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Content
2023, Volume 56, Issue C
- S1044028323000182 Sleeplessness, distraction and stock market performance: Evidence from the world cup
by Cai, Jinghan & Fan, Manyi & Ko, Chiu Yu
- S1044028323000182 Sleeplessness, distraction and stock market performance: Evidence from the world cup
by Cai, Jinghan & Fan, Manyi & Ko, Chiu Yu
- S1044028323000194 Extreme connectedness of agri-commodities with stock markets and its determinants
by Billah, Mabruk & Balli, Faruk & Hoxha, Indrit
- S1044028323000194 Extreme connectedness of agri-commodities with stock markets and its determinants
by Billah, Mabruk & Balli, Faruk & Hoxha, Indrit
- S1044028323000200 An algorithmic trading system based on a stacked generalization model and hidden Markov model in the foreign exchange market
by Fereydooni, Ali & Mahootchi, Masoud
- S1044028323000200 An algorithmic trading system based on a stacked generalization model and hidden Markov model in the foreign exchange market
by Fereydooni, Ali & Mahootchi, Masoud
- S1044028323000212 The past is never dead: Famine-CEOs and corporate social performance
by Fang, Xinwei & Khoo, Joye & Luo, Tianpei & Pathan, Shams & Wang, Hongjian
- S1044028323000212 The past is never dead: Famine-CEOs and corporate social performance
by Fang, Xinwei & Khoo, Joye & Luo, Tianpei & Pathan, Shams & Wang, Hongjian
- S1044028323000224 Factor beta, overnight and intraday expected returns in China
by Ye, Zhengke & Jiang, Danling & Luo, Yunfeng
- S1044028323000224 Factor beta, overnight and intraday expected returns in China
by Ye, Zhengke & Jiang, Danling & Luo, Yunfeng
- S1044028323000236 Design of employee pension benefits model and China's pension gender gap
by Lu, Xiaomeng & Dandapani, Krishnan
- S1044028323000236 Design of employee pension benefits model and China's pension gender gap
by Lu, Xiaomeng & Dandapani, Krishnan
- S1044028323000248 The rising risks of fossil fuel lobbying
by Lantushenko, Viktoriya & Schellhorn, Carolin
- S1044028323000248 The rising risks of fossil fuel lobbying
by Lantushenko, Viktoriya & Schellhorn, Carolin
- S1044028323000261 Does financial development improve economic growth? The role of asymmetrical relationships
by Singh, Shveta & Arya, Vandana & Yadav, Miklesh Prasad & Power, Gabriel J.
- S1044028323000261 Does financial development improve economic growth? The role of asymmetrical relationships
by Singh, Shveta & Arya, Vandana & Yadav, Miklesh Prasad & Power, Gabriel J.
- S104402832200076X Informed trading in the options market surrounding data breaches
by Piccotti, Louis R. & Wang, Heng
- S104402832200076X Informed trading in the options market surrounding data breaches
by Piccotti, Louis R. & Wang, Heng
- S104402832300025X The impact of term limits on municipal borrowing costs
by Abakah, Alex Annan
- S104402832300025X The impact of term limits on municipal borrowing costs
by Abakah, Alex Annan
2023, Volume 55, Issue C
- S1044028322000497 Does corporate sexual orientation equality affect labor investment efficiency?
by Chowdhury, Hasibul & Hossain, Ashrafee & Masum, Abdullah-Al & Zheng, Jiayi
- S1044028322000527 Informational linkage and price discovery between China's futures and spot markets: Evidence from the US–China trade dispute
by Chen, Xiangyu & Tongurai, Jittima
- S1044028322000801 Who trades bitcoin futures and why?
by Ferko, Alex & Moin, Amani & Onur, Esen & Penick, Michael
- S1044028322000849 The behavior and determinants of illiquidity in the non-fungible tokens (NFTs) market
by Wilkoff, Sean & Yildiz, Serhat
- S1044028322000965 What do we know about the price spillover between green bonds and Islamic stocks and stock market indices?
by Tiwari, Aviral Kumar & Aikins Abakah, Emmanuel Joel & Adekoya, Oluwasegun B. & Hammoudeh, Shawkat
- S1044028322000977 Deferring real options with solar renewable energy certificates
by Zhang, Hanyu & Assereto, Martina & Byrne, Julie
- S1044028322000989 Nonlinear relationship between monetary policy and stock returns: Evidence from the U.S
by Chauvet, Marcelle & Jiang, Cheng
- S1044028322000990 Property rights and access to equity capital in China
by Boulton, Thomas J.
- S1044028322001004 The regulatory environment and financial constraints of private firms in the European Union
by Casino-Martínez, Alejandro & López-Gracia, Jose & Mestre-Barberá, Reyes
- S1044028322001016 Large blockholders and stock price crash risk: An international study
by Eugster, Nicolas & Wang, Qingxia
- S1044028322001028 Volatility and correlation of Islamic and conventional indices during crises
by Chazi, Abdelaziz & Samet, Anis & Azad, A.S.M. Sohel
- S1044028322001041 The trade war's impact on the financial market: Observations from the historical global trade war - the Smoot Hawley Tariff Act
by Ang, James & Wang, Jingfang
- S1044028322001053 The usefulness of financial advisors to government-influenced Chinese acquirers
by Daniliuc, Sorin & Guo, Hui & Wee, Marvin
- S1044028322001065 Comparative analysis of environmental, social, and governance disclosures
by Rezaee, Zabihollah & Homayoun, Saeid & Poursoleyman, Ehsan & Rezaee, Nick J.
- S1044028322001077 Firm-level risk of climate change: Evidence from climate disasters
by Ai, Li & Gao, Lucia S.
- S1044028323000017 Prospect theory and a manager's decision to trade a blind principal bid basket
by Giannikos, Christos I. & Kakolyris, Andreas & Suen, Tin Shan
- S1044028323000029 Managerial market timing under credit risk: How do timed buybacks and stock issuances influence the value of long-term shareholders?
by Vogt, Jan
- S1044028323000030 Optimal portfolio diversification with a multi-chain regime-switching spillover GARCH model
by Lee, Chien-Chiang & Lee, Hsiang-Tai
- S1044028323000042 When do ESG controversies reduce firm value in India?
by Anita, Mendiratta & Shveta, Singh & Yadav Surendra, S. & Arvind, Mahajan
- S1044028323000054 Western cultural influence on corporate innovation: Evidence from Chinese listed companies
by Li, Guoxing & Yeh, Yin-Hua
- S1044028323000066 Environmental, social, and governance premium in Chinese stock markets
by Ni, Yinan & Sun, Yanfei
- S104402832200103X Equity market response to natural disasters: Does firm's corporate social responsibility make difference?
by Malik, Ihtisham A. & Chowdhury, Hasibul & Alam, Md Samsul
- S104402832300008X Litigation risk, underpricing, and money-losing IPOs
by Boucher, Carène & Kooli, Maher & Walker, Thomas
2022, Volume 54, Issue C
- S1044028321000223 Predictability of stock market returns: New evidence from developed and developing countries
by Li, Xiyang & Chen, Xiaoyue & Li, Bin & Singh, Tarlok & Shi, Kan
- S1044028321000235 Do Muslim CEOs and Muslim stakeholders prefer Islamic debt financing?
by Brahmana, Rayenda Khresna & You, Hui Wei
- S1044028321000326 Capital structure of Islamic banks: How different are they from conventional banks?
by Hoque, Hafiz & Liu, Heng
- S1044028321000351 Impact of oil demand and supply shocks on the exchange rates of selected Southeast Asian countries
by Forhad, Md. Abdur Rahman & Alam, Md. Rafayet
- S1044028321000363 Can extra-financial ratings serve as an indicator of ESG risk?
by Champagne, Claudia & Coggins, Frank & Sodjahin, Amos
- S1044028321000375 In search of COVID-19 and stock market behavior
by Chundakkadan, Radeef & Nedumparambil, Elizabeth
- S1044028321000387 Does bank capital reduce liquidity creation?
by Evans, Joshua J. & Haq, Mamiza
- S1044028321000399 The return volatility of cryptocurrencies during the COVID-19 pandemic: Assessing the news effect
by Salisu, Afees A. & Ogbonna, Ahamuefula E.
- S1044028321000405 On spillover effects between cryptocurrency-linked stocks and the cryptocurrency market: Evidence from Australia
by Frankovic, Jozo & Liu, Bin & Suardi, Sandy
- S1044028321000417 Safe havens in Islamic financial markets: COVID-19 versus GFC
by Hassan, M. Kabir & Djajadikerta, Hadrian Geri & Choudhury, Tonmoy & Kamran, Muhammad
- S1044028321000429 Pandemic-induced fear and stock market returns: Evidence from China
by Su, Zhi & Liu, Peng & Fang, Tong
- S1044028321000442 Cross-market informed trading in the CDS and option markets
by Hu, May & Park, Jason & Chen, Jane & Verhoevenc, Peter
- S1044028321000727 The COVID-19 pandemic: How important is face-to-face interaction for information dissemination?
by Cahill, Daniel & Ho, Choy Yeing (Chloe) & Yang, Joey W.
- S1044028322000485 What drives the systemic banking crises in advanced economies?
by Roy, Saktinil
- S1044028322000539 COVID-19 and A-share banks' stock price volatility: From the perspective of the epidemic evolution in China and the US
by Li, Shanshan
- S1044028322000540 Robinhood investors and corporate misconduct
by Kuvvet, Emre
- S1044028322000564 Up and down together? On the linkage of momentum and reversal
by Hofmann, Daniel & Keiber, Karl Ludwig & Luczak, Adalbert
- S1044028322000576 Societal trust and corporate underinvestment
by Knetsch, Andreas & Salzmann, Astrid
- S1044028322000588 Exchange introduction and market competition: The entrance of MEMX and MIAX
by Watson, Ethan D. & Woods, Donovan
- S1044028322000606 Social capital, human capital, and board appointments
by Andersen, Angela & Garel, Alexandre & Gilbert, Aaron & Tourani-Rad, Alireza
- S1044028322000618 Conventional and downside CAPM: The case of London stock exchange
by Rutkowska-Ziarko, Anna & Markowski, Lesław & Pyke, Christopher & Amin, Saqib
- S1044028322000680 Board gender diversity and firm risk in UK private firms
by Sattar, Mahnoor & Biswas, Pallab Kumar & Roberts, Helen
- S1044028322000710 Trend following or reversal: Does culture affect predictions and trading behavior?
by Rieger, Marc O. & Wang, Mei & Phan, Thuy Chung & Gong, Yujing
- S104402832100034X Opportunistic earnings management or performance-related effects? Evidence from dividend-paying firms
by Espahbodi, Reza & Liu, Nan & Weigand, Robert A.
- S104402832200059X Piecing together the extent of retail fractional trading
by Gempesaw, David & Henry, Joseph J. & Velthuis, Raisa
2022, Volume 53, Issue C
- S1044028320302982 Uncertainty avoidance, loss aversion and stock market participation
by Rieger, Marc Oliver
- S1044028321000077 Financial inclusion and bank profitability: Evidence from a developed market
by Kumar, Vijay & Thrikawala, Sujani & Acharya, Sanjeev
- S1044028321000144 Euclidean (dis)similarity in financial network analysis
by Esmalifalak, Hamidreza
- S1044028321000156 Does better capitalization enhance bank efficiency and limit risk taking? Evidence from ASEAN commercial banks
by Do Van Anh,
- S1044028321000168 Does technological inclusion promote financial inclusion among SMEs? Evidence from South-East Asian (SEA) countries
by Agyekum, Francis K. & Reddy, Krishna & Wallace, Damien & Wellalage, Nirosha H.
- S1044028321000181 The impact of mobile banking services on saving behavior in West Africa
by Loaba, Salamata
- S1044028321000193 Trading behaviour and market sentiment: Firm-level evidence from an emerging Islamic market
by Chowdhury, Anup & Uddin, Moshfique & Anderson, Keith
- S1044028321000211 The implications of passive investments for active fund management: International evidence
by Carneiro, Livia Mendes & Eid Junior, William & Yoshinaga, Claudia Emiko
- S1044028322000187 Does compliance with corporate governance increase profitability? Evidence from an emerging economy: Pakistan
by Shakri, Irfan Haider & Yong, Jaime & Xiang, Erwei
- S1044028322000205 Firm size and the effectiveness of busy boards in an emerging economy
by Chakravarty, Sugato & Hegde, Prasad
- S1044028322000217 Static and dynamic connectedness between NFTs, Defi and other assets: Portfolio implication
by Yousaf, Imran & Yarovaya, Larisa
- S1044028322000229 Real asset liquidity, cash holdings, and the cost of corporate debt
by Nejadmalayeri, Ali & Usman, Adam
- S1044028322000254 Hedge fund activism and trade credit
by Singh, Amanjot
- S1044028322000278 The information content of ETF options
by Lockwood, Jimmy & Lockwood, Larry & Miao, Hong & Ramchander, Sanjay & Yang, Dongxiao
- S1044028322000382 How do banks price liquidity? The role of market power
by Nguyen, Thach V.H. & Nguyen, Thai Vu Hong
- S1044028322000412 Do climate risk beliefs shape corporate social responsibility?
by Huang, Qiping & Lin, Meimei
- S1044028322000424 The impact of reporting changes on hidden liquidity: Evidence from the Chicago stock exchange
by Cox, Justin S.
- S1044028322000436 FinTech and capital allocation efficiency: Another equity-efficiency dilemma?
by Xie, Xueyan & Zhu, Xiaoyang
- S1044028322000448 Words matter: Market responses to changes in U.S. and Chinese trade-related internet search frequency under different U.S. administrations
by Mauck, Nathan & Pruitt, Stephen & Zhang, Wenjia
- S1044028322000515 Effects of female directors on gender diversity at lower organization levels and CSR performance: Evidence in Japan
by Nguyen, Thanh Thi Phuong & Thai, Hanh Minh
- S104402832100017X Price disparity between Chinese A- and H-shares: Dividends, currency values, and the interest rate differential
by Jiao, Feng & Liu, Qingfu & Tse, Yiuman & Wang, Zhiqin
- S104402832100020X Employee effort and earnings management
by Haga, Jesper & Huhtamäki, Fredrik & Sundvik, Dennis
- S104402832200045X Do large-cap exchange-traded funds perform better than their small-cap counterparts in extreme market conditions?☆
by Valadkhani, Abbas
2022, Volume 52, Issue C
- S1044028320302714 It is not only what you say, but how you say it: ESG, corporate news, and the impact on CDS spreads
by Naumer, Hans-Jörg & Yurtoglu, Burcin
- S1044028320302775 Corporate social responsibility as a common risk factor
by Lajili Jarjir, Souad & Nasreddine, Aya & Desban, Marc
- S1044028320302799 Competition in dual markets: Implications for banking system stability
by Risfandy, Tastaftiyan & Tarazi, Amine & Trinugroho, Irwan
- S1044028320302805 Global systemically important banks regulation: Blessing or curse?
by Markoulis, Stelios & Martzoukos, Spiridon & Patsalidou, Elena
- S1044028320302817 Economic policy uncertainty and stock market activity: Evidence from China
by Lei, Adrian C.H. & Song, Chen
- S1044028320302829 Increasing profitability through contingent convertible capital: Empirical evidence from European banks
by Petras, Matthias
- S1044028320302854 Local culture and tax avoidance: Evidence from gambling preference behavior
by Alharbi, Samar & Atawnah, Nader & Al Mamun, Md & Ali, Muhammad Jahangir
- S1044028320302933 Which market dominates the price discovery in currency futures? The case of the Chicago Mercantile Exchange and the Intercontinental Exchange
by Li, Wei-Xuan & Chen, Clara Chia-Sheng & Nguyen, James
- S1044028320302994 Risk governance and financial stability: A comparative study of conventional and Islamic banks in the GCC
by Raouf, Hajar & Ahmed, Habib
- S1044028321000338 Consequences of fraud and overcoming negative market reaction
by Karajian, Sarine & Ullah, Saif
- S1044028321000910 Value-at-risk and the cross section of emerging market hedge fund returns
by Ali, Sara & Badshah, Ihsan & Demirer, Riza
- S1044028321000958 Clusters of social impact firms: A complex network approach
by Biasin, Massimo & Cerqueti, Roy & Giacomini, Emanuela & Marinelli, Nicoletta & Quaranta, Anna Grazia & Riccetti, Luca
- S1044028322000011 Financial turbulence, systemic risk and the predictability of stock market volatility
by Salisu, Afees A. & Demirer, Riza & Gupta, Rangan
- S1044028322000114 Fiduciary or loyalty? Evidence from top management counsel and stock liquidity
by Michael, Michael & Ali, Muhammad Jahangir & Atawnah, Nader & Muniandy, Balachandran
- S1044028322000126 National culture and corporate risk-taking around the world
by Frijns, Bart & Hubers, Frank & Kim, Donghoon & Roh, Tai-Yong & Xu, Yahua
- S1044028322000138 The role of ESG scoring and greenwashing risk in explaining the yields of green bonds: A conceptual framework and an econometric analysis
by Baldi, Francesco & Pandimiglio, Alessandro
- S1044028322000151 CEO happiness and forecasting
by Hrazdil, Karel & Li, Xin & Suwanyangyuan, Nattavut
- S1044028322000163 Multinationals and stock return comovement
by Do, Hung X. & Nguyen, Nhut H. & Nguyen, Quan M.P.
- S1044028322000175 Stock returns and income inequality: Asymmetric evidence from state level data in the U.S
by Bahmani-Oskooee, Mohsen & Hasanzade, Mehrnoosh & Bahmani, Sahar
- S1044028322000230 Learning, foreign operations and operating performance
by Tongurai, Jittima & Vithessonthi, Chaiporn
- S104402832100096X ESG activities and firm cash flow
by Gregory, Richard Paul
- S104402832200014X U.S., Anglo-Saxon European, and non-Anglo-Saxon European cash holdings around the financial crisis
by Gonenc, Halit & Polten, Marc-Oliver & Westerman, Wim
2022, Volume 51, Issue C
- S1044028319301851 Firm valuations and board compensation: Evidence from alternative banking models
by Elnahass, Marwa & Salama, Aly & Trinh, Vu Quang
- S1044028319302856 Asset securitizations and bank stability: Evidence from different banking systems
by Abdelsalam, Omneya & Elnahass, Marwa & Ahmed, Habib & Williams, Julian
- S1044028319303552 Tokenization of sukuk: Ethereum case study
by Khan, Nida & Kchouri, Bilal & Yatoo, Nissar Ahmad & Kräussl, Zsofia & Patel, Anass & State, Radu
- S1044028320300016 Corporate governance and liquidity creation nexus in Islamic banks—Is managerial ability a channel?
by Safiullah, Md & Hassan, M. Kabir & Kabir, Md Nurul
- S1044028320300557 Transition to Islamic equities: Systematic risk and Shari'ah compliance
by Balli, Faruk & Chowdhury, Md Iftekhar Hasan & de Bruin, Anne
- S1044028320301745 Special issue on Islamic banking: Stability and governance
by Tarazi, Amine & Abedifar, Pejman
- S1044028320302702 The impact of news on the volatility of ESG firms
by Sabbaghi, Omid
- S1044028321000739 Does technology-seeking OFDI improve the productivity of Chinese firms under the COVID-19 pandemic?
by Wong, Zoey & Chen, Afei & Peng, Dan & Kong, Qunxi
- S1044028321000752 The Eurozone banking sector in the time of COVID-19: Measuring volatility connectedness
by Foglia, Matteo & Addi, Abdelhamid & Angelini, Eliana
- S1044028321000764 The effect of issuance documentation disclosure and readability on liquidity: Evidence from green bonds
by Lebelle, Martin & Lajili Jarjir, Souad & Sassi, Syrine
- S1044028321000776 Spreading the fear: The central role of CBOE VIX in global stock market uncertainty
by Smales, Lee A.
- S1044028321000788 How COVID-19 changed Italian consumers' behavior
by Cervellati, Enrico Maria & Stella, Gian Paolo & Filotto, Umberto & Maino, Andrea
- S1044028321000892 Revisiting conventional and green finance spillover in post-COVID world: Evidence from robust econometric models
by Sharma, Gagan Deep & Sarker, Tapan & Rao, Amar & Talan, Gaurav & Jain, Mansi
- S1044028321000909 Dynamic spillover effects among green bond, renewable energy stocks and carbon markets during COVID-19 pandemic: Implications for hedging and investments strategies
by Tiwari, Aviral Kumar & Aikins Abakah, Emmanuel Joel & Gabauer, David & Dwumfour, Richard Adjei
- S1044028321000922 Do company visits by institutional investors mitigate managerial myopia in R&D investment? Evidence from China
by Luo, Yonggen & Wu, Huiying & Ying, Sammy Xiaoyan & Peng, Qiuping
- S1044028321000934 Price sensitivity of the consumer-investor: Evidence from energy prices and mutual fund fees
by Choi, Hae Mi & Gupta-Mukherjee, Swasti
- S1044028321000946 Green property finance and CO2 emissions in the building industry
by Gholipour, Hassan F. & Arjomandi, Amir & Yam, Sharon
- S104402831930359X Shariah governance in Islamic banks: Practices, practitioners and praxis
by Fatmawati, Dewi & Ariffin, Noraini Mohd. & Abidin, Nor Hafizah Zainal & Osman, Ahmad Zamri
- S104402832030017X Technical efficiency of Islamic and conventional banks with undesirable output: Evidence from a stochastic meta-frontier directional distance function
by Safiullah, Md & Shamsuddin, Abul
2021, Volume 50, Issue C
- S1044028318301832 Risk-adjusted profitability and stability of Islamic and conventional banks: Does revenue diversification matter?
by Paltrinieri, Andrea & Dreassi, Alberto & Rossi, Simone & Khan, Ashraf
- S1044028318302242 Muslim CEOs and bank risk-taking: Evidence from Indonesia
by Ooi, Chai-Aun & Setiawan, Doddy & Hooy, Chee-Wooi
- S1044028319301991 “How using derivative instruments and purposes affects performance of Islamic banks? Evidence from CAMELS approach”
by Keffala, Mohamed Rochdi
- S1044028319302066 Tail risk in the European sovereign bond market during the financial crises: Detecting the influence of the European Central Bank
by Fendel, Ralf & Neumann, Christian
- S1044028319302674 CSR in the bond market: Pricing stakeholders and the moderating role of the institutional context
by Salvi, Antonio & Giakoumelou, Anastasia & Bertinetti, Giorgio Stefano
- S1044028319302844 Long-term financial performance of corporate social responsibility
by Shirasu, Yoko & Kawakita, Hidetaka
- S1044028319303151 Do Sukuk provide diversification benefits to conventional bond investors? Evidence from Turkey
by Pirgaip, Burak & Arslan-Ayaydin, Özgür & Karan, Mehmet Baha
- S1044028319303473 State contingent banking and asset price bubbles: The case of Islamic banking industry
by Azmat, Saad & Hassan, M. Kabir & Ghaffar, Hamza & Azad, A.S.M. Sohel
- S1044028320302842 Long-term international diversification of equities
by Mukherji, Sandip & Jeong, Jin-Gil
- S1044028321000545 Is there a green fund premium? Evidence from twenty seven emerging markets
by Naqvi, Bushra & Mirza, Nawazish & Rizvi, Syed Kumail Abbas & Porada-Rochoń, Małgorzata & Itani, Rania
- S1044028321000648 Power purchase agreements with incremental tariffs in local currency: An innovative green finance tool
by Taghizadeh-Hesary, Farhad & Yoshino, Naoyuki & Rasoulinezhad, Ehsan & Rimaud, Cedric
- S1044028321000661 Are safe haven assets really safe during the 2008 global financial crisis and COVID-19 pandemic?
by Hasan, Md. Bokhtiar & Hassan, M. Kabir & Rashid, Md. Mamunur & Alhenawi, Yasser
- S1044028321000673 Asymmetric tail dependence between green bonds and other asset classes
by Pham, Linh & Nguyen, Canh Phuc
- S1044028321000685 National culture and saving: How collectivism, uncertainty avoidance, and future orientation play roles
by Srivisal, Narapong & Sanoran, Kanyarat Lek & Bukkavesa, Kanix
- S1044028321000697 Analyst coverage, corporate social responsibility, and firm value: Evidence from China
by Hu, May & Xiong, Wanfang & Xu, Cheng
- S1044028321000703 Overlapping board connections with banker directors and corporate loan terms: Evidence from syndicated loans
by Togan Egrican, Aslı
- S1044028321000715 Liquidity and short-run predictability: Evidence from international stock markets
by Park, Jin Suk & Newaz, Mohammad Khaleq
- S1044028321000740 Does foreign monetary policy drive Australian banks' wholesale funding costs?
by Cottrell, Simon & Karpavičius, Sigitas
- S104402831930314X The holding behavior of Shariah financial assets within the global Islamic financial sector: A macroeconomic and firm-based model
by Kok, Seng Kiong & Filomeni, Stefano
- S104402832100065X Idiosyncratic return volatility and the role of firm fundamentals: A cross-country analysis
by Nejad, Ali Ebrahim & Hoseinzade, Saeid
2021, Volume 49, Issue C
- S1044028318303144 On the stability of stock-bond comovements across market conditions in the Eurozone periphery
by Flavin, Thomas J. & Lagoa-Varela, Dolores
- S1044028320300594 CEO and CFO equity compensation and dividend payout over the firm lifecycle
by Ding, Chao & Ho, Choy Yeing & Chang, Millicent
- S1044028320301587 The effects of International Financial Reporting Standards, auditing and legal enforcement on tax evasion: Evidence from 37 African countries
by Kurauone, Ophias & Kong, Yusheng & Sun, Huaping & Muzamhindo, Simbarashe & Famba, Takuriramunashe & Taghizadeh-Hesary, Farhad
- S1044028320302726 The liquidity of active ETFs
by Pham, Son D. & Marshall, Ben R. & Nguyen, Nhut H. & Visaltanachoti, Nuttawat
- S1044028320302738 Bank risk-taking and corporate investment: Evidence from the Global Financial Crisis of 2007–2009
by Adachi-Sato, Meg & Vithessonthi, Chaiporn
- S1044028320302751 Currency hedging for single-currency equity portfolios: Does cross-asset risk matter?
by Kunkler, Michael
- S1044028320302763 A time–frequency comovement and causality relationship between Bitcoin hashrate and energy commodity markets
by Rehman, Mobeen Ur & Kang, Sang Hoon
- S1044028320302830 Managerial market timing: What is the pot size for long-term shareholders assuming firm management acts in their best interest and does have an informational advantage?
by Vogt, Jan
- S1044028321000430 High-speed railway opening and urban green productivity in the post-COVID-19: Evidence from green finance
by Kong, Qunxi & Shen, Chenrong & Li, Rongrong & Wong, Zoey
- S1044028321000454 Measuring changes in credit risk: The case of CDS event studies
by Andres, Christian & Betzer, André & Doumet, Markus
- S1044028321000466 Does the location of directors' additional positions matter? A new dimension of board structure
by Sun, Liang
- S1044028321000478 Economic fundamentals and the long-run correlation between exchange rates and commodities
by Tsiakas, Ilias & Zhang, Haibin
- S1044028321000491 Islamic microfinance: A bibliometric review
by Hassan, M. Kabir & Alshater, Muneer M. & Hasan, Rashedul & Bhuiyan, Abul Bashar
- S1044028321000508 Cross-commodity hedging for illiquid futures: Evidence from China's base metal futures market
by Chen, Xiangyu & Tongurai, Jittima
- S1044028321000521 Do pricing efficiencies in Indian equity ETF market impact its performance?
by Goel, Garima & Ahluwalia, Eshan
- S1044028321000533 National culture and small firms' use of trade credit: Evidence from Europe
by Moro, Andrea & Belghitar, Yacine & Mateus, Cesario
- S104402832030274X Are hedge fund managers skilled?
by Kooli, Maher & Stetsyuk, Ivan
- S104402832100048X COVID-19 and time-frequency connectedness between green and conventional financial markets
by Arif, Muhammad & Hasan, Mudassar & Alawi, Suha M. & Naeem, Muhammad Abubakr
- S104402832100051X Asymmetric volatility connectedness between Islamic stock and commodity markets
by Suleman, Muhammad Tahir & McIver, Ron & Kang, Sang Hoon
2021, Volume 48, Issue C
- S1044028317300807 The coming wave of small business succession and the role of stakeholder synergy theory
by Lindsey, Kevin & Mauck, Nathan & Olsen, Ben
- S1044028319301449 100 research ideas: extending the frontiers of research in corporate finance
by Ang, James
- S1044028319301577 Corporate governance and dynamics capital structure: evidence from Vietnam
by Nguyen, Thao & Bai, Min & Hou, Yang & Vu, Manh-Chien
- S1044028319301978 The effect of securities class action lawsuits on mergers and acquisitions
by Basnet, Anup & Davis, Frederick & Walker, Thomas & Zhao, Kun
- S1044028319302340 Relationship lending: A source of support or a means of exploitation?
by Hussain, Inayat & Durand, Robert B. & Harris, Mark N.
- S1044028319303102 Heterogeneity in the information content of 8-K disclosures about private targets: Acquirer size and target significance
by Bayar, Onur & Das, Sougata & Kesici, Emre
- S1044028319303138 Foreign bank lending in the U.S. during three U.S. recessions
by Rai, Anoop & Seth, Rama & Mohanty, Sunil K.
- S1044028319303333 Free trade and the efficiency of financial markets
by Baig, Ahmed S. & Blau, Benjamin M. & Sabah, Nasim
- S1044028319303503 Oil shocks and stock market volatility of the BRICS: A GARCH-MIDAS approach
by Salisu, Afees A. & Gupta, Rangan
- S1044028320300120 Sovereign credit ratings: Discovering unorthodox factors and variables
by Choy, Swee Yew & Chit, Myint Moe & Teo, Wing Leong
- S1044028320300168 What lies behind the asset growth effect?
by Abdoh, Hussein & Varela, Oscar
- S1044028320300545 Short selling patterns in cross-listed stocks
by Li, Shan & Mihaylov, George & Peranginangin, Yessy & Zurbruegg, Ralf
- S1044028320300818 Can technical trading beat the foreign exchange market in times of crisis?
by Yamani, Ehab
- S1044028320301162 Macroeconomic news and treasury futures return volatility: Do treasury auctions matter?
by Smales, L.A.
- S1044028320301198 Foreign bank entry and bank competition: Cross-country heterogeneity
by Yin, Haiyan
- S1044028320301319 Asset liquidity, business risk, and beta
by Nejadmalayeri, Ali
- S1044028320301502 CEOs versus the board: Implications of strained relations for stock liquidity
by Bazrafshan, Ebrahim & Marcus, Alan J. & Tehranian, Hassan
2021, Volume 47, Issue C
- S1044028319301012 Aggregate volatility risk: International evidence
by Peterburgsky, Stanley
- S1044028319301097 CEO pay ratios and financial reporting quality
by Bao, May Xiaoyan & Cheng, Xiaoyan & Smith, David & Tanyi, Paul
- S1044028319301115 Thirty years of the Global Finance Journal: A bibliometric analysis
by Baker, H. Kent & Kumar, Satish & Pandey, Nitesh
- S1044028319301450 The evolution of the application of capital budgeting techniques in enterprises
by Siziba, Simiso & Hall, John Henry
- S1044028319302017 Google search and stock returns: A study on BIST 100 stocks
by Ekinci, Cumhur & Bulut, Ali Eray
- S1044028319302121 National corruption and international banking
by Li, He & Refalo, James & Maisondieu-Laforge, Olivier
- S1044028319302303 World dividends and tax shocks
by Herron, Richard & Platt, Katarzyna
- S1044028319302832 Leveling of the playing field and corporate financing patterns around the world
by Knill, April M. & Lee, Bong Soo & Ang, James
- S1044028320300053 Does geopolitical uncertainty affect corporate financing? Evidence from MIDAS regression
by Khoo, Joye & Cheung, Adrian (Wai Kong)
- S104402831930225X Board tenure and firm performance
by Livnat, Joshua & Smith, Gavin & Suslava, Kate & Tarlie, Martin
2020, Volume 46, Issue C