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Content
2024, Volume 85, Issue C
- S0927538X24001306 Air pollution and stock returns: The cash flow risk channel
by Li, Rong & Liu, Luxi & Qiu, Yun & Tian, Xiaohui
- S0927538X24001318 Do bank ties influence stock repurchases in a bank-based financial system during financial distress? A pre-registered report
by Sakawa, Hideaki & Watanabel, Naoki & Uchida, Konari
- S0927538X24001331 Institutional investor stewardship and material sustainability information: Evidence from Taiwan
by Yang, Sharon S. & Huang, Jr-Wei & Li, Wei-Hsien
- S0927538X24001343 Professional experience of CEOs in industry associations and corporate green innovation-empirical evidence from China
by Haojun, Wang & Jiazhu, Li
- S0927538X24001355 Local gambling attitudes and firms' financing strategies: New insights from the geographic structure in China
by Yu, Degan & Wang, Cong & Cai, Guilong & Qiang, Haofan
- S0927538X24001367 Efficiency and sustainability of bond market: Evidence from aftermarket trading of US corporate bond offerings
by Yang, Lisa & Goh, Jeremy C.
- S0927538X24001379 Asymmetry in option implied volatility and yield: Evidence from China's ETF options market11Xiaoyijing Chen, PhD candidate. Research Interests: option pricing, financial derivatives. Siyuan Liu, master's student. Research Interests: option pricing, volatility model.Zailin Xu, PhD candidate. Research Interests: capital market, volatility model. Mei Yu, PhD, Professor, Doctoral Supervisor. Research Interests: capital market, risk management.,22Funding: This work was supported by “National Natural Science Foundation of China” (Grant number: 72073027); “National Natural Science Foundation of China” (Grant number: 72071046); “the Fundamental Research Funds for the Central Universities” in UIBE (Grant number: ZD6–01)
by Chen, Xiaoyijing & Liu, Siyuan & Xu, Zailin & Yu, Mei
- S0927538X24001380 The impact of foreign participation on risk-taking in Chinese commercial banks: The co-governance role of equity checks and foreign supervision
by Liu, Jiasong & Zhu, Jingyi
- S0927538X24001409 Before thrive, first survive: The impact of controlling shareholder pledging on corporate ESG performance
by Gao, Yang & Ling, Yun & Peng, Hui
- S0927538X24001410 Expected return, volume, and mispricing: Evidence from China
by Chen, Xin & Chai, Daniel & Zhang, Jin
- S0927538X24001422 Return seasonalities in the Chinese stock market
by Meng, Chen & Du, Qingjie & Shu, Haibing
- S0927538X24001446 Financial risk forewarning with an interpretable ensemble learning approach: An empirical analysis based on Chinese listed companies
by Deng, Shangkun & Luo, Qunfang & Zhu, Yingke & Ning, Hong & Shimada, Tatsuro
- S0927538X24001458 The Paris Agreement effect of consumer awareness and sustainable investing: Some international evidence
by Chang, Ya-Kai & Cheung, William Ming Yan & Chung, Min-Hsi & Tan, Haoyun
- S0927538X24001471 Cross-border acquisitions: The case of SPACs
by Emm, Ekaterina E. & Han, Bo & Li, Bochen
- S0927538X24001483 The impact of CEO's green experience on digital transformation
by Zhang, Cheng & Yu, JiaQi & Bai, Yiyi & Ho, Kung-Cheng
- S0927538X24001495 Synthesization of macroeconomic policies and stock return synchronicity: Evidence from countries along the Belt and Road Initiative
by Xie, Haixia & Sha, Yezhou & Li, Lingyi
- S0927538X24001501 Digitalization and firms' debt maturity: Do financial constraints and uncertainty matter?
by Lee, Chien-Chiang & Wang, Chih-Wei & Purnama, Muhammad Yusuf Indra & Sharma, Susan Sunila
- S0927538X24001513 Corporate digital transformation and tax avoidance: evidence from China
by Chen, Meian & Zhao, Ke & Jin, Wei
- S0927538X24001549 International economic policy uncertainty and analysts' earnings forecasts
by Le, Cao Hoang Anh & Shan, Yaowen & Taylor, Stephen
- S0927538X2400074X Election-day market reactions to tax proposals: Evidence from a close vote
by Orihara, Masanori
- S0927538X2400091X The belt and road initiative and the over-leverage of securities companies
by Duan, Yuejiao & Liu, Lanbiao & Zhang, Jingjia
- S0927538X2400101X Information disclosure and ESG rating disagreement: Evidence from green bond issuance in China
by Wang, Xue & Liu, Qingyuan
- S0927538X2400115X Innovation at the helm: Decoding founder-manager influence in Chinese family firms
by Sun, Lan & Liu, Shaobo & Ouyang, Ruolan & Zhao, Yang
- S0927538X2400129X Data assets and corporate sustainable development: evidence from ESG in China
by Li, Yuetong & Wang, Xinyi & Zheng, Xiaojia
- S0927538X2400132X Does internal control affect firms' use of derivatives? Evidence from China
by Shen, Haomin & Cheng, Xiaoke & Sun, Qian & Wang, Xin & Zhao, Jianmei
- S0927538X2400146X The peer effects of corporate social responsibility in China: A pre-registered report
by Ding, Jie & Huang, Jinbo & Ding, Ashley & Guo, Shijun & Wang, Tianjiao
2024, Volume 84, Issue C
- S0927538X23002895 Labor leverage and firm risk: Evidence from Korea
by Cho, Wonho & Kim, Yongjun
- S0927538X23003189 The impact of the Pitching Research Framework on AFAANZ grant applications: A pre-registered study
by Gill, Chelsea & Mehrotra, Vishal & Moses, Olayinka & Bui, Binh
- S0927538X24000039 An empirical evaluation of the salience-based asset pricing model: Evidence from Australia
by Lee, Deok-Hyeon & Min, Byoung-Kyu & Xiao, Yucaho
- S0927538X24000246 Asset pricing implications of firms' profit sharing
by Bae, Jaewan & Kang, Jangkoo
- S0927538X24000258 Female government officials and corporate cash holdings
by Jiang, Tianqi & Shen, Yi & He, Yali & Wang, Zhao
- S0927538X24000271 Fintech regulation and bank liquidity creation: Evidence from China
by Liu, Shiyu & Wang, Bo & Zhang, Qianqian
- S0927538X24000295 Profitability of technical trading rules in the Chinese stock market
by Chuang, O-Chia & Chuang, Hui-Ching & Wang, Zixuan & Xu, Jin
- S0927538X24000301 Bundled insurance coverage and asymmetric information: Claim patterns of automobile theft insurance in Taiwan
by Peng, Sheng-Chang & Li, Chu-Shiu
- S0927538X24000325 Trading volume, anomaly returns and noise trader risk in China
by Han, Chunmao & Zhang, Wei
- S0927538X24000337 Overlapping committee membership and cost of equity capital
by Bhuiyan, Md. Borhan Uddin & Cheema, Muhammad A.
- S0927538X24000349 From fundamental signals to stock volatility: A machine learning approach
by Liao, Cunfei & Ma, Tian
- S0927538X24000350 Government-initiated corporate social responsibility and performance growth—Evidence from enterprise engagement in targeted poverty alleviation in China
by Wang, Xiaolin & Ye, Yingying
- S0927538X24000362 Institutional investors' limited attention and stock price informativeness in emerging markets: Evidence from China11We thank participants in 2021 China International Finance Conference (Shanghai) and the Finance and Development Forum (Tsinghua University) for helpful comments on an earlier version of the paper. Ni acknowledges financial support from the National Natural Science Foundation of China (No. 72272126), the Fundamental Scientific Center for Econometric Modeling and Economic Policy Studies, National Science Foundation of China (No.71988101), and the Key Laboratory of Econometrics (Xiamen University), Ministry of Education. All errors are our own
by Ni, Xiaoran & Jin, Qi
- S0927538X24000374 Extrapolation and option-implied kurtosis in volatility forecasting
by Pan, Ging-Ginq & Shiu, Yung-Ming & Wu, Tu-Cheng
- S0927538X24000386 Non-native players in the domestic league: Foreign penetration and domestic banking sector in an emerging market
by Huynh, Nhan
- S0927538X24000490 Board chair and credit rating of family firms: Evidence from China
by Jiang, Fuxiu & Wang, Weiyi & Zheng, Xiaojia
- S0927538X24000507 Digital transformation and corporate capital structure: Evidence from China
by Xue, Yi & Zhang, Xinzhi
- S0927538X24000519 When they say ‘not affected’, what do they mean? Evidence from trade disputes
by Pang, Xin & Wang, Kemin & Zhou, Lin
- S0927538X24000520 Patent collateral and the trajectory of innovation
by Luo, Yonggen & Wang, Deli & Hu, Shiyang
- S0927538X24000532 Information asymmetry in reinsurance through various ceded contracts
by Chang, Vincent Y.L. & Hung, Kuo Ming & Wang, Kili C. & Yang, Sand
- S0927538X24000544 Policy uncertainty, investor sentiment, and good and bad volatilities in the stock market: Evidence from China
by Xiao, Jihong & Jiang, Jiajie & Zhang, Yaojie
- S0927538X24000556 How do banks price carbon risk? Evidence from India
by Chaudhry, Neeru & Kumari, Damini
- S0927538X24000568 Surges of cross border capital flow: The impact of digital finance
by Gou, Qin & Li, Xingshen & Zhao, Guojun
- S0927538X24000581 Applied AI for finance and accounting: Alternative data and opportunities
by Cao, Sean Shun & Jiang, Wei & Lei, Lijun (Gillian) & Zhou, Qing (Clara)
- S0927538X24000593 Short-term success and long-term failure? The case of GDP growth targets and corporate innovation
by Sun, Yanyang & Chen, Yu & Wu, Wenruo
- S0927538X24000623 To fix or not to fix: The representativeness of the WM/R methodology that underpins the FX benchmark rates. A pre-registered report
by Benenchia, Matteo & Galati, Luca & Lepone, Andrew
- S0927538X24000635 Non-deposit liability and bank risk-taking: International evidence
by Wang, Yizhong & Hou, Shuting & Wang, Ting & Li, Mengxuan
- S0927538X24000647 Peer effects on corporate environmental protection: Competition, information cascades or career concerns?
by Liang, Quanxi & Li, Qiumei & Lu, Meiting & Shan, Yaowen & Wang, Peipei
- S0927538X24000659 Determining bid-ask prices for options with stochastic illiquidity and applications to index options
by Chuang, Ming-Che & Tsai, Jeffrey Tzuhao
- S0927538X24000696 Switching spillovers and connectedness between Sukuk and international Islamic stock markets
by Mensi, Walid & Lee, Yeonjeong & Al-Kharusi, Sami & Yoon, Seong-Min
- S0927538X24000714 Predicting the equity premium with financial ratios: A comprehensive look over a long period in Korea
by Park, Dojoon & Hahn, Jaehoon & Eom, Young Ho
- S0927538X24000763 How does the economic structure break change the forecast effect of money and credit on output? Evidence based on machine learning algorithms
by Lu, Yao & Zhao, Zhihui & Tian, Yuan & Zhan, Minghua
- S0927538X2400026X Institutional ownership and earnings quality: Evidence from China
by Ali, Muhammad Jahangir & Biswas, Pallab Kumar & Chapple, Larelle & Kumarasinghe, Sriyalatha
- S0927538X2400057X The evolution and determinants of the non-performing loan burden in Italian banking
by Pancotto, Livia & ap Gwilym, Owain & Williams, Jonathan
- S0927538X2400060X The role of anti-tax avoidance in tax base flow and international tax competition
by Zheng, Jiaxing & Bai, Sida & Gu, Cheng & Huang, Bihui & Xiong, Mengxu
2024, Volume 83, Issue C
- S0927538X23002688 Dissecting the links among profitability, the disposition effect, and trading activity
by Cheng, Teng Yuan & Lee, Chun I. & Lin, Chao Hsien
- S0927538X23002706 Return predictability of prospect theory: Evidence from the Thailand stock market
by Chen, Xi & Wang, Junbo & Zhong, Xiaoling
- S0927538X23002718 Environmental risk exposure and executive pay-for-performance sensitivity
by Liao, Tianlong & Lin, Bingxuan & Liu, Jianhua & Lu, Rui
- S0927538X23002743 Investor decision making within retirement savings schemes
by Bebbington, Christopher & Durand, Robert B. & Khuu, Joyce
- S0927538X23002755 Saving for whose pocket? Divergence between employee wages and corporate cash holdings
by Lu, Chien-Lin
- S0927538X23002767 How does stock liquidity affect corporate cash holdings in Japan?: A pre-registered report
by Fujitani, Ryosuke & Iwata, Kiyonori & Yasuda, Yukihiro
- S0927538X23002779 Modeling underwriting risk: A copula regression analysis on U.S. property-casualty insurance byline loss ratios
by Tsai, Jeffrey Tzuhao & Lo, Chien-Ling
- S0927538X23002846 The uncertainty of RMB exchange rate expectation and foreign investment: Evidence from Cross-border M&As in China
by Si, Deng-Kui & Li, Hong-Xue & Hu, Debao & Li, Xiao-Lin
- S0927538X23002858 High-Speed Rail Launch: A Natural Experiment on Geographic Location and Cash Dividends
by Zhao, Gang & Liang, Shangkun & Zhang, Jindan & Zhang, Joseph H.
- S0927538X23002901 The asymmetric effect of information shock on overnight and intraday expected returns: Evidence from Chinese A-share stock market
by Liu, Xiaoqun & Hou, Chenji & Zhu, Shinan & Chen, Haiqiang
- S0927538X23002913 Chairman's IT background and enterprise digital transformation: Evidence from China
by Cai, Yongbin & Luo, Na & Xie, Xuejing & Gong, Yukai
- S0927538X23002925 Research on the influence of capital market liberalization on the ESG performance of listed companies—A quasinatural experiment based on the Shanghai-Hong Kong and Shenzhen-Hong Kong Stock Connects
by Huang, Rui & Duan, Kunyue
- S0927538X23002937 The role of venture capital in promoting innovation in key & core technology companies: A pre-registered study
by Yu, Mei & Xu, Zailin & Ma, Chuang
- S0927538X23002949 Are retail investors liquidity providers? Evidence from the STAR and ChiNext markets in China
by Jing, Rui & Zhu, Hongquan
- S0927538X23002950 Can mergers and acquisitions internalize positive externalities in funding innovation?
by Chemmanur, Thomas J. & Li, Leo Ang & Liu, Mark H.
- S0927538X23002962 Does common institutional ownership improve the similarity of behavior between firms? Evidence from China
by Liu, Changyang & He, Jincai
- S0927538X23002974 Digital finance and wealth inequality: Evidence from a big tech platform in China during the COVID-19 pandemic
by Shen, Yan & Sun, Ang & Zhou, Zikun & Jia, Dun
- S0927538X23002986 Leaving the (fund) gate ajar: Investor protection or marketing ploy?
by Hu, Cecilia Wei & Lam, Peter & Lee, Adrian D.
- S0927538X23002998 Can mutual fund investors benefit from volatility managing? Evidence from China
by Zhang, Xili & Zheng, Yiran & Lien, Donald & Yu, Xiaojian
- S0927538X23003001 Clan culture and corporate innovation
by Li, Chang & Wang, Chu & Xue, Chang
- S0927538X23003013 Do CEO's cultural backgrounds enhance or impede corporate innovation?
by Ning, Bo & Pan, Yue & Tian, Gary Gang & Xiao, Jinli
- S0927538X23003025 Commodity factor investing via machine learning
by Zhu, Shunwei & Zhou, Chunyang & Liu, Hailong & Ren, Yangyang
- S0927538X23003037 Where there is policy, there is strategy: The impact of a green credit policy on the debt allocation strategy of business groups
by Liu, Xinghe & Liu, Xinyi & Chen, Jing & Gao, Jun
- S0927538X23003049 Demystifying COVID-19 policy actions: The case of inflation control in ASEAN
by Rizvi, Syed Aun R. & Sharma, Susan Sunila & Juhro, Solikin M.
- S0927538X23003050 Foreign investors and stealth trading: An examination of price movements in developing markets
by Hanafi, Mamduh M.
- S0927538X23003062 Corporate social responsibility dimensions and stock price crash risk: Evidence from the management's self-interest perspective
by Wu, Chunying & Xiong, Xiong & Gao, Ya & Meng, J. Ginger
- S0927538X23003074 Minority shareholder activism and its ex-ante monitoring role in corporate M&A decisions: Evidence from China
by Chen, Yugang & Liu, Yu & Lin, Karen Jingrong & Luo, Danglun
- S0927538X23003086 Disparity and discrimination in consumer credit markets: Evidence from online peer-to-peer lending
by Jiang, Yu & Fang, Xianming & Wang, Zijun
- S0927538X23003098 Retail investor attention and analyst earnings forecasts: Evidence from China
by Zhang, Zhida & Luo, Qi
- S0927538X23003104 The effect of institutional cross-ownership on corporate risk-taking in a transitional economy
by Yin, Wenjing & Li, Weiping & Yu, Yumiao
- S0927538X23003116 Does media spotlight really burn innovation? Evidence from China
by Hu, Guoqiang & Luo, Jin-hui & Han, Liang & Liu, Tianbao
- S0927538X23003128 Volatility spillover features in financial industries and identification of systemically important financial institutions: A new perspective
by Wang, Hu & Liu, Xin
- S0927538X23003141 How does corporate venture capital enhance incumbents' innovation? Evidence from China
by Lu, Jin & Li, Yaling
- S0927538X23003153 Political turnover and corporate credit spread: Evidence from China
by Fu, Lili & Chen, Zhen
- S0927538X23003165 Forecasting Chinese stock market volatility with option-implied risk aversion: Evidence from extended realized EGARCH-MIDAS approach
by Wu, Xinyu & Qian, Jia & Zhao, Xiaohan
- S0927538X23003177 Director turnover, board monitoring and audit fees: Some Australian evidence
by Kanapathippillai, Sutharson & Yaftian, Ali & Mirshekary, Soheila & Sami, Heibatollah & Gul, Ferdinand A
- S0927538X23003190 Directors' & Officers' liability insurance and financing decisions: