use it to measure financial constraints?
by Weiping Hu & Xiao Zhang & Ye He - 683-717 CEO power, corporate risk management, and dividends: disentangling CEO managerial ability from entrenchment
by Mike Adams & Wei Jiang & Tianshu Ma - 719-754 Consistent valuation: extensions from bankruptcy costs and tax integration with time-varying debt
by Nguyen Kim-Duc & Pham Khanh Nam - 755-798 The risk of SIN or socially irresponsible stocks
by Alireza Rezaeian & Marie Racine - 799-840 Are directors with foreign experience better monitors? Evidence from investment efficiency
by Xueman Xiang & Carl R. Chen & Yue Liu & Azhar Mughal & Qizhi Tao - 841-864 A reduced-form model for lease contract valuation with embedded options
by Chuang-Chang Chang & Hsiao-Wei Ho & Henry Hongren Huang & Yildiray Yildirim
January 2024, Volume 62, Issue 1
- 1-37 CFO overconfidence and conditional accounting conservatism
by Lu Qiao & Emmanuel Adegbite & Tam Huy Nguyen - 39-67 Economic policy uncertainty and heterogeneous institutional investor horizons
by Xiaoqiong Wang & Siqi Wei & Xiaoyang Zhu - 69-96 The market price to embedded value gap: an analysis of European life insurers
by Derrick W. H. Fung & Charles C. Yang & Jason J. H. Yeh - 97-133 Non-linear volatility with normal inverse Gaussian innovations: ad-hoc analytic option pricing
by Sharif Mozumder & Bakhtear Talukdar & M. Humayun Kabir & Bingxin Li - 135-169 Chasing noise in the stock market: an inquiry into the dynamics of investor sentiment and asset pricing
by Rilwan Sakariyahu & Audrey Paterson & Eleni Chatzivgeri & Rodiat Lawal - 171-194 PIPEs, firm investment, and viability
by Mark D. Walker & Qingqing Wu - 195-224 The impact of social media on venture capital financing: evidence from Twitter interactions
by Onur Bayar & Emre Kesici - 225-246 The dynamic relation between board gender diversity and firm performance: the moderating role of shareholder activism
by Fujiao Xie & Ying Guo & Shirley J. Daniel & Yuanyang Liu - 247-270 Corporate debt policy and tax uncertainty
by Kathleen Petrie Fuller & Qun Wu & Serhat Yildiz - 271-308 Corporate social responsibility and myopic management practice: Is there a link?
by David K. Ding & Christo Ferreira & Vu Minh Ngo & Phuc V. Nguyen & Udomsak Wongchoti - 309-339 Financial statement relevance, representational faithfulness, and comparability
by Michael Neel & Irfan Safdar - 341-364 Corporate social responsibility, earnings management and firm performance: evidence from panel VAR estimation
by Mark Anderson & Soonchul Hyun & Hussein Warsame - 365-387 Liquidity difference between non-U.S. and U.S. IPOs on the NYSE listings
by Jang-Chul Kim & Kaun Y. Lee & Ha-Chin Yi
November 2023, Volume 61, Issue 4
- 1177-1205 Chairperson (CEO) facial structure and risky investments: evidence from Chinese acquisitions
by Wen Shi & Xiaogang Bi & Agyenim Boateng & Shuai Yuan - 1207-1242 CEO marital status and corporate tax planning behavior
by Ming-Hua Liu & Shaohua Tian & Yang Zhang - 1243-1275 Regulation and post-crisis pay disclosure strategies of banks
by Sara De Masi & Kose John & Agnieszka Słomka-Gołębiowska & Piotr Urbanek - 1277-1313 Former CEOs chairing the board: does it matter to corporate social and environmental investments?
by Vu Quang Trinh & Aly Salama & Teng Li & Ou Lyu & Savvas Papagiannidis - 1315-1339 The effect of co-opted directors on real earnings management
by Robin Chen & Hongrui Feng & Xuechen Gao & Shenru Li - 1341-1378 The transfer of risk taking along the supply chain
by Manh Cuong Nguyen & Viet Anh Dang & Tri Tri Nguyen - 1379-1413 The impact of shareholder litigation risk on income smoothing
by Yiwei Li & Wei Song & Tingyu Sun & Qingjing Zhang - 1415-1440 Policy uncertainty and real activities manipulation: evidence from Brexit
by Naser Makarem & Harjinder Singh & Nigar Sultana & Darren Henderson - 1441-1478 Ex-ante determinants to delist or not delist targets after an M&A
by Hubert Bruslerie & Jérôme Caby - 1479-1511 From boots to suits: do military directors protect shareholders’ wealth?
by Tasawar Nawaz & Roszaini Haniffa & Mohammad Hudaib - 1513-1528 A new PIN model with application of the change-point detection method
by Chu-Lan Michael Kao & Emily Lin - 1529-1561 Generalized dividend behavior model and dividend smoothing: theory and empirical evidence
by Cheng-few Lee & James Juichia Lin
October 2023, Volume 61, Issue 3
- 763-816 Do analysts’ target prices stabilize the stock market?
by Markus Buxbaum & Wolfgang Schultze & Samuel L. Tiras - 817-854 Industry co-agglomeration, executive mobility and compensation
by Markus Broman & Debarshi K. Nandy & Yisong S. Tian - 855-878 A nonlinear inversion procedure for modeling the effects of economic factors on credit risk migration
by Jeffrey R. Stokes - 879-925 Another look at the dividend-price relationship in the accounting valuation framework
by Kathryn E. Easterday & Pradyot K. Sen - 927-966 Political uncertainty and corporate working capital in China
by Wei Yu & Jianjun Jia & Ying Zheng - 967-993 Attaining stochastic optimal control over debt ratios in U.S. markets
by Wei-han Liu - 995-1028 Customer concentration and target price accuracy
by Mu-Shu Yun & Lee-Young Cheng & Yan Zhao - 1029-1056 The implied cost of capital: accounting for growth
by Stephen Penman & Julie Zhu & Haofei Wang - 1057-1091 Do lottery characteristics matter for analysts’ forecast behavior?
by Mei-Chen Lin & J. Jimmy Yang - 1093-1127 Correcting estimation bias in regime switching dynamic term structure models
by Sungjun Cho & Liu Liu - 1129-1149 Dynamic interactions of actual stock returns with forecasted stock returns and investors’ risk aversion: empirical evidence interplaying the impact of Covid-19 pandemic
by Adnan Abo Al Haija & Rahma Lahyani - 1151-1176 The influences of information demand and supply on stock price synchronicity
by Yu-Fen Chen & Cheng-Few Lee & Fu-Lai Lin
August 2023, Volume 61, Issue 2
- 411-445 The dynamics of leverage of newly controlled target firms: evidence after an acquisition
by Hubert Bruslerie & Luminita Enache - 447-479 U.S. REIT banking relationships and syndicated loan pricing
by Yang-pin Shen & Chou-Yen Wu & Chiuling Lu - 481-500 The role of earnings management via real activities and accrual management in PIPEs
by Katherine Gunny & Troy Pollard - 501-533 The impact of organizational culture on bank stability
by Hiep Ngoc Luu & Lan Thi Mai Nguyen & Kieu Trang Vu & Loan Quynh Thi Nguyen - 535-565 The effect of book-tax conformity on the information environment: from the analyst perspective
by Audrey Hsu & Sophia Liu - 567-600 Do credit default swaps impact lenders’ monitoring of loans?
by Naceur Essaddam & Miran Hossain & Tashfeen Hussain - 601-631 Bank failure prediction: corporate governance and financial indicators
by Noora Alzayed & Rasol Eskandari & Hassan Yazdifar - 633-672 Can volume be more informative than prices? Evidence from Chinese housing markets
by Jian Yang & Meng Tong & Ziliang Yu - 673-699 Does options trading deter real activities manipulation?
by Mahmoud Delshadi & Mahmoud Hosseinniakani & Zabihollah Rezaee - 701-728 Does CDS market price intangible asset value? Evidence from SG&A expenditure
by Rong Huang & Xintian Lin & Yuan Xie - 729-753 Optimal investment for defined-contribution pension plans under money illusion
by Pengyu Wei & Charles Yang - 755-762 Recap of the 2022 annual conference on financial economics and accounting, November 4–5, 2022
by Cheng Few Lee & Siva Nathan & Vikas Agarwal
July 2023, Volume 61, Issue 1
- 1-33 Fundamentals, real-time uncertainty and CDS index spreads
by Alena Audzeyeva & Xu Wang - 35-62 The impact of clawback provisions on executive cash compensation
by Hanni Liu & Harrison Liu & Jennifer Yin - 63-123 Board diversity and corporate innovation
by I-Ju Chen & Wei Chih Lin & Huai-Chun Lo & Sheng-Syan Chen - 125-154 Nowcasting bitcoin’s crash risk with order imbalance
by Dimitrios Koutmos & Wang Chun Wei - 155-176 Auctions of failed banks: an analysis of losing bidders
by Tim M. Zhou - 177-211 An impact investment strategy
by Kumari Juddoo & Issam Malki & Sudha Mathew & Sheeja Sivaprasad - 213-263 Whose trades contribute more to price discovery? Evidence from the Taiwan stock exchange
by Donald Lien & Pi-Hsia Hung - 265-294 Hedging performance of volatility index futures: a partial cointegration approach
by Hsiu-Chuan Lee & Donald Lien & Her-Jiun Sheu - 295-322 Robust risk choice under high-water mark contract
by Congming Mu & Jingzhou Yan & Jinqiang Yang - 323-356 A comparison of multi-factor term structure models for interbank rates
by Frank J. Fabozzi & Francesco A. Fabozzi & Diana Tunaru - 357-394 Creditor control rights and borrower protection: the role of borrower consent clause in private debt contracts
by Saiying Deng & Yutao Li - 395-409 Intraday algorithmic trading strategies for cryptocurrencies
by Gil Cohen
May 2023, Volume 60, Issue 4
- 1283-1327 Corporate communication and shareholder base retention: evidence from spin-offs
by Ryan P. McDonough - 1329-1361 Mutual funds and stock fundamentals
by Qiyuan Peng & Sheri Tice & Ling Zhou - 1363-1391 Board overconfidence and M&A performance: evidence from the UK
by Sanjukta Brahma & Agyenim Boateng & Sardar Ahmad - 1393-1428 Corporate social responsibility and annual report reading difficulty
by Akhilesh Bajaj & Lori N. K. Leonard & Li Sun & Zhenze Xing - 1429-1449 Common institutional ownership and mergers and acquisitions outcomes
by Fan Xia - 1451-1468 The impact of ESG risks on corporate value
by Gil Cohen - 1469-1494 When in Rome, do as the Romans do: loan syndication in a state-dominated market
by Luqiao Zhang & Biao Mi & Yun Shen & Liang Han - 1495-1513 Open-market stock repurchases, insider trading, and price informativeness
by Gow-Cheng Huang & Kartono Liano & Ming-Shiun Pan - 1515-1542 Fundamental strength and the 52-week high anchoring effect
by Zhaobo Zhu & Licheng Sun & Min Chen - 1543-1567 Asymmetric dynamic risk transmission between financial stress and monetary policy uncertainty: thinking in the post-covid-19 world
by Chao Liang & Yanran Hong & Luu Duc Toan Huynh & Feng Ma - 1569-1604 Does corporate social responsibility affect leverage adjustments?
by Trung K. Do & Henry Hongren Huang & Te-Chien Lo - 1605-1628 Advertising, product market competition and stock returns
by Huong Le & Andros Gregoriou & Tung Nguyen - 1629-1650 Underpricing of corporate and independent venture capital-backed IPOs: Do they differ?
by Fatima Shuwaikh & Emmanuelle Dubocage & Dennis Murer
April 2023, Volume 60, Issue 3
- 839-876 Dividend policy, systematic liquidity risk, and the cost of equity capital
by Khelifa Mazouz & Yuliang Wu & Rabab Ebrahim & Abhijit Sharma - 877-914 Same same but different: how preferential claims trigger valuation discounts in equity tranches of VC-backed firms
by Julian Kaboth & Arnd Lodowicks & Maximilian Schreiter & Bernhard Schwetzler - 915-948 Does religiosity improve analyst forecast accuracy?
by Zuobao Wei & Yicheng Zhu - 949-981 Bank CEO risk-taking incentives and bank lending quality
by Rui-Xiang Zhai & Po-Hsin Ho & Chih-Yung Lin & Tran Thi Thuy Linh - 983-1023 The relationship between religiosity and voluntary disclosure quality: a cross-country evidence from the banking sector
by Rami Salem & Ernest Ezeani & Xi Song - 1025-1063 CEO power and CSR-linked compensation for corporate environmental responsibility: UK evidence
by Habiba Al-Shaer & Khaldoon Albitar & Jia Liu - 1065-1097 Mean reverting in stock ratings distribution
by Huai-Chun Lo & Chia-Ying Chan - 1099-1141 Trade credit and firm investments: empirical evidence from Italian cooperative banks
by Stefano Filomeni & Michele Modina & Elena Tabacco - 1143-1160 Option implied riskiness and risk-taking incentives of executive compensation
by Chia-Chi Lu & Carl Hsin-han Shen & Pai-Ta Shih & Wei‐Che Tsai - 1161-1207 Female CFOs and managerial opportunism
by Dina El Mahdy & Fatima Alali - 1209-1242 Trade-time clustering
by Jeffrey R. Black & Pankaj K. Jain & Wei Sun - 1243-1258 What underlies key audit matters? Evidence from Taiwan
by Shao-Huai Liang & Yu-Ting Hsieh & Hsuan-Chu Lin & Hui-Yu Hsiao - 1259-1281 CDS and equity markets’ volatility linkages: lessons from the EMU crisis
by Theodoros Bratis & Nikiforos T. Laopodis & Georgios P. Kouretas
February 2023, Volume 60, Issue 2
- 425-443 Air pollution and innovation-evidence from quasi-natural experiment of China’s Huai River policy
by Zhuo Qiao & Zhaohua Li & Yanzhi Wang - 445-469 Can credit default swaps exert an enduring monitoring influence on political integrity?
by Hsien-Yi Chen & Sheng-Syan Chen - 471-500 Impact of information disclosure ratings on investment efficiency: evidence from China
by Chang-Chih Chen & Kung-Cheng Ho & Hui-Min Li & Min-Teh Yu - 501-530 Consumption with earnings, liquidity, and market based models
by Robert Snigaroff & David Wroblewski - 531-564 A dark side to options trading? Evidence from corporate default risk
by Haoyi Yang & Shikong Luo - 565-606 The effect of customer concentration on stock sentiment risk
by Jian Wang & Yanhuang Huang & Hongrui Feng & Jun Yang - 607-641 Auditor industry specialization and real earnings management
by Audrey Wen-Hsin Hsu & Chih-Hsien Liao - 643-677 Information environment and interfirm alliance
by Feng Gao & Rong Zhong - 679-713 Do managers' professional connections benefit their firms in mergers and acquisitions: Chinese evidence
by Jingbo Luo & Weimin Wang - 715-746 Risk factors in stock returns of U.S. oil and gas companies: evidence from quantile regression analysis
by Sunil K. Mohanty & Stein Frydenberg & Petter Osmundsen & Sjur Westgaard & Christian Skjøld - 747-789 Who cares about corporate fraud? Evidence from cross-border mergers and acquisitions of Chinese companies
by Chao Fu & Xiuyuan Deng & Hongfei Tang - 791-819 The disciplinary effect of taxpayer balloting on public spending: some empirical evidence
by Yaw M. Mensah & Michael P. Schoderbek & Min Cao & Savita A. Sahay - 821-838 Monetary sterilization response to the movements in exchange rates and official net foreign assets: a case of China
by Ying Wu
January 2023, Volume 60, Issue 1
- 1-29 Investor sentiment and bitcoin prices
by Dimitrios Koutmos - 31-67 What do we know about the stock markets’ reaction to regulatory announcements regarding financial institutions? Evidence from UK financial institutions
by Stephen Kawas & Everton Dockery - 69-109 The informational role of audit partner industry specialization
by Yi-Hsing Liao & Hua Lee & Chao-Jung Chen - 111-146 Can trade credit rejuvenate Islamic banking?
by Wahyu Jatmiko & M. Shahid Ebrahim & Abdullah Iqbal & Rafal M. Wojakowski - 147-194 How do insider trading incentives shape nonfinancial disclosures? Evidence from product and business expansion disclosures
by Guanming He - 195-230 Enhancing stock market anomalies with machine learning
by Vitor Azevedo & Christopher Hoegner - 231-257 Evidence that financing decisions contribute to the zero-earnings discontinuity
by Naser Makarem & Frank Hong Liu & Lei Chen - 259-294 Do investors infer future cash flow volatility based on liquidity?
by Ben Angelo & Mitchell Johnston - 295-327 Firm-level political risk and corporate tax avoidance
by Mahmud Hossain & Gerald J. Lobo & Santanu Mitra - 329-344 The COVID-19 pandemic and firm value: the mediating effect of FinTech applications
by Ya-Chih Yang & Wu-Po Liu & Kung-Hong Shih - 345-374 The impact of sovereign defaults on lending countries
by Si Guo & Yun Pei - 375-416 Competitive threat and strategic disclosure during the IPO quiet period
by Yetaotao Qiu & Michel Magnan & Shafu Zhang - 417-423 Recap of the 31st Annual Conference on Financial Economics and Accounting, November 5-6, 2021
by Cheng-Few Lee