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Content
2024, Volume 63, Issue C
- S1566014124000876 Untangling the finance-growth nexus: The dual role of financial development in the transmission of shocks
by Montañez-Enríquez, Ricardo & Ossandon Busch, Matias & Ramos-Francia, Manuel
- S1566014124000888 Connectedness and risk spillovers among sub-Saharan Africa and MENA equity markets
by Lo, Gaye-Del & Marcelin, Isaac & Bassène, Théophile & Lo, Assane
- S1566014124000906 Does share pledging affect corporate sustainability performance? Empirical evidence from an emerging market
by Zhang, Huili & Huang, Yibo & Zou, Zhiwei
- S1566014124000918 Does environmental information disclosure regulation improve environmental governance? Evidence from China
by Cheng, Bo & Mao, Xinyang
- S1566014124001006 How does Russia's economy affect the region? Transmission channels and policy options
by Arzoumanian, Shant
- S1566014124001018 Impact of asymmetry on exchange rate determination: The role of fundamentals
by Korap, Levent
- S1566014124001031 Local official turnover and bank risk-taking: Evidence from China
by Zhang, Siyu & Yuan, Rongli & Li, Yukun & Chen, Li & Luo, Danglun
- S1566014124001043 Evaluation of the space-time effects of Covid-19 on household loans and savings in Romania - A spatial panel data approach at county level
by Belbe, Ștefana & Moldovan, Darie & Andrieș, Alin Marius & Otto, Philipp & Mare, Codruța
- S1566014124001055 Heterogeneous uncertainty matters! Evidence based on firms' cost management decisions
by Li, Lu & Yuan, Xi & Wei, Shuang & Yang, Guochao
- S1566014124001067 Fintech competencies in emerging markets: Cognitive hybrid decision-making approach
by Rahadian, Dadan & Firli, Anisah & Yüksel, Serhat & Dinçer, Hasan
- S1566014124001079 Can value-added tax refund policy inhibit corporate financial fraud? Evidence from China
by Yu, Wei & Yan, Yueyun & Zhu, Keying & Zhang, Peijue
- S1566014124001080 The imprint effect of initial institutional environments and bank financing in family businesses
by Cheng, Chen & Qiu, Ke & Yang, Yufan
- S1566014124001092 International financial integration and financial stress of emerging market economies: The role of institutional quality
by Tan, Sook-Rei & Yeap, Xiu Wei & Li, Changtai
- S1566014124001109 CEO early-life experience and corporate accounting conservatism: Insights from the socio-political context
by Liu, Xutang & Young, Martin & Liao, Jing
- S1566014124001110 Climate policy and China's external balances
by Zheng, Shuang & Liu, Xiaohui & Gu, Yue
- S1566014124001122 Will Southeast Asia be the next global manufacturing hub? A multiway cointegration, causality, and dynamic connectedness analyses
by Wang, Haibo & Sua, Lutfu S. & Huang, Jun & Ortiz, Jaime & Alidaee, Bahram
- S1566014124001134 Disruptive technology and audit risks: Evidence from FTSE 100 companies
by Elnahass, Marwa & Jia, Xinrui & Crawford, Louise
- S1566014124001158 From framing to priming: How does media coverage promote ESG preferences of institutional investors
by Li, Geling & Ren, Kangjun & Qiao, Yuhao & Wu, Bao
- S156601412400089X Stock market connectedness during an energy crisis: Evidence from South Africa
by Lawrence, Babatunde & Obalade, Adefemi A. & Tita, Anthanasius F. & French, Joseph J.
- S156601412400102X How do stock markets in emerging economies respond to World Bank loan approvals?
by Kersting, Erasmus & Kilby, Christopher
2024, Volume 62, Issue C
- S1566014124000621 The Effects of Monetary Policy on Capital Flows: An Emerging Market Survey
by Villamizar-Villegas, Mauricio & Arango-Lozano, Lucía & Castelblanco, Geraldine & Fajardo-Baquero, Nicolás & Ruiz-Sanchez, Maria A.
- S1566014124000645 Distribution margins and distribution-oriented FDI: Evidence from China
by Tian, Wei & Wu, Xinhong
- S1566014124000657 Financial fraud detection for Chinese listed firms: Does managers' abnormal tone matter?
by Li, Jingyu & Guo, Ce & Lv, Sijia & Xie, Qiwei & Zheng, Xiaolong
- S1566014124000669 Does digital innovation help firms navigate the COVID-19 pandemic? Evidence from China
by Huang, Hao & Zhao, Ling
- S1566014124000670 Expectations, sentiments and capital flows to emerging market economies
by Beckmann, Joscha & Boonman, Tjeerd M. & Schreiber, Sven
- S1566014124000773 Compliance and familiarity with fixed assets' disclosure requirements and firm value
by Diantimala, Yossi & Wijayana, Singgih
- S1566014124000785 Different lies to different audiences: Tax avoidance versus earnings inflation
by San, Ziyao & Huang, Zhizhong & Zhou, Ling & Zhou, Zejiang
- S1566014124000797 Bank-affiliated directors' monitoring, earnings management, and financial reporting quality in emerging markets: Evidence from India
by Jadiyappa, Nemiraja & Hickman, L. Emily & Shrivastav, Santosh Kumar & Rajpal, Hanish & Kaur, Navneet
- S1566014124000803 Burial objects” or “Birds of a feather”: The contagion effect of financial violations in business groups——The evidence from China
by Zhang, Shuonan & Cai, Yike & Chen, Rongda & Wang, Shengnan & Zhang, Xinyu & Ren, He
- S1566014124000815 Nonlinear network connectedness: Assessing financial risk transmission in MENA and influence of external financial conditions
by Balcilar, Mehmet & Usman, Ojonugwa & Duman, Gazi Murat
- S1566014124000827 Mandatory disclosure and bank earnings management in India
by Bhusan, Soumik & Dayanandan, Ajit & Naresh, G.
- S1566014124000839 A two-step dynamic factor modelling approach for forecasting inflation in small open economies
by Aysun, Uluc & Wright, Cardel
- S1566014124000840 Stronger relationships higher risk? Credit risk evaluation based on SMEs network microstructure
by Wei, Lijian & Lin, Junqin & Cen, Wanjun
- S1566014124000852 Financial inclusion and women economic empowerment in Ghana
by Zelu, Barbara Ama & Iranzo, Susana & Perez-Laborda, Alejandro
- S1566014124000864 Setting up a sovereign wealth fund to reduce currency crises
by Hasse, Jean-Baptiste & Lecourt, Christelle & Siagh, Souhila
2024, Volume 61, Issue C
- S1566014124000438 Star analyst activities and stock price synchronicity: Korean equity market reforms
by Kim, Karam & Ryu, Doojin & Yu, Jinyoung
- S1566014124000475 Climate change, governance, and macroeconomic stability: Empirical analysis in a panel of African countries
by Assoumou-Ella, Giscard & Nkah-Ella, Cédric
- S1566014124000554 Does time-varying risk aversion sentiment matter in the connectedness among Sub-Saharan African bond markets?
by Umar, Zaghum & Bossman, Ahmed & Teplova, Tamara & Marfo-Yiadom, Edward
- S1566014124000566 FDI and import competition and domestic firm's capital structure: Evidence from Chinese firm-level data
by Hong, Tongtong & Pyun, Ju Hyun
- S1566014124000578 Functional subsidies, selective subsidies and corporate investment efficiency: Evidence from China
by Zhao, Lingxiao & Liu, Xiao & Tang, Yunpeng & Zhang, Wenjing
- S1566014124000591 Does fintech matter for financial inclusion and financial stability in BRICS markets?
by Vuković, Darko B. & Hassan, M. Kabir & Kwakye, Bernard & Febtinugraini, Armike & Shakib, Mohammed
- S1566014124000608 Speculative trading, stock returns and asset pricing anomalies
by Zhang, Teng & Li, Jiaqi & Xu, Zhiwei
- S1566014124000633 Corporate structure, partial privatization, and wage inequality: Evidence from China's split share structure reform
by Ee, Mong Shan & Beladi, Hamid & Chao, Chi-Chur
- S156601412400044X Geopolitical risk and the cost of capital in emerging economies
by Carney, Richard W. & El Ghoul, Sadok & Guedhami, Omrane & Wang, He (Helen)
- S156601412400058X The zero-debt puzzle in BRICS countries: Disentangling the financial flexibility and financial constraints hypotheses
by Saona, Paolo & San-Martin, Pablo & Vallelado, Eleuterio
- S156601412400061X Financial intermediation around national elections: Evidence of state-owned banks as credit smoothers
by Marcelin, Isaac & Lo, Gaye-Del & Sène, Babacar & Sun, Wei & Teclezion, Mussie
2024, Volume 60, Issue C
- S1566014124000232 In the radiance of enlightenment: The influence of nontheistic religions on corporate default risk
by Feng, Yuruo & Hao, Wei & Fang, Jiali & Wongchoti, Udomsak
- S1566014124000244 CEOs' hometown connections and corporate risk-taking: Evidence from China
by Fu, Fanjie & Fang, Jing & Zhang, Fan & Yao, Shujie & Ou, Jinghua
- S1566014124000256 International reserves, currency depreciation and public debt: New evidence of buffer effects in Africa
by Coulibaly, Issiaka & Gnimassoun, Blaise & Mighri, Hamza & Saadaoui, Jamel
- S1566014124000268 Social capital and cost of debt: Evidence from Chinese CEO network centrality
by Chen, Yiping & Shan, Yuan George & Wang, Jimin & Yang, Xinxin & Zhang, Junru
- S1566014124000281 Learning by doing or catering: Firm-specific experience and analyst forecast accuracy
by Ji, Xu & Wu, Shanhui & Dong, Yan & Yang, Xiaoqi
- S1566014124000293 Making differences work: Financial fraud detection based on multi-subject perceptions
by Li, Guowen & Wang, Shuai & Feng, Yuyao
- S1566014124000311 Culture imprint and gambling preference: Evidence from individual investors' trading in the Chinese stock market
by Hao, Jing & Wang, Ziqiao & Zhang, Xiaotao & He, Feng & Chen, Xuehong
- S1566014124000323 How does technological progress affect provincial financial resilience? Evidence at the provincial level in China
by Xu, Dandan & Liu, Yuting
- S1566014124000335 Influential risk spreaders and systemic risk in Chinese financial networks
by Yang, Ming-Yuan & Wu, Zhen-Guo & Wu, Xin & Li, Sai-Ping
- S1566014124000347 Carbon emissions and audit fees: Evidence from emerging markets
by Ding, Xin & Chourou, Lamia & Ben-Amar, Walid
- S1566014124000359 Fintech innovation: Is it beneficial or detrimental to financial inclusion and financial stability? A systematic literature review and research directions
by Sant'Anna, Dário A.L.M. & Figueiredo, Paulo N.
- S1566014124000360 Intangible assets, corporate tax credits and pharmaceutical establishments
by Chen, Meng-Ting & Feliciano, Zadia M.
- S1566014124000372 The impact of corporate governance and state ownership on the default probabilities of Chinese firms
by Switzer, Lorne N. & Wang, Jun & Jiang, Yuehao
- S1566014124000384 Net privatisation prices in Brazil
by Santos, José Eusébio & Andini, Corrado
- S1566014124000396 To protect or to hide-an investigation on corporate redacted disclosure motives under new FAST act regulation
by Ma, Yan & Mao, Qian & Hu, Nan
- S1566014124000402 Venture capital investment in Latin America: The role of experience, distances, and network features
by Guzella, Marcelo & Buchbinder, Felipe & Santana, Verônica
- S1566014124000414 Board centrality and environmental disclosures: Evidence from the polluting Industries in China
by Li, Wenqin & Benkraiem, Ramzi & Ding, Rong & Saadi, Samir & Zhang, Ziyang (John)
- S1566014124000426 Macroeconomic news, senior officials' speeches, and emerging currency markets: An intraday analysis of price jump reaction
by Ayadi, Mohamed A. & Ben Omrane, Walid & Das, Deepan Kumar
- S1566014124000451 Shadow banking and loan pricing of commercial banks: Evidence from China
by Wan, Xiaoli & Margaritis, Dimitris
- S1566014124000463 Innovation spillovers within business groups: Evidence from Korean chaebols
by Lee, Kyounghun & Oh, Frederick Dongchuhl & Shin, Donglim & Yoon, Heejin
- S156601412400027X Regulators' work experience at local companies and SOEs' investment efficiency: Evidence from provincial SASAC leaders
by Xiao, Bingyu & Gong, Guangming & Xiao, Liang
- S156601412400030X Economic policy uncertainty and tax avoidance: International evidence
by Athira, A. & Ramesh, Vishnu K.
2024, Volume 59, Issue C
- S1566014123000924 The real effect of shadow banking regulation: Evidence from China
by Jiang, Bo
- S1566014123000961 Are FX communications effective? Evidence from emerging markets
by Parra-Polanía, Julián & Sánchez-Jabba, Andrés & Sarmiento, Miguel
- S1566014123000985 The role of large shareholders in goodwill impairment decisions – Evidence from China
by Han, Hongwen & Tang, Jiali Jenna & Tang, Qingquan
- S1566014123000997 Bank's balance sheet management as a bargaining tool: Evidence from Brazilian labor strikes
by Behr, Patrick & Wang, Weichao & Adasi Manu, Sylvester
- S1566014123001085 Trade liberalization, regional trade openness degree, and foreign direct investment:Evidence from China
by Zhao, Hong & Li, Yiying & Wang, Zengtao & Zhao, Runnan
- S1566014123001097 The performance of Islamic and conventional microfinance loans in Afghanistan: The Taliban and beyond
by Disli, Mustafa & Jalaly, Shakir
- S1566014123001103 Fintech business and corporate social responsibility practices
by Li, Bin & Guo, Fei & Xu, Lei & Meng, Siqi
- S1566014124000013 Do recessions induce Schumpeterian creative destruction? Micro Evidence from India
by Saini, Seema & Ahmad, Wasim & Uddin, Gazi Salah
- S1566014124000025 Shadow economy implications of financial development in Africa: Do income groups also matter?
by Ridwan, Lanre Ibrahim & Ajide, Kazeem Bello & Cifuentes-Faura, Javier & Al-Faryan, Mamdouh Abdulaziz Saleh
- S1566014124000037 Optimal central banking policies: Envisioning the post-digital yuan economy with loan prime rate-setting
by Lim, King Yoong & Liu, Chunping & Zhang, Shuonan
- S1566014124000049 Digital transformation and corporate labor investment efficiency
by Wang, Sai & Wen, Wen & Niu, Yuhao & Li, Xin
- S1566014124000050 Dynamic patterns and the latent community structure of sectoral volatility and jump risk contagion
by Zhao, Wandi & Gao, Yang
- S1566014124000062 Retail fund flows and performance: Insights from supervisory data
by Hodula, Martin & Szabo, Milan & Bajzík, Josef
- S1566014124000074 Corporate governance, home country governance, and MNE CSR: Evidence from Ghana
by Tenakwah, Emmanuel Junior & Chen, Junxin & Ying, Sammy Xiaoyan & Li, Yongqing & Wu, Huiying
- S1566014124000086 Antiquity, capitalism & development: The finance-growth perspective
by Dombi, Ákos & Grigoriadis, Theocharis N. & Zhu, Junbing
- S1566014124000098 How effective is the cash conversion cycle in improving firm performance? Evidence from BRICS
by Johan, Sofia & Kayani, Umar Nawaz & Naeem, Muhammad Abubakr & Karim, Sitara
- S1566014124000104 Enforcement actions and systemic risk
by Zhang, Xiaoming & Tian, Yiming & Lee, Chien-Chiang
- S1566014124000116 Global contagion of US COVID-19 panic news
by Kang, Yong Joo & Park, Dojoon & Eom, Young Ho
- S1566014124000128 FX-hedging for Latin American investors
by Alfaro, Rodrigo & Goldberger, Natan
- S1566014124000141 Mutual fund tournaments: State-dependent risk taking with transaction costs
by Zhao, Lu & Wang, Liang & Luo, Ronghua
- S1566014124000153 The cyclicality of official bilateral lending: Which cycle do flows follow?
by Avellán, Leopoldo & Galindo, Arturo J. & Gómez, Tomás & Lotti, Giulia
- S1566014124000165 The clarity of monetary policy communication and financial market volatility in developing economies
by Vyshnevskyi, Iegor & Jombo, Wytone & Sohn, Wook
- S156601412400013X Empowering African entrepreneurs: The crucial role of financial inclusion in mediating the relationship between contextual factors and entrepreneurial willingness
by Elouaourti, Zakaria & Ibourk, Aomar
2024, Volume 58, Issue C
- S1566014123000894 Liquidity risk in FinTech lending: Early impact of the COVID-19 pandemic on the P2P lending market
by Nigmonov, Asror & Shams, Syed & Alam, Khorshed
- S1566014123000900 Identifying the external and internal drivers of exchange rate volatility in small open economies
by Aysun, Uluc
- S1566014123000912 Farm location and occupational choices in Sub-Saharan Africa: Implications for agricultural households in Tanzania
by Mtaturu, Japhet Zephyr
- S1566014123000936 Finance dependence and exchange rate pass-through: Empirical evidence from China
by Hu, Chenghao
- S1566014123000948 Global supply chain inflationary pressures and monetary policy in Mexico
by Hernández, Juan R. & Ventosa-Santaulària, Daniel & Valencia, J. Eduardo
- S1566014123000973 The effect of expanded audit report on IPO underpricing: Evidence from China
by Guo, Mengmeng & Su, Yun & Zhao, Rui
- S156601412300095X Exploring the relationship between China's economic policy uncertainty and business cycles: Exogenous impulse or endogenous responses?
by Yujia, Li & Zixiang, Zhu & Ming, Che
2023, Volume 57, Issue C
- S1566014123000651 Optimizing systemic risk through credit network reconstruction
by Chao, Wang & Jing, Ma & Xiaoxing, Liu
- S1566014123000742 Nonperforming loans and related lending: Evidence from Ukraine
by Vyshnevskyi, Iegor & Sohn, Wook
- S1566014123000766 The Nexus among board diversity and bank stability: Implications from gender, nationality and education
by Elnahass, Marwa & Alharbi, Rana & Mohamed, Toka S. & McLaren, Josie
- S1566014123000778 Global value chains in sub-Saharan Africa: The role of business regulations, policies and institutions
by Hammoudeh, Shawkat & Tiwari, Aviral Kumar & Abakah, Emmanuel Joel Aikins & Adeabah, David
- S1566014123000791 Your skin or mine: Ensuring the viability of a central counterparty
by Friesz, Melinda & Váradi, Kata
- S1566014123000808 How does privatization affect cash dividends? Quasi-experimental evidence from China
by Hu, Jinshuai & Jiang, Haiyan & Wu, Yibing
- S156601412300064X Finance and export diversifications Nexus in Russian regions: Role of trade globalization and regional potential
by Shakib, Mohammed & Sohag, Kazi & Hassan, M. Kabir & Vasilyeva, Rogneda
- S156601412300078X Financial crisis, global liquidity and trade credit channel: Evidence from Türkiye
by Kadırgan, Can & Özlü, Pınar
- S156601412300081X One novel mixed ownership reform and green innovation in private firms: Evidence from China
by Xu, Jingchang & Zhang, Huixuan & Wu, Wuqing
2023, Volume 56, Issue C
- S1566014123000389 Financial statement fraud, recidivism and punishment
by Wang, Yang & Ashton, John K. & Jaafar, Aziz
- S1566014123000390 Emerging equity markets in a globalized world
by Bekaert, Geert & Harvey, Campbell R. & Mondino, Tomas
- S1566014123000407 Can digital finance development improve balanced regional investment allocations in developing countries? — The evidence from China
by Zhan, Minghua & Li, Shuai & Wu, Zhouheng
- S1566014123000493 Central bank swap arrangements and exchange rate volatility: Evidence from China
by Yu, Ziliang & Liu, Xiaomeng & Liu, Zhuqing & Li, Yang
- S1566014123000511 Stock liquidity and investment efficiency: Evidence from the split-share structure reform in China
by Cheung, William Ming Yan & Im, Hyun Joong & Selvam, Srinivasan
- S1566014123000523 Does high-speed rail affect the agglomeration of banks in China?
by Dong, Yan & Huang, Jun & Wu, Ji
- S1566014123000535 Greenhouse gas emissions, firm value, and the investor base: Evidence from Korea
by Han, Hope H. & Lee, Jiyoon & Wang, Boxian
- S1566014123000547 Dynamic connectedness between global commodity sectors, news sentiment, and sub-Saharan African equities
by Agyei, Samuel Kwaku & Umar, Zaghum & Bossman, Ahmed & Teplova, Tamara
- S1566014123000559 Competition law reform and firm performance: Evidence from developing countries
by Kim, Incheol & Lee, Suin & Sharma, Bina
- S1566014123000560 When financial advice rocks the market
by Cuevas, Conrado & Bernhardt, Dan
- S1566014123000572 A financial risk meter for China
by Wang, Ruting & Althof, Michael & Härdle, Wolfgang Karl
- S1566014123000584 Energy firms in emerging markets: Systemic risk and diversification opportunities
by Chuliá, Helena & Muñoz-Mendoza, Jorge A. & Uribe, Jorge M.
- S1566014123000596 Multivariate dynamics between emerging markets and digital asset markets: An application of the SNP-DCC model
by Jiménez, Inés & Mora-Valencia, Andrés & Perote, Javier
- S1566014123000602 Impacts of COVID-19 pandemic on corporate cash holdings: Evidence from Korea
by Chung, Hae Jin & Jhang, Hogyu & Ryu, Doojin
- S1566014123000614 CEO social power, board inclusiveness, and corporate performance after ethnic conflicts
by Nazliben, Kamil K. & Renneboog, Luc & Uduwalage, Emil
- S1566014123000626 Corporate governance of weak stakeholders: Minority investors and investment efficiency
by Feng, Yumei & Pan, Yuying & Ho, Kung-Cheng & Liu, Guanchun
- S1566014123000638 Effect of accounting information manipulation on innovation: Evidence from China
by Ning, Shuying & Lin, Zhiyang
- S156601412300050X Corporate digital transformation and idiosyncratic risk: Based on corporate governance perspective
by Huang, Heshu & Wang, Caiting & Wang, Liukai & Yarovaya, Larisa
2023, Volume 55, Issue C
- S1566014122000656 Global commodity and equity markets spillovers to Africa during the COVID-19 pandemic
by Urom, Christian & Ndubuisi, Gideon & Del Lo, Gaye & Yuni, Denis
- S1566014122000681 Determinants of connectedness in financial institutions: Evidence from Taiwan
by Chen, Yi-Pei & Chen, Yu-Lun & Chiang, Shu-Hen & Mo, Wan-Shin
- S1566014122000693 The spillover effects of China's monetary policy shock: Evidence from B&R countries
by Chen, Yong & Liu, Dingming & Zhuang, Ziguan
- S1566014122000796 The intention to use cryptocurrency: A meta-analysis of what we know
by Bommer, William H. & Milevoj, Emil & Rana, Shailesh
- S1566014122000802 Bank risk-taking and competition in developing banking markets: Does efficiency level matter? Evidence from Africa
by Matabaro Borauzima, Luc & Muller, Aline
- S1566014122000814 Does bank efficiency affect the bank lending channel in China?
by Fungáčová, Zuzana & Kerola, Eeva & Weill, Laurent
- S1566014122000826 CEO turnover, political connections, and firm performance: Evidence from China
by Liu, Xiaoyan & Zhao, Rui & Guo, Mengmeng
- S1566014122000838 Conditional dependence structure and risk spillovers between Bitcoin and fiat currencies
by Rehman, Mobeen Ur & Katsiampa, Paraskevi & Zeitun, Rami & Vo, Xuan Vinh
- S1566014122000851 Cash holdings of minority family businesses in Indonesia
by Herdhayinta, Heyvon & Lau, James & Shen, Carl Hsin-han
- S1566014122000863 Bank branching deregulation and the credit risk of the regional banking sector: Evidence from city commercial banks in China
by Wang, Chaochao & Dong, Yan & Ge, Ran
- S1566014122000875 Ultimate government control and stock price crash risk: Evidence from China
by Sun, Lingxia
- S1566014122000887 Tail-event driven NETwork dependence in emerging markets
by Naeem, Muhammad Abubakr & Yousaf, Imran & Karim, Sitara & Yarovaya, Larisa & Ali, Shoaib
- S1566014122000905 Threshold effects, technology purchasing, and firm outcomes: An absorptive capacity perspective
by Sun, Zhongjuan & Yu, Zhu & Wang, Cizhi & Fang, Hanqing
- S1566014122000917 Household indebtedness, financial frictions and the transmission of monetary policy to consumption: Evidence from China
by Funke, Michael & Li, Xiang & Zhong, Doudou
- S1566014122000929 The impact of institutional investors' corporate site visits on corporate social responsibility
by Liu, Huan & Hou, Canran
- S1566014122000930 Impact of cultural trade on foreign direct investment: Evidence from China
by Li, Chang & Wang, Chu & Yang, Lianxing & Chu, Baoju
- S1566014122000942 Effect of climate-related risk on the costs of bank loans: Evidence from syndicated loan markets in emerging economies
by Ho, Kelvin & Wong, Andrew
- S1566014122001078 Origin matters: Institutional imprinting and family firm innovation in China
by Cheng, Chen & Li, Wanrong & Liu, Guanchun & Liu, Yuanyuan
- S1566014123000092 Banking market power and its determinants: New insights from MENA countries
by Chaffai, Mohamed & Coccorese, Paolo
- S1566014123000110 Number of creditors and the real effects of credit supply disruptions
by Ebrahimi, Sajad & Ebrahimnejad, Ali & Rastad, Mahdi
- S1566014123000122 The effect of fraud experience on investment behavior
by Jacoby, Gady & Liao, Chi & Lu, Xiaomeng & Wan, Fang
- S1566014123000134 Does managerial networking impinge our morality in Guanxi context? The moderating effect of corruption perception
by Wu, Bao & Fang, Chevy-Hanqing & Wang, Qi & Huang, Qiongxian
- S1566014123000146 The evolution of financial reporting quality for companies listed on the Tadawul Stock Exchange in Saudi Arabia: New emerging markets' evidence
by Alsuhaibani, Waleed & Houmes, Robert & Wang, Daphne
- S1566014123000158 Leverage made at home: Investors' margin loan usage and firm leverage
by Liu, Chunbo & Niu, Zilong
- S1566014123000237 Predictability of risk appetite in Turkey: Local versus global factors
by Gemici, Eray & Gök, Remzi & Bouri, Elie
- S1566014123000249 Time and frequency connectedness of uncertainties in cryptocurrency, stock, currency, energy, and precious metals markets
by Cagli, Efe Caglar & Mandaci, Pinar Evrim
- S1566014123000250 Systemic risk spillovers and the determinants in the stock markets of the Belt and Road countries
by Feng, Yusen & Wang, Gang-Jin & Zhu, You & Xie, Chi
- S1566014123000262 The moderating role of a corporate life cycle with the impact of economic value-added on corporate social responsibility: Evidence from China's listed companies
by Wu, Xiaojuan & Dluhošová, Dana & Zmeškal, Zdeněk
- S1566014123000274 Machine learning and the cross-section of emerging market stock returns
by Hanauer, Matthias X. & Kalsbach, Tobias
- S1566014123000286 Currency risk and the dynamics of German investors entry and exit in Russia
by Deseatnicov, Ivan & Klochko, Olga
- S1566014123000298 Economic policy uncertainty, bank deposits, and liability structure
by Deng, Wei & Gao, Lei & Xing, Fei & Yang, Ming
- S1566014123000304 Stock liquidity during COVID-19 crisis: A cross-country analysis of developed and emerging economies, and economic policy uncertainty
by Farooque, Omar Al & Baghdadi, Ghasan & Trinh, Hai Hong & Khandaker, Sarod
- S1566014123000328 Trade reform, infrastructure investment, and structural transformation in Africa: Evidence from Guinea-Bissau
by Fereira, Semertesides Bitica & Cateia, Júlio Vicente
- S1566014123000341 Board generational diversity in emerging markets
by Iwasaki, Ichiro & Ma, Xinxin & Mizobata, Satoshi
- S1566014123000353 How far have we come and where should we go after 30+ years of research on Africa's emerging financial markets? A systematic review and a bibliometric network analysis
by Adeabah, David & Abakah, Emmanuel Joel Aikins & Tiwari, Aviral Kumar & Hammoudeh, Shawkat
- S1566014123000365 Can corporate financing through the stock market create systemic risk? Evidence from the BRVM securities market
by Kanga, Désiré & Soumaré, Issouf & Amenounvé, Edoh
- S1566014123000377 Public bank lending in Africa in times of crisis
by Léon, Florian
- S156601412200070X Environmental practices, family control, and corporate performance: Evidence from Chinese family firms
by Li, Xinlan & Li, Changhong & Guo, Xiaoli
- S156601412200084X How to reduce the default contagion risk of intercorporate credit guarantee networks? Evidence from China
by Lv, Jiamin & Ben, Shenglin & Huang, Wenli & Xu, Yueling
- S156601412300033X Banks' leverage in foreign exchange derivatives in times of crisis: A tale of two countries
by Giraldo, Carlos & Giraldo, Iader & Gomez-Gonzalez, Jose E. & Uribe, Jorge M.
2023, Volume 54, Issue C
- S1566014122000371 Analysis of the performance of Islamic gold-backed cryptocurrencies during the bear market of 2020
by Wasiuzzaman, Shaista & Muhd Azwan, Ayu Nadhirah & Hj Nordin, Aina Nazurah
- S1566014122000383 The dark side of Bitcoin: Do Emerging Asian Islamic markets help subdue the ethical risk?
by Karim, Sitara & Lucey, Brian M. & Naeem, Muhammad Abubakr & Vigne, Samuel A.
- S1566014122000553 Risk substitution in cryptocurrencies: Evidence from BRICS announcements
by Goodell, John W. & Alon, Ilan & Chiaramonte, Laura & Dreassi, Alberto & Paltrinieri, Andrea & Piserà, Stefano
- S1566014122000644 Are business groups different from other family firms? Evidence from corporate investments during political uncertainty
by Wadhwa, Kavita & Syamala, Sudhakara Reddy
- S1566014122000668 Consumer credit in an emerging economy: Demand, supply, and liquidity restrictions
by Arango, Luis E. & Cardona-Sosa, Lina
- S1566014122000899 Sectoral credit reallocation: An excessive bank risk-taking explanation
by Pozo, Jorge
- S1566014122001042 Inflation and west African sectoral stock price indices: An asymmetric kernel method analysis
by Doho, Libaud Rudy Aurelien & Somé, Sobom Matthieu & Banto, Jean Michel
- S1566014122001054 Salience theory and mutual fund flows: Empirical evidence from China
by Hu, Shiyang & Xiang, Cheng & Quan, Xiaofeng
- S1566014122001066 Interpersonal versus interbank lending networks: The role of intermediation in risk-sharing
by Berlinger, Edina & Gosztonyi, Márton & Havran, Dániel & Pollák, Zoltán
- S1566014122001091 Turkey: From a thriving economic past towards a rugged future? - An empirical analysis on the Turkish financial markets
by Stoupos, Nikolaos & Nikas, Christos & Kiohos, Apostolos
- S1566014122001108 What drives the growth of shadow banks? Evidence from emerging markets
by Arora, Dhulika & Kashiramka, Smita
- S1566014122001121 A machine learning approach for comparing the largest firm effect
by Kim, Jang Ho & Han, Jiwoon & Kang, Taehyeon & Fabozzi, Frank J.
- S1566014123000018 The evolution of consumption inequality and risk-insurance in Chile
by Madeira, Carlos
- S1566014123000031 The impact of proximity within elite corporate networks on the Shariah governance-firm performance nexus: Evidence from the global Shariah elite
by Kok, Seng Kiong & Shahgholian, Azar
- S1566014123000043 FinTech and the COVID-19 pandemic: Evidence from electronic payment systems
by Tut, Daniel
- S1566014123000055 Political career concerns and bank lending in China
by Tian, Yunlin & Pan, Xiaofei & Pang, Baoqing & Wu, Yiping
- S1566014123000067 Credit gaps as banking crisis predictors: A different tune for middle- and low-income countries
by Bouvatier, Vincent & El Ouardi, Sofiane
- S1566014123000079 Spillovers and connectedness among BRICS stock markets, cryptocurrencies, and uncertainty: Evidence from the quantile vector autoregression network
by Khalfaoui, Rabeh & Hammoudeh, Shawkat & Rehman, Mohd Ziaur
- S1566014123000080 Economic policy uncertainty, non-financial enterprises' shadow banking activities and stock price crash risk
by Han, Xun & Hsu, Sara & Li, Jianjun & An, Ran
- S1566014123000109 Margin trading and spillover effects: Evidence from the Chinese stock markets
by Zhou, Shengjie & Ye, Qing
- S156601412200067X Profitability of politically corrupt firms: Evidence from Romania
by Park, SeHyun
- S156601412200108X The COVID-19 pandemic and financial markets in Central Europe: Macroeconomic measures and international policy spillovers
by Grabowski, Wojciech & Janus, Jakub & Stawasz-Grabowska, Ewa
- S156601412200111X Credit risk in Islamic microfinance institutions: The role of women, groups, and rural borrowers
by Mohamed, Toka S. & Elgammal, Mohammed M.
- S156601412300002X Capacity utilization shifting or resource-seeking? Benefits for Chinese enterprises participating in the belt and road initiative
by Cai, Guowei & Zhang, Xuejiao & Yang, Hao
2022, Volume 53, Issue C
- S1566014122000280 Monetary policy and wage inequality in South Africa
by Merrino, Serena
- S1566014122000310 Other people's money: A comparison of institutional investors
by Eraslan, Veysel & Omole, John & Sensoy, Ahmet & Ozdamar, Melisa
- S1566014122000322 Does government transparency shape firm decentralization? Evidence from a natural experiment in China
by Zhu, Ling & Kong, Dongmin
- S1566014122000346 CEO facial masculinity, fraud, and ESG: Evidence from South Korea
by Kim, Y. Han (Andy) & Park, Junho & Shin, Hojong
- S1566014122000541 Information assimilation and stock return synchronicity: Evidence from an investor relations management platform
by Cong, Yunyu & Sun, Fangfang & Wang, Fusheng & Ye, Qiang
- S1566014122000565 How do emerging debt market participants recognize firm internationalization?Evidence from effects on credit ratings
by Li, Wanli & Lai, Yin & Wang, Chaohui & Tan, Bowen
- S1566014122000577 Strategic behavior of insiders in initial underpricing and long-run underperformance
by Yang, Baohua & Zhou, Yingluo & Zhou, Zhong-Guo
- S1566014122000589 Female analysts and COVID-19 corporate donation
by Wang, Yang & Zhang, Yifei & Kang, Wei & Ahmed, Ahmed Hassan
- S1566014122000590 Bank liquidity and exposure to industry shocks: Evidence from Ukraine
by Arias, Jose & Talavera, Oleksandr & Tsapin, Andriy
- S1566014122000607 Does a sustainability risk premium exist where it matters the most?
by Ferrat, Yann & Daty, Frédéric & Burlacu, Radu