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Content
2023, Volume 55, Issue PA
- S1544612323002295 Impact of the development of FinTech by commercial banks on bank credit risk
by Zhang, Yujin & Ye, Shujun & Liu, Jie & Du, Lihong
- S1544612323002301 Divide or dividend: How digital finance impacts educational equality
by Shang, Rui
- S1544612323002313 Does ESG performance reduce banks’ nonperforming loans?
by Liu, Suyi & Jin, Justin & Nainar, Khalid
- S1544612323002325 The more red the greener? How the Communist Party of China's party organizations influences corporate green innovation
by Gu, Yun & Yang, Zhaohui
- S1544612323002337 Government's implicit guarantee and the credit spread of the quasi-municipal bonds
by Zhang, Ke
- S1544612323002349 How digital finance affects carbon intensity–The moderating role of financial supervision
by Guo, Xiaohong & Tu, Yongqian
- S1544612323002350 Corporate social responsibility and corporate innovation–The moderating role of CEO social capital
by Wang, Peizhang
- S1544612323002362 The impact of capital market opening on earnings management: Empirical evidence based on “Land−Port Connection”
by Liu, Meiying & Niu, Xuxia
- S1544612323002374 How corporate social responsibility affects firms' innovation capability: A perspective on information and resource effects
by Zhang, Wenjie & Zhang, Na
- S1544612323002386 Time-frequency volatility connectedness between fossil energy and agricultural commodities: Comparing the COVID-19 pandemic with the Russia-Ukraine conflict
by Wu, You & Ren, Wenting & Wan, Jieru & Liu, Xiaoxue
- S1544612323002398 The volatility of daily tug-of-war intensity and stock market returns
by Bai, Fan & Zhang, Yaqi & Chen, Zhonglu & Li, Yan
- S1544612323002404 The impact of financial restatements on sell-side recommendation accuracy
by Umar, Muhammad & Mirza, Nawazish & Ribeiro-Navarrete, Samuel
- S1544612323002416 Greenness ratings and green bond liquidity
by Dorfleitner, Gregor & Eckberg, Jens & Utz, Sebastian
- S1544612323002441 Foreign ownership, heterogeneous beliefs, and stock market volatility
by Zhao, Mengyang & Zhang, Lingxiao
- S1544612323002453 Dual circulation development model and credit growth
by Zhang, Lili & Yang, Dexiang & Guo, Yunfei
- S1544612323002465 Can green assets hedge against economic policy uncertainty? Evidence from China with portfolio implications
by Xia, Yufei & Shi, Zhengxu & Du, Xiaoying & Niu, Mengyi & Cai, Rongjiang
- S1544612323002477 Integrating ESG risks into value-at-risk
by Capelli, Paolo & Ielasi, Federica & Russo, Angeloantonio
- S1544612323002489 Green finance policy and digital transformation of heavily polluting firms: Evidence from China
by Li, Shibin & Wang, Qian
- S1544612323002490 Commonality in BRICS stock markets’ reaction to global economic policy uncertainty: Evidence from a panel GARCH model with cross sectional dependence
by Mamman, Suleiman O. & Wang, Zhanqin & Iliyasu, Jamilu
- S1544612323002507 Testing for causality between climate policies and carbon emissions reduction
by Candelon, Bertrand & Hasse, Jean-Baptiste
- S1544612323002519 Does green activity impact stock price crash risk? The role of climate risk
by Nguyen, Dat Thanh & Tran, Vuong Thao & Phan, Dinh Hoang Bach
- S1544612323002623 The pricing and static hedging of multi-step double barrier options
by Lee, Hangsuck & Ko, Bangwon & Lee, Minha
- S1544612323002635 Tax policy reform and corporate innovation in China
by He, Lerong & Jiang, Xiaozhen & Fang, Liting
- S1544612323002647 Political connections, institutional environment and informativeness of stock price
by Xie, Tao & Li, Yanan
- S1544612323002659 Foreign direct investment and employee income share: Firm-level evidence
by Feng, Ya & Wen, Junqi
- S1544612323002660 Does ESG performance improve firm creditworthiness?
