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Content
2021, Volume 42, Issue C
- S1544612321000064 Time-varying spillovers between housing sentiment and housing market in the United States☆
by André, Christophe & Gabauer, David & Gupta, Rangan
- S1544612321000076 The implications of financial conservatism for African firms
by Chipeta, Chimwemwe & Aftab, Nadeem & Machokoto, Michael
- S1544612321000088 Greenwashing and product market competition
by Arouri, Mohamed & El Ghoul, Sadok & Gomes, Mathieu
- S1544612321000106 Bank credit, microfinance and female ownership: Are women more disadvantaged than men?
by Wellalage, Nirosha Hewa & Thrikawala, Sujani
- S1544612321000118 Credit Derivatives and Bank Systemic Risk: Risk Enhancing or Reducing?
by Halili, Alba & Fenech, Jean-Pierre & Contessi, Silvio
- S1544612321000131 Sustainable banking: A literature review and integrative framework
by Aracil, Elisa & Nájera-Sánchez, Juan-José & Forcadell, Francisco Javier
- S1544612321000143 Trading signal, functional data analysis and time series momentum
by Boubaker, Sabri & Liu, Zhenya & Lu, Shanglin & Zhang, Yifan
- S1544612321000155 Stock market synchronization and institutional distance
by Guo, Nian-zhi & Tu, Anthony H.
- S1544612321000167 Do regional financial resources affect the concentration of high-end service industries in Chinese cities?
by Wu, Dailong & Tong, Xin & Liu, Liping & Wang, Joe
- S1544612321000179 Forecasting power of infectious diseases-related uncertainty for gold realized variance
by Bouri, Elie & Gkillas, Konstantinos & Gupta, Rangan & Pierdzioch, Christian
- S1544612321000180 COVID-19 and the liquidity network
by Farzami, Yasmine & Gregory-Allen, Russell & Molchanov, Alexander & Sehrish, Saba
- S1544612321000192 Economic uncertainty: A key factor to understanding idiosyncratic volatility puzzle
by Li, Yong & Mu, Yuandong & Qin, Tianyu
- S1544612321000209 How risky are the socially responsible investment (SRI) stocks? Evidence from the Central and Eastern European (CEE) companies
by Brzeszczyński, Janusz & Gajdka, Jerzy & Schabek, Tomasz
- S1544612321000210 Global financial crisis and COVID-19: Industrial reactions
by Chen, Hsuan-Chi & Yeh, Chia-Wei
- S1544612321000234 State of demand and excessive indebtedness: Evidence from Chinese listed manufacturing firms
by Sun, Wei & Geng, Danqing & Dong, Kaiqiang
- S1544612321000246 Media Attention vs. Sentiment as Drivers of Conditional Volatility Predictions: An Application to Brexit
by Guidolin, Massimo & Pedio, Manuela
- S1544612321000295 The impacts of the COVID-19 pandemic on China's green bond market
by Yi, Xing & Bai, Caiquan & Lyu, Siyuan & Dai, Lu
- S1544612321000301 Using textual analysis to identify merger participants: Evidence from the U.S. banking industry
by Katsafados, Apostolos G. & Androutsopoulos, Ion & Chalkidis, Ilias & Fergadiotis, Emmanouel & Leledakis, George N. & Pyrgiotakis, Emmanouil G.
- S1544612321000611 Investment decisions of family firms in the three largest euro countries: the role of the financial crisis
by Quarato, Fabio & Cambrea, Domenico Rocco & Calabrò, Andrea
- S1544612321001720 Bull and bear markets during the COVID-19 pandemic
by Maheu, John M. & McCurdy, Thomas H. & Song, Yong
- S1544612321002105 Can Bitcoin hedge Belt and Road equity markets?
by Sha, Yezhou & Song, Weijia
- S1544612321003548 How does leader self-deprecating humor affect creative performance? The role of creative self-efficacy and power distance
by Tang, Le & Sun, Shiyu
- S1544612321003767 Corporate innovativeness and risk management of small firms – evidences from start-ups
by ZHANG, Dongyang
- S154461232031727X From pandemic to financial contagion: High-frequency risk metrics and Bayesian volatility analysis
by Davidovic, Milivoje
- S154461232031730X Global bond risk premia under falling stars
by Zhang, Yugui & Zhu, Jie & Zhu, Xiaoneng
- S154461232100009X Cryptocurrencies’ Price Crash Risk and Crisis Sentiment
by Anastasiou, Dimitrios & Ballis, Antonis & Drakos, Konstantinos
- S154461232100129X The trilemma of expansionary monetary policy in the Euro area during the COVID-19 crisis
by Lang, Sebastian & Schadner, Wolfgang
2021, Volume 41, Issue C
- S1544612320316032 Does financial literacy mitigate gender differences in investment behavioral bias?
by Hsu, Yuan-Lin & Chen, Hung-Ling & Huang, Po-Kai & Lin, Wan-Yu
- S1544612320316044 Shareholder litigation and the risk incentive effect of executive compensation: A re-examination
by Durongkadej, Isarin & Wei, Siqi & Rao, Ramesh
- S1544612320316056 Does financial structure affect CO2 emissions? Evidence from G20 countries
by Yao, Xingyuan & Tang, Xiaobo
- S1544612320316068 Predicting equity premium by conditioning on macroeconomic variables: A prediction selection strategy using the price of crude oil
by Nonejad, Nima
- S1544612320316081 The role of financial deepening and green technology on carbon emissions: Evidence from major OECD economies
by Paramati, Sudharshan Reddy & Mo, Di & Huang, Ruixian
- S1544612320316111 The pricing of bad contagion in cryptocurrencies: A four-factor pricing model
by Shahzad, Syed Jawad Hussain & Bouri, Elie & Ahmad, Tanveer & Naeem, Muhammad Abubakr & Vo, Xuan Vinh
- S1544612320316135 Asymmetric News Effects on Cryptocurrency Liquidity: an Event Study Perspective
by Yue, Wei & Zhang, Sijia & Zhang, Qiang
- S1544612320316159 Firm-specific news and the predictability of Consumer stocks in Vietnam
by Salisu, Afees A. & Vo, Xuan Vinh
- S1544612320316172 Women oppose sin stocks more than men do
by Niszczota, Paweł & Białek, Michał
- S1544612320316184 Time-varying risk aversion and its macroeconomic and financial determinants - A comparative analysis in the U.S. and French financial markets
by Ceylan, Özcan
- S1544612320316196 Corporate social responsibility, enterprise risk management, and real earnings management: Evidence from managerial confidence
by Kuo, Ya-Fen & Lin, Yi-Mien & Chien, Hsiu-Fang
- S1544612320316202 Socially responsible investment and firm value: The role of institutions
by ZHANG, Jing & ZI, Shuang
- S1544612320316214 Self-Rationing in European Businesses: Evidence from Survey Analysis
by Kallandranis, Christos & Drakos, Konstantinos
- S1544612320316238 CSR, Media and Stock Illiquidity: Evidence from Chinese Listed Financial Firms
by Zhang, Junru & Zhang, Zhaoyong
- S1544612320316251 The impact of information technology investment announcements on the market value of the Japanese regional banks
by Takeda, Fumiko & Takeda, Koichi & Takemura, Toshihiko & Ueda, Ryota
- S1544612320316263 Does Managerial Education Matter for Credit Risk? Evidence from Taiwan
by Nguyen, Thi Bao Ngoc & Lin, Li-Feng & Su, Xuan-Qi & Yu, Jui-Hung
- S1544612320316275 Herding behavior in the commodity markets of the Asia-Pacific region
by Kumar, Ashish & Badhani, K.N. & Bouri, Elie & Saeed, Tareq
- S1544612320316287 The non-pecuniary determinants of sovereign and bank rating changes
by Wasi, Md Abdul & Pham, Thu Phuong & Zurbruegg, Ralf
- S1544612320316299 Banks, Funds, and risks in islamic finance: Literature & future research avenues
by Grira, Jocelyn & Labidi, Chiraz
- S1544612320316305 Pricing of Green Labeling: A Comparison of Labeled and Unlabeled Green Bonds
by Hyun, Suk & Park, Donghyun & Tian, Shu
- S1544612320316378 Time-varying impact of pandemics on global output growth
by Gupta, Rangan & Sheng, Xin & Balcilar, Mehmet & Ji, Qiang
- S1544612320316391 Transient emotions, perceptions of well-being, and mutual fund flows
by Bazley, William J. & Dayani, Arash & Jannati, Sima
- S1544612320316408 The impact of Covid-19 on liquidity of emerging market bonds
by Gubareva, Mariya
- S1544612320316470 Internal control material weakness opinions and the market's reaction to securities fraud litigation announcements
by Tsai, Yu-Cheng & Huang, Hua-Wei
- S1544612320316482 Does the research done by the institutional investors affect the cost of equity capital?
by Saci, Fateh & Jasimuddin, Sajjad M.
- S1544612320316494 Large sample size bias in empirical finance
by Michaelides, Michael
- S1544612320316500 Do Competent Managers Hoard Bad News? Self-regulation Theory and Korean Evidence
by Lee, Sangho & Lee, Sejoong & Ryu, Ji Yeon
- S1544612320316536 Influence of nonspecific factors on the interest rate of online peer-to-peer microloans in China
by GUO, Jianfeng & LIU, Xiaojie & CUI, Changnan & GU, Fu
- S1544612320316548 How does economic policy uncertainty affect corporate risk-taking? Evidence from China
by Wen, Fenghua & Li, Cui & Sha, Han & Shao, Liuguo
- S1544612320316561 An Evaluation of the Effect of the COVID-19 Pandemic on the Risk Tolerance of Financial Decision Makers
by Heo, Wookjae & Rabbani, Abed & Grable, John E.
- S1544612320316573 KIBS Import Technological Complexity and Manufacturing Value Chain Upgrading from a Financial Constraint Perspective
by Kong, Qunxi & Shen, Chenrong & Sun, Wei & Shao, Wei
- S1544612320316585 A COVID-19 forecasting system using adaptive neuro-fuzzy inference
by Ly, Kim Tien
- S1544612320316597 The contrarian strategy of institutional investors in Chinese stock market
by Wen, Fenghua & Zou, Qian & Wang, Xiong
- S1544612320316603 Drivers of the electric vehicle market: A systematic literature review of empirical studies
by Austmann, Leonhard M.
- S1544612320316615 Quest for a parsimonious factor model in the wake of quality-minus-junk, misvaluation and Fama-French-six factors
by Ali, Fahad & Ülkü, Numan
- S1544612320316627 The examination of Fama-French Model during the Covid-19
by Horváth, Dominik & Wang, Yung-Lin
- S1544612320316639 Does analyst following restrain tunneling? Evidence from brokerage closures and mergers
by Gao, Kaijuan & Shen, Yiran & Chan, Kam C.
- S1544612320316688 Factor Investing and Risk Management: Is Smart-Beta Diversification Smart?
by Nazaire, Gregory & Pacurar, Maria & Sy, Oumar
- S1544612320316718 Stock markets’ reaction to Covid-19: Moderating role of national culture
by Ashraf, Badar Nadeem
- S1544612320316731 Banking competition and cost stickiness
by Lee, Eunsuh & Kim, Chaehyun & Leach-López, Maria A.
- S1544612320316743 Competition risk and expected stock returns
by Taussig, Roi D.
- S1544612320316755 Financial Inclusion And Firm Growth In Asean-5 Countries: A New Evidence Using Threshold Regression
by Nizam, Rosmah & Karim, Zulkefly Abdul & Sarmidi, Tamat & Rahman, Aisyah Abdul
- S1544612320316767 Intraday interactions between high-frequency trading and price efficiency
by Ben Ammar, Imen & Hellara, Slaheddine
- S1544612320316779 Information content of order imbalance in an order-driven market: Indian Evidence
by Tripathi, Abhinava & Dixit, Alok & Vipul,
- S1544612320316792 Modelling stock market data in China: Crisis and Coronavirus
by Cristofaro, Lorenzo & Gil-Alana, Luis A. & Chen, Zhongfei & Wanke, Peter
- S1544612320316809 Risk Mitigation and Return Resilience for High Yield Bond ETFs with ESG Components
by Kanamura, Takashi
- S1544612320316810 The influence of stablecoin issuances on cryptocurrency markets
by Ante, Lennart & Fiedler, Ingo & Strehle, Elias
- S1544612320316858 Do political connections improve corporate performance? Evidence from Chinese listed companies
by Li, Xiaoying & Jin, Yue
- S1544612320316883 The Capital Market Impact of Blackrock’s Thermal Coal Divestment Announcement
by Bassen, Alexander & Kaspereit, Thomas & Buchholz, Daniel
- S1544612320316895 Linking theories of incomplete contracts to empirics in IPO contracting
by Kim, Yoonha
- S1544612320316901 Zombie firms: Prevalence, determinants, and corporate policies
by El Ghoul, Sadok & Fu, Zhengwei & Guedhami, Omrane
- S1544612320316925 Network Connectedness of World's Islamic Equity Markets
by Chowdhury, Md Iftekhar Hasan & Balli, Faruk & Hassan, M. Kabir
- S1544612320317104 Dynamic connectedness of currencies in G7 countries: A Bayesian time-varying approach
by Wan, Yang & He, Shi
- S1544612321000829 Imperial colonialism and shadow banking: Evidence from northeastern China, 1898–1911
by Fu, Tong & Li, Yuanyuan
- S154461232031610X Learning from SARS: Return and volatility connectedness in COVID-19
by Bissoondoyal-Bheenick, Emawtee & Do, Hung & Hu, Xiaolu & Zhong, Angel
- S154461232031624X Corporate Governance and Dividend Reinvestment Plans: Insights from Imputation Tax in Australia
by Shamsabadi, Hussein Abedi & Tebourbi, Imen & Nourani, Mohammad & Min, Byung S.
- S154461232031638X The quality of higher education and overeducation: Where should higher education funding go?
by Liu, Yunbo & Yin, Lu & Guo, Jianru
- S154461232031655X Synthetic forwards and cost of funding in the equity derivative market
by Azzone, Michele & Baviera, Roberto
- S154461232031669X Ex-Ante Risk Factors and Required Structures of the Implied Correlation Matrix
by Schadner, Wolfgang
- S154461232031672X Cyber risks and initial coin offerings: Evidence from the world
by An, Jiafu & Duan, Tinghua & Hou, Wenxuan & Liu, Xianda
2021, Volume 40, Issue C
- S1544612319303526 Does IFRS reduce IPO underpricing? evidence from China
by Tsai, Yu Ling & Huang, Hua-Wei
- S1544612319308001 Can internet finance alleviate the exclusiveness of traditional finance? evidence from Chinese P2P lending markets
by Zhong, Weiqiang & Jiang, Tingfeng
- S1544612319310311 The asymmetric effect of bitcoin on altcoins: evidence from the nonlinear autoregressive distributed lag (NARDL) model
by Demir, Ender & Simonyan, Serdar & García-Gómez, Conrado-Diego & Lau, Chi Keung Marco
- S1544612319310542 A global economic policy uncertainty index from principal component analysis
by Dai, Peng-Fei & Xiong, Xiong & Zhou, Wei-Xing
- S1544612319312772 Can credit ratings predict defaults in peer-to-peer online lending? Evidence from a Chinese platform
by Wu, Yu & Zhang, Tong
- S1544612319313443 Do market participants’ forecasts of financial variables outperform the random-walk benchmark?
by Kladívko, Kamil & Österholm, Pär
- S1544612319313509 Bank performance in Europe and the US: A divergence in market-to-book ratios
by Simoens, Mathieu & Vennet, Rudi Vander
- S1544612319314114 Convergence in cryptocurrency prices? the role of market microstructure
by Apergis, Nicholas & Koutmos, Dimitrios & Payne, James E.
- S1544612319314175 Employee satisfaction and the cost of corporate borrowing
by Chi, Wentao & Chen, Yun
- S1544612319314916 Do stocks outperform treasury bills in international markets?
by Fang, Jiali & Marshall, Ben R. & Nguyen, Nhut H. & Visaltanachoti, Nuttawat
- S1544612320300027 Ownership and cross-border patent sales in M&A transactions
by Tarsalewska, Monika
- S1544612320300295 Multi-market trading, price delay, and return predictability
by Xia, Chuanxin & Yang, Nien-Tzu & Lin, Chaonan & Ko, Kuan-Cheng
- S1544612320300672 Causality-in-quantiles between crude oil and stock markets: Evidence from emerging economies
by Bhatia, Vaneet & Basu, Sankarshan
- S1544612320300799 The structure of financial returns
by Madan, Dilip B. & Wang, King
- S1544612320300866 Success factors in ICOs: Individual firm characteristics or lucky timing?
by Gächter, Ingo & Gächter, Martin
- S1544612320300957 The Chinese renminbi's co-movement with the US dollar: Addressing the numéraire issue
by Kunkler, Michael
- S1544612320301008 Government financial support and firm productivity in vietnam
by Vu, Quang & Tran, Tuyen Quang
- S1544612320301070 Does innovation promote access to informal loans? Evidence from a transitional economy
by Cuong, Ly Kim & Hau, Hoang Tran
- S1544612320301471 The effect of board gender diversity on corporate social performance: An instrumental variable quantile regression approach
by Bruna, Maria Giuseppina & Đặng, Rey & Ammari, Aymen & Houanti, L'Hocine
- S1544612320301537 Optimal closing benchmarks
by Frei, Christoph & Mitra, Joshua
- S1544612320301550 Impact on the firm value of financial institutions from penalties for violating anti-money laundering and economic sanctions regulations
by Gowin, Kathleen Donnelly & Wang, Daphne & Jory, Surendranath Rakesh & Houmes, Robert & Ngo, Thanh
- S1544612320301720 A study on pairing arbitrage strategy of stock passive structured fund in China under extreme market conditions
by Wang, Liang & Xiong, Xianyan & Xu, Tingjia
- S1544612320302191 A comparison of the gold-oil portfolio and oil portfolio: A stochastic dominance approach
by AlKhazali, Osamah M. & Lean, Hooi Hooi & Mirzaei, Ali & Zoubi, Taisier
- S1544612320302592 The Price Impact of Same- and Opposing-Direction Herding by Institutions with Different Investment Horizons
by Iqbal, Muhammad Sabeeh & Salih, Aslihan & Akdeniz, Levent
- S1544612320302695 Rating Announcements, CDS Spread and Volatility During the European Sovereign Crisis
by Raimbourg, Philippe & Salvadè, Federica
- S1544612320302890 The relationship between economic policy uncertainty and corporate leverage: Evidence from Brazil
by Schwarz, Lucas Allan Diniz & Dalmácio, Flávia Zóboli
- S1544612320303020 Financial statement comparability and corporate debt maturity
by Do, Trung K.
- S1544612320303172 Direct and indirect impacts of European banks’ regulation
by Cuong, Ly Kim & Pham, Ha
- S1544612320303342 Market similarity and cross-border investment performance
by Lin, Anchor Y. & Lin, Yueh-Neng
- S1544612320303421 Cumulation, crash, coherency: A cryptocurrency bubble wavelet analysis
by Fruehwirt, Wolfgang & Hochfilzer, Leonhard & Weydemann, Leonard & Roberts, Stephen
- S1544612320304207 Time-frequency comovement among green bonds, stocks, commodities, clean energy, and conventional bonds
by Nguyen, Thi Thu Ha & Naeem, Muhammad Abubakr & Balli, Faruk & Balli, Hatice Ozer & Vo, Xuan Vinh
- S1544612320304578 Cost of shareholder engagement by institutional investors under short-swing profit rule
by Lee, Dongyeol & Kim, Woo Chang
- S1544612320304724 Does Confucian culture influence corporate R&D investment? Evidence from Chinese private firms
by Yan, Youliang & Xu, Xixiong & Lai, Jieji
- S1544612320304839 Investor interaction and price efficiency: Evidence from social media
by Cao, Xing & Zhang, Yongjie & Feng, Xu & Meng, Xiangtong
- S1544612320304864 Forecasting the price of Bitcoin using deep learning
by Liu, Mingxi & Li, Guowen & Li, Jianping & Zhu, Xiaoqian & Yao, Yinhong
- S1544612320305389 Performance comparisons between ETFs and traditional index funds: Evidence from China
by Wu, Chunying & Xiong, Xiong & Gao, Ya
- S1544612320305407 Does a stock's name affect its return? Evidence from the Chinese stock market during the China–US trade conflict
by Ma, Yaming & Duan, Qiqi & Wu, Hanhong
- S1544612320305444 Price discovery and its determinants for the Chinese soybean options and futures markets
by Hao, Jing & He, Feng & Liu-Chen, Baiao & Li, Zihe
- S1544612320306279 Objective and subjective risks of investing into cryptocurrencies
by Angerer, Martin & Hoffmann, Christian Hugo & Neitzert, Florian & Kraus, Sascha
- S1544612320306590 Investor attention and cryptocurrency performance
by Lin, Zih-Ying
- S1544612320306619 Does industrial clustering mitigate the sensitivity of firm relocation to tax differentials? The role of financing
by Yang, Jin & Zhou, Chuanli
- S1544612320307133 Trust and corporate R&D investment: Cross-country evidence
by Meng, Yijun & Wang, Xun & Zhang, Guoguo & Zheng, Shilin
- S1544612320307479 The influence of international standards on SME tax compliance in Vietnam
by Duy, Nguyen Vu & Tran, Tien Quang
- S1544612320307522 How are Bitcoin forks related to Bitcoin?
by Bazán-Palomino, Walter
- S1544612320307820 Economic policy uncertainty dispersion and excess returns: Evidence from China
by Yang, Jianlei & Yang, Chunpeng & Hu, Xiaoyi
- S1544612320307947 Stock return predictability over four centuries: The role of commodity returns
by Iyke, Bernard Njindan & Ho, Sin-Yu
- S1544612320308266 Infectious disease pandemic and permanent volatility of international stock markets: A long-term perspective
by Bai, Lan & Wei, Yu & Wei, Guiwu & Li, Xiafei & Zhang, Songyun
- S1544612320308485 Constraints on “Doing Good”: Financial constraints and corporate social responsibility
by Leong, Chee Kian & Yang, Yung Chiang
- S1544612320308886 Bitcoin arbitrage
by Shynkevich, Andrei
- S1544612320309259 VC Participation and failure of startups: Evidence from P2P lending platforms in China
by Li, Xiaoyang & Hasan, Iftekhar
- S1544612320309697 The range of uncertainty on the property market pricing: The case of the city of Shanghai
by Zhou, Jian & Shen, Yixuan & Pantelous, Athanasios A. & Zhang, Hui
- S1544612320309715 Trade policy uncertainty and its impact on the stock market -evidence from China-US trade conflict
by He, Feng & Lucey, Brian & Wang, Ziwei
- S1544612320309855 Stock price synchronicity and price informativeness: Evidence from a regulatory change in the U.S. banking industry
by Abedifar, Pejman & Bouslah, Kais & Zheng, Yeliangzi
- S1544612320310667 Extreme risk spillover between chinese and global crude oil futures
by Yang, Yuying & Ma, Yan-Ran & Hu, Min & Zhang, Dayong & Ji, Qiang
- S1544612320310850 Death and the life hereafter: A study of the subsequent hedge funds
by Yao, Juan & Wu, Bochen & Gao, Yang
- S1544612320311685 Risk management and optimal capital structure under ambiguity
by Kim, Hwa-Sung
- S1544612320315853 Political connections, government support and SME tax payments: A note from fixed-effect quantile regression
by Minh, Thanh Nguyen & Kim, Van Pham Thi & Ngoc, Anh Mai
- S1544612320315889 Do intra-day auctions improve market liquidity?
by Gan, Quan & Leung, Henry & Zhou, Zhou
- S1544612320315907 FX market volatility modelling: Can we use low-frequency data?
by Lyócsa, Štefan & Plíhal, Tomáš & Výrost, Tomáš
- S1544612320315919 Cokurtosis and the Ability of Mutual Fund Managers
by Wattanatorn, Woraphon & Padungsaksawasdi, Chaiyuth
- S1544612320315932 Common ownership and firm dividend policies
by Giuli, Alberta Di & Karmaziene, Egle & Sekerci, Naciye
- S1544612320315944 Corporate site visits, private monitoring and fraud: Evidence from China
by Broadstock, David & Chen, Xiaoqi
- S1544612320315956 The disappearing pre-FOMC announcement drift
by Kurov, Alexander & Wolfe, Marketa Halova & Gilbert, Thomas
- S1544612320315993 US partisan conflict and high-yield exchange rates
by Jia, Boxiang & Goodell, John W. & Shen, Dehua
- S1544612320316007 Volatility spillovers between stock, bond, oil, and gold with portfolio implications: Evidence from China
by Zhang, Yongjie & Wang, Meng & Xiong, Xiong & Zou, Gaofeng
- S1544612320316093 Evaluating Euribor Manipulation: Effects on Mortgage Borrowers
by Rodríguez-López, Araceli & Fernández-Abascal, Hermenegildo & Maté-García, Jorge-Julio & Rodríguez-Fernández, José-Miguel & Rojo-García, José-Luis & Sanz-Gómez, José-Antonio
- S1544612320316160 The impact of R&D intensity, financial constraints, and dividend payout policy on firm value
by Kim, JooMan & Yang, Insun & Yang, Taeyong & Koveos, Peter
- S1544612320316706 Cultural diversity in ownership and stock liquidity commonality: Evidence from China
by Zhang, Hao & Luo, Xian & Han, Minghui & Liu, Xiaojuan
- S1544612321000039 Impacts of COVID-19 outbreak on the spillovers between US and Chinese stock sectors
by Hanif, Waqas & Mensi, Walid & Vo, Xuan Vinh
- S154461231930090X Additional factor in asset-pricing: Institutional ownership
by Uğurlu-Yıldırım, Ecenur & Şendeniz-Yüncü, İlkay
- S154461231931058X Currency fluctuations and the post-earnings announcement drift
by Li, Zhaochu & Lytvynenko, Iryna P.
- S154461232030012X Bitcoin and liquidity risk diversification
by Ghabri, Yosra & Guesmi, Khaled & Zantour, Ahlem
- S154461232030101X Do workers benefit from on-the-job training? New evidence from matched employer-employee data
by Nguyen, Thanh Quy & Nguyen, Anh Thuy & Tran, Anh Lan & Le, Hung Thai & Le, Ha Hoang Thi & Vu, Lien Phuong
- S154461232030297X Do economic news releases affect tail risk? Evidence from an emerging market
by Gkillas, Konstantinos & Konstantatos, Christoforos & Tsagkanos, Athanasios & Siriopoulos, Costas
- S154461232030533X A two-stage general approach to aggregate multiple bank risks
by Zhu, Xiaoqian & Wei, Lu & Li, Jianping
- S154461232030547X Financial literacy, economic preferences, and adolescents’ field behavior
by Razen, Michael & Huber, Jürgen & Hueber, Laura & Kirchler, Michael & Stefan, Matthias
- S154461232030667X Cryptocurrencies and the low volatility anomaly
by Burggraf, Tobias & Rudolf, Markus
- S154461232031607X The pricing and efficiency of pre-Sale crowdfunding
by Chu, Tiankuo & Wei, Xu & Zhou, Yimin
2021, Volume 39, Issue C
- S1544612318301090 Regime-switching herd behavior: Novel evidence from the Chinese A-share market
by Fu, Jingxue & Wu, Lan
- S1544612318305713 Measuring financial exclusion of firms
by Kling, Gerhard
- S1544612319302727 Modeling dynamic higher moments of crude oil futures
by Huang, Zhuo & Liang, Fang & Wang, Tianyi & Li, Chao
- S1544612319304325 Does Money Bring Happiness? Evidence from an Income Shock for Older People
by Cuong, Nguyen Viet
- S1544612319305185 Capital structure adjustment speed over the business cycle
by Gan, Liu & Lv, Wujun & Chen, Yifei
- S1544612319306117 The value premium during flights
by Galvani, Valentina
- S1544612319307275 The impact of government intervention on corporate environmental performance: Evidence from China's national civilized city award
by Zhang, Chi & Liu, Qiang & Ge, Guoqing & Hao, Ying & Hao, Han
- S1544612319307524 Managerial Ability and Bank Lending Behavior
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