by Kanno, Masayasu
- S1544612323002672 Organizational capital and readability of financial reports
by Panta, Humnath & Panta, Ayush
- S1544612323002684 The effect of major public emergencies on technology-based SMEs: Survival crisis and relief paths
by Zou, Chen & Huang, Yongchun & Ye, Zi & Pan, Anqi
- S1544612323002696 Authorised participants as shock absorbers in fixed-income ETFs
by Aquilina, Matteo & Croxson, Karen & Valentini, Gian Giacomo & Sun, Zhuowei
- S1544612323002702 Climate risk and Chinese stock volatility forecasting: Evidence from ESG index
by Wang, Jiqian & Li, Liang
- S1544612323002726 Factor exposure heterogeneity in green and brown stocks
by Ardia, David & Bluteau, Keven & Lortie-Cloutier, Gabriel & Duy Tran, Thien
- S1544612323002738 Making text count: Identifying systemic risk spillover channels in the Chinese banking sector using annual reports text
by Nan, Shijing & Wang, Minna & You, Wanhai & Guo, Yawei
- S1544612323002751 Major risk shocks, financial relief policies and loan maturity for MSMEs: Evidence from China
by Shui, Bingbing
- S1544612323002763 Clustering in Bitcoin balance
by Telli, Şahin & Zhao, Xufeng
- S1544612323002775 Revealing dynamic intrinsic temporal and spatial scale characteristics of oil price volatility in bubble and non-bubble periods
by Chen, Weijia & Huang, Shupei & An, Haizhong
- S1544612323002799 Monetary policy and uncertainty resolution in commodity markets
by Gu, Chen & Kurov, Alexander & Stan, Raluca
- S1544612323002805 Love thy neighbor: CEO extraversion and corporate acquisitions
by Aabo, Tom & Hansen, Jakob Berggreen & Petersen, Sebastian Malling
- S1544612323002817 Does the introduction of market maker improve market quality? Evidence from China's Sci-Tech innovation board
by Li, Jianhua & Xu, Jianxiang
- S1544612323002829 Corporate cash holdings in response to climate risk and policies
by Lee, Sang Ho & Choi, Daewoung Joey & Han, Seung Hun
- S1544612323002830 A text-based managerial climate attention index of listed firms in China
by Lei, Lei & Zhang, Dayong & Ji, Qiang & Guo, Kun & Wu, Fei
- S1544612323002842 Predictors of clean energy stock returns: An analysis with best subset regressions
by Ciner, Cetin & Kosedag, Arman & Lucey, Brian
- S1544612323002854 Estimating the US trend short-term interest rate
by Beechey, Meredith & Österholm, Pär & Poon, Aubrey
- S1544612323002866 The role of gender in sales behaviour: Evidence from institutional financial brokerage
by Riefler, Raul & Tosun, Onur Kemal & Baeckström, Ylva
- S1544612323002878 Predicting natural gas futures’ volatility using climate risks
by Guo, Kun & Liu, Fengqi & Sun, Xiaolei & Zhang, Dayong & Ji, Qiang
- S1544612323002891 The impact of innovation openness on innovation performance of manufacturing corporates –Moderating effect based on knowledge reorganization
by Wang, Xuemei & Han, Xu & Li, Huimin
- S1544612323002908 Evaluating time-varying granger causality between US-China political relation changes and China stock market
by Cai, Yifei & Chang, Hao-Wen & Chang, Tsangyao
- S1544612323002921 Digital finance and regional economic resilience: Theoretical framework and empirical test
by Yu, Zehui & Li, Yiming & Dai, Lihua
- S1544612323002933 Enforcement of corporate misconduct during Democratic and Republican administrations
by Neukirchen, Daniel & Köchling, Gerrit & Posch, Peter N.
- S1544612323002945 Recurrent neural network based parameter estimation of Hawkes model on high-frequency financial data
by Lee, Kyungsub
- S1544612323002957 Do the rise of global value chain status avoid anti-dumping barriers? Evidence from Chinese micro-enterprises
by Yuan, Jian & Zhang, Zhiming & Lou, Chunjie
- S1544612323002969 Pandemic uncertainty and firm investments
by Zhang, Li & Hu, Shiwei & Xu, Guoli
- S1544612323002970 The board profiles that promote environmental, social, and governance disclosure–Evidence from S&P 500 firms
by Nguyen, Linh Thi My & Nguyen, Phong Thanh
- S1544612323002982 The fear of fear in the US stock market: Changing characteristics of the VVIX
by Albers, Stefan
- S1544612323002994 Relative deprivation and financial risk taking✰
by Pak, Tae-Young
- S1544612323003008 Incentive effects of government subsidy on technological innovation: Evidence from pharmaceutical industry
by Yang, Tingting & Xu, Botong
- S154461232300171X Future of jobs in China under the impact of artificial intelligence
by Wang, Chengzhang & Zheng, Min & Bai, Xiaoming & Li, Youwei & Shen, Wei
- S154461232300199X Board diversity and corporate innovation: New evidence from the Canadian context
by Abtahi, Zahra & Chkir, Imed & Benkraiem, Ramzi
- S154461232300209X The impact of preventive takeover defences on corporate financial performance: Evidence from the US
by Gigante, Gimede & Angioni, Ottavio
- S154461232300212X Forecasting stock volatility during the stock market crash period: The role of Hawkes process
by Fan, Lina & Yang, Hao & Zhai, Jia & Zhang, Xiaotao
- S154461232300226X ESG scores and cash holdings: The role of disciplinary trading
by Liu, Benjamin & Johl, Shireenjit & Lasantha, Ruwan
- S154461232300243X Carbon allowances amid climate change concerns: Fresh insights from wavelet multiscale analysis
by Goodell, John W. & Nammouri, Hela & Saâdaoui, Foued & Ben Jabeur, Sami
- S154461232300274X From chaos to compliance: Standards-setting and financial fraud
by Zhao, Qifeng & Luo, Qianfeng & Tao, Yunqing
- S154461232300291X Stock market volatility and Russia–Ukraine conflict
by Wu, Feng-lin & Zhan, Xu-dong & Zhou, Jia-qi & Wang, Ming-hui
2023, Volume 54, Issue C
- S1544612323000600 Investors’ online searching and green knowledge dissemination
by Wen, Bohui & Yan, Yulin & Hao, Jing & He, Feng
- S1544612323000612 Geopolitical risk and stock liquidity
by Fiorillo, Paolo & Meles, Antonio & Pellegrino, Luigi Raffaele & Verdoliva, Vincenzo
- S1544612323000624 Stock price crash risk and leverage dynamics: Evidence from the GCC countries
by Benkraiem, Ramzi & Ben-Nasr, Hamdi & Nechi, Salem & Rjiba, Hatem
- S1544612323000636 Robust leverage choice of hedge funds with rare disasters
by Yan, Jingzhou & Mu, Congming & Yan, Qianhui & Luo, Deqing
- S1544612323000648 Time-frequency correlations and extreme spillover effects between carbon markets and NFTs: The roles of EPU and COVID-19
by Liu, Jiatong
- S1544612323000673 Global economic policy uncertainty and oil futures volatility prediction
by Zhao, Ling
- S1544612323000685 Words and numbers: A disagreement story from post-earnings announcement return and volume patterns
by D’Augusta, Carlo & De Vito, Antonio & Grossetti, Francesco
- S1544612323000697 Carbon emission trading policy and firm's environmental investment
by Yang, Shengyi
- S1544612323000703 “Double reduction” policy in education industry and firm values: Evidence from China
by Dai, Kun
- S1544612323000715 The efficiency of government finanical expenditures before and during the COVID-19 pandemic: A cross-country investigation
by Van, Huong Vu & Van Dao, Le & Hoang, Lich Khac & Van Hien, Ngo
- S1544612323000727 Tracking customer risk aversion
by Kong, Hyeongwoo & Yun, Wonje & Kim, Woo Chang
- S1544612323000739 The valuation impact of gender quotas in the boardroom: Evidence from the European markets
by Fernández-Méndez, Carlos & Pathan, Shams
- S1544612323000740 Effect of managerial ability toward corporate social responsibility on enterprise default risk
by Chen, Huihui & Ho, Kung-Cheng & Zhang, Ming & Zhang, Qidi
- S1544612323000752 The spillover effect of penalty against peer firm leaders——Evidence from earnings management
by Cai, Wenjing & Cai, Xinni & Wang, Zehao & Yang, Ge
- S1544612323000764 How does mandatory environmental regulation affect corporate environmental information disclosure quality
by Liu, Guangqiang & Guo, Liangju
- S1544612323000776 Rating changes revisited: New evidence on short-term ESG momentum
by Cauthorn, Thomas & Dumrose, Maurice & Eckert, Julia & Klein, Christian & Zwergel, Bernhard
- S1544612323000788 Reputational contagion and the fall of FTX: Examining the response of tokens to the delegitimization of FTT
by Yousaf, Imran & Goodell, John W.
- S1544612323000806 Can art hedge against economic policy uncertainty?: New insights through the NARDL model
by Sun, Qinglin & Zhang, Zhiyuan
- S1544612323000818 Does inclusion of GARCH variance in deep learning models improve financial contagion prediction?
by Rayadurgam, Vikram Chandramouli & Mangalagiri, Jayasree
- S1544612323000831 Financial market sentiment and stock return during the COVID-19 pandemic
by Bai, Chenjiang & Duan, Yuejiao & Fan, Xiaoyun & Tang, Shuai
- S1544612323000843 Rethinking greenium: A quadratic function of yield spread
by Huang, Chih-Yueh & Dekker, David & Christopoulos, Dimitrios
- S1544612323000855 COVID-19 vaccination and household savings: An economic recovery channel
by Ren, He & Zheng, Yi
- S1544612323000867 Introducing the Cryptocurrency VIX: CVIX✰
by Bonaparte, Yosef
- S1544612323000879 Bank concentration, urban development and firm access to credit in Latin America
by Memarian, Mahsa & Benetti, Sara & Trejos, Alberto & Rodríguez-Chaves, Sofía
- S1544612323000880 Fiscal decentralization and shadow banking activities of non-financial enterprises
by Han, Xun & Aibai, Abuduwali & Xie, Xinyan
- S1544612323000892 Outside of a sole globally risk averse agent, all other agents in markets are risk seeking agents
by Obrimah, Oghenovo A.
- S1544612323000909 Bond liquidity, debt maturity and bond risk premium
by Zhou, Yimin & Wei, Xu
- S1544612323000910 Forced conversion to Chapter 7 bankruptcy and optimal financial decisions
by Kim, Hwa-Sung
- S1544612323000922 The impact of intellectual property protection on business performance of high-tech enterprises: The mediating effect of political-business relations
by Lin, Kun
- S1544612323000934 Research on the impact of population aging and endowment insurance on household financial asset allocation- Evidence on CFPS data
by Liu, Sujiao & Zhu, Mengcheng & Ling, Wenhao
- S1544612323000946 EU Climate Change News Index: Forecasting EU ETS prices with online news
by Hartvig, Áron Dénes & Pap, Áron & Pálos, Péter
- S1544612323000958 Design of a self-adaptive model for leverage
by Segal, Maxime & Ólafsson, Sverrir
- S1544612323000971 Central bank digital currency competition and the impossible trinity
by Karau, Sören
- S1544612323000983 Curse or blessing: National industrial investment fund and corporate R&D in China
by Shao, Chuanlin & Tao, Yunqing & Chen, Dong & Ye, Yongwei
- S1544612323000995 Aggregate insider trading in the S&P 500 and the predictability of international equity premia
by Guettler, Andre & Hable, Patrick & Launhardt, Patrick & Miebs, Felix
- S1544612323001009 Fresh evidence on the oil-stock interactions under heterogeneous market conditions
by Chowdhury, Kushal Banik & Garg, Bhavesh
- S1544612323001010 Complete subset averaging methods in corporate bond return prediction
by Cheng, Tingting & Jiang, Shan & Zhao, Albert Bo & Jia, Zhimin
- S1544612323001022 Asymmetric relationship between climate policy uncertainty and energy metals: Evidence from cross-quantilogram
by Karim, Sitara & Naeem, Muhammad Abubakr & Shafiullah, Muhammad & Lucey, Brian M. & Ashraf, Sania
- S1544612323001034 When do they trade? Heterogeneous investors in China
by Qiu, Jiayan & Huang, Wei & Jiang, Ying
- S1544612323001046 Strategic deviation and idiosyncratic return volatility
by Hasan, Mostafa Monzur & Chen, Xiaomeng Charlene
- S1544612323001058 Unconventional, conventional monetary policies, and optimal energy supply structure in China
by Jin, Yi & Wang, Shuo & Bu, Lin & Zhai, Pengxiang
- S1544612323001071 How does digital finance affect consumer online shopping: A comprehensive analysis based on econometric model
by Zhu, Mingxun & Wang, Yanping & Wei, Min & Cai, Zhen
- S1544612323001083 Portfolio optimization using robust mean absolute deviation model: Wasserstein metric approach
by Hosseini-Nodeh, Zohreh & Khanjani-Shiraz, Rashed & Pardalos, Panos M.
- S1544612323001095 Spillover connectedness between oil and China's industry stock markets: A perspective of carbon emissions
by Zhang, Yingying & Xu, Shaojun
- S1544612323001198 Individual investors’ dividend tax reform and stock price crash risk
by Yang, Xinyao & Liu, Zhaoyi & Li, Tao
- S1544612323001204 Strong financial regulation and corporate risk-taking: Evidence from a natural experiment in China
by Liu, Qi & Wu, Jiejie
- S1544612323001216 Dynamical linkages between the Brent oil price and stock markets in BRICS using quantile connectedness approach
by Chang, Hao-Wen & Chang, Tsangyao & Ling, Yuan Hung & Yang, Yung-Lieh
- S1544612323001228 CEO overconfidence, lottery preference and the cross-section of stock returns
by Lu, Jing & Ho, Keng-Yu & Ho, Po-Hsin & Ko, Kuan-Cheng
- S1544612323001241 Religion groups and portfolio choice decisions: Evidence from UK households
by Apergis, Nicholas
- S1544612323001253 Market participants or the random walk – who forecasts better? Evidence from micro-level survey data
by Kiss, Tamás & Kladívko, Kamil & Silfverberg, Oliwer & Österholm, Pär
- S1544612323001265 Measuring systemic risk with high-frequency data: A realized GARCH approach
by Chen, Qihao & Huang, Zhuo & Liang, Fang
- S1544612323001277 New infrastructure, optimization of resource allocation and upgrading of industrial structure
by Gong, Min & Zeng, Yidi & Zhang, Fan
- S1544612323001289 Does minority shareholder activism enhance corporate innovation? Evidence from China
by Wang, Zhibin & Li, Zelei
- S1544612323001290 The driving factors of China's carbon prices: Evidence from using ICEEMDAN-HC method and quantile regression
by Liu, Ying Lin & Zhang, Jing Jie & Fang, Yan
- S1544612323001307 Explainable artificial intelligence and economic panel data: A study on volatility spillover along the supply chains
by Berger, Theo
- S1544612323001381 Linkages between CBDC and cryptocurrency uncertainties, and digital payment stocks
by Yousaf, Imran & Goodell, John W.
- S1544612323001393 The Communist Party of China embedded in corporate governance and enterprise value: Evidence from state-owned enterprises
by Wang, Shengbin & Zheng, Jiafeng & Tu, Yongqian
- S1544612323001411 The impact of expected and unexpected events on Bitcoin price development: Introduction of futures market and COVID-19
by Cevik, Emrah Ismail & Gunay, Samet & Dibooglu, Sel & Yıldırım, Durmuş Çağrı
- S1544612323001423 Central bank asset purchase programs in emerging market economies
by Beirne, John & Sugandi, Eric
- S1544612323001435 Financial market opening and corporate tax avoidance: Evidence from staggered quasi-natural experiments
by Chen, Yunsen & Huang, Jianqiao & Li, Xiao & Ni, Xiaoran
- S1544612323001447 Time-varying characteristics of information flow networks in the Chinese market: An analysis based on sector indices
by Nie, Chun-Xiao
- S1544612323001459 Pricing multi-step double barrier options by the efficient non-crossing probability
by Lee, Hangsuck & Ha, Hongjun & Kong, Byungdoo & Lee, Minha
- S1544612323001460 From “Super App” to “Super VC”: The value-added effect of China's digital platforms
by Wang, Jiancheng & Li, Xiaoye
- S1544612323001472 Does wedge size matter? Financial reporting quality and effective regulation of dual-class firms
by Palas, Rimona & Solomon, Dov & Gafni, Dalit & Baum, Ido
- S1544612323001484 Fintech market efficiency: A multifractal detrended fluctuation analysis
by Shrestha, Keshab & Naysary, Babak & Philip, Sheena Sara Suresh
- S1544612323001496 Disclosure characteristics of annual reports and information asymmetry: Evidence from foreign firms listed on the US stock exchange
by Nguyen, Phuong Thi Thuy & Kimura, Akihisa
- S1544612323001502 Timing is key: When does the market react to unionization efforts?
by Hofmann, Bastian & Schoonjans, Eline
- S1544612323001514 Impact of earnings management on working capital management efficiency
by Sawarni, Kumar Sanjay & Narayanasamy, Sivasankaran & Padhan, Purna Chandra
- S1544612323001526 How do investors react to overnight returns? Evidence from Korea
by Ham, Hyuna & Ryu, Doojin & Webb, Robert I. & Yu, Jinyoung
- S1544612323001551 Should you listen to crypto YouTubers?
by Moser, Stefanie & Brauneis, Alexander
- S1544612323001575 Consumer finance and consumption upgrading: An empirical study of CHFS
by Wu, Zixi & Wang, Yiqin
- S1544612323001587 Banking market structure and industrial structure: A transnational empirical study
by Jiang, Lan & Wu, Tong
- S1544612323001599 The effect of the promotion of private education on the firms’ values in education industry: Evidence from China
by Ren, Yuning & Ren, Xiangru
- S1544612323001605 The effect of China's low carbon city pilot policy on corporate financialization
by Liu, Xiangsheng & Lv, Lingli
- S1544612323001617 Forecasting and backtesting systemic risk in the cryptocurrency market
by Fang, Sheng & Cao, Guangxi & Egan, Paul
- S1544612323001630 The response of money market funds to the COVID-19 pandemic
by Allen, Kyle D. & Baig, Ahmed & Winters, Drew B.
- S1544612323001642 Global supply chain pressure and commodity markets: Evidence from multiple wavelet and quantile connectedness analyses
by Gozgor, Giray & Khalfaoui, Rabeh & Yarovaya, Larisa
- S1544612323001654 The asymmetric response of dividends to earnings news
by Cho, Jin Seo & Greenwood-Nimmo, Matthew & Shin, Yongcheol
- S1544612323001666 Safe haven for crude oil: Gold or currencies?
by Ming, Lei & Yang, Ping & Tian, Xinyi & Yang, Shenggang & Dong, Minyi
- S1544612323001678 A Privacy-preserving mean–variance optimal portfolio
by Byun, Junyoung & Ko, Hyungjin & Lee, Jaewook
- S1544612323001691 Geopolitical risk of oil export and import countries and oil futures volatility: Evidence from dynamic model average methods
by Liu, Zhichao & Xu, Xiulian & Cheng, Ya & Xie, Xuan
- S1544612323001708 Kurtosis-based vs volatility-based asset allocation strategies: Do they share the same properties? A first empirical investigation
by Braga, Maria Debora & Nava, Consuelo Rubina & Zoia, Maria Grazia
- S1544612323001721 The impact of regulation on retail payments security: Evidence from Italian supervisory data
by Cologgi, Massimiliano
- S1544612323001733 A new look on the probability of retail investor margin use and margin call
by Pratt, William R. & Kamal, Syed & Ma, Aixin
- S1544612323001745 The power of belief: Religious traditions and rent-seeking of polluting enterprises in China
by Du, Weijian & Fan, Yuhuan & Liang, Sunfan & Li, Mengjie
- S1544612323001757 Understanding the price reaction to large dividend increases
by Asem, Ebenezer
- S1544612323001769 Macroeconomic downside risk and the effect of monetary policy
by Deng, Chuang & Wu, Jian
- S1544612323001770 Model-free connectedness measures
by Gabauer, David & Chatziantoniou, Ioannis & Stenfors, Alexis
- S1544612323001782 Which factors explain African stock returns?
by Mbengue, Mohamed Lamine & Ndiaye, Bara & Sy, Oumar
- S1544612323001794 Strategic deviation and corporate green innovation
by Wen, Wen & Qiao, Fei & He, Ying
- S1544612323001800 Is the empirical out-of-sample variance an informative risk measure for the high-dimensional portfolios?
by Bodnar, Taras & Parolya, Nestor & Thorsén, Erik
- S1544612323001812 Nowhere else to go: Determinants of bank–firm relationship discontinuations after bank mergers
by Carbo-Valverde, Santiago & Rehbein, Oliver
- S1544612323001824 Deep learning and technical analysis in cryptocurrency market
by Goutte, Stéphane & Le, Hoang-Viet & Liu, Fei & von Mettenheim, Hans-Jörg
- S1544612323001836 Economic policy uncertainty and corporate investment: An empirical comparison of Korean chaebol and non-chaebol firms
by Vo, Hong & Nguyen, Tien & Truong, Hang
- S1544612323001848 ESG performance and banks’ funding costs
by Andrieș, Alin Marius & Sprincean, Nicu
- S1544612323001861 Creditor-controlled insolvency and firm financing– Evidence from India
by Agarwal, Shivangi & Singhvi, Bhavya
- S1544612323001885 Product recall and CEO compensation: Evidence from the automobile industry
by Malik, Mahfuja & Jebari, Fatima
- S1544612323002155 Low-carbon transformation and corporate cash holdings
by Gao, Yihong & Gao, Jiayan
- S154461232300079X Cyber attacks, discretionary loan loss provisions, and banks’ earnings management
by Jin, Justin & Li, Na & Liu, Suyi & Khalid Nainar, S.M.
- S154461232300082X Faith-based credit unions and credit risk
by Stone, Anna-Leigh
- S154461232300096X Does product market competition affect the adoption of FinTech by non-financial firms?
by Hong, Liu & Nikbakht, Ehsan & Zhou, Tianpeng
- S154461232300106X Profitable timing of the stock market with the senior loan officer survey
by Wilson, Linus
- S154461232300123X ESG controversies and investor trading behavior in the Korean market
by Bang, Jeongseok & Ryu, Doojin & Yu, Jinyoung
- S154461232300137X Fiscal decentralization, local government debt, and corporate innovation
by Li, Sen & Qi, Tiancheng
- S154461232300140X Targeted poverty alleviation disclosure and analyst forecast accuracy: Evidence from a quasi-natural experiment
by Wu, Wenxin & Xu, Minya & Zhou, Zixun
- S154461232300154X Government as major customer: The effects of government procurement on corporate environmental, social, and governance performance
by Huang, Jun & Han, Feifei & Li, Yun
- S154461232300168X Predictability of economic slowdowns in advanced countries over eight centuries: The role of climate risks
by Gupta, Rangan & Nel, Jacobus & Salisu, Afees A. & Ji, Qiang
- S154461232300185X Geopolitical risk and the cost of bank loans
by Nguyen, Thanh Cong & Thuy, Tien Ho
2023, Volume 53, Issue C
- S1544612322005748 ESG controversies and governance: Evidence from the banking industry
by Agnese, Paolo & Battaglia, Francesca & Busato, Francesco & Taddeo, Simone
- S1544612322005773 The dynamic spillover effects of climate policy uncertainty and coal price on carbon price: Evidence from China
by Yan, Wan-Lin & Cheung, Adrian (Wai Kong)
- S1544612322005797 Stock market reaction to mandatory ESG disclosure
by Wang, Jiazhen & Hu, Xiaolu & Zhong, Angel
- S1544612322005840 The financialization of nonfinancial companies in China: A macroeconomic perspective
by Yang, Baochen & Chen, Fengrui
- S1544612322005980 Aggregate confusion or inner conflict? An experimental analysis of investors’ reaction to greenwashing
by Kleffel, Philipp & Muck, Matthias
- S1544612322006833 The hedging effectiveness of electricity futures in the Spanish market
by Peña, Juan Ignacio
- S1544612322006900 Does the development of digital finance promote firm exports? Evidence from Chinese enterprises
by Ren, Yuanming & Gao, Jingyi
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by Kund, Arndt-Gerrit & Hertrampf, Patrick & Neitzert, Florian
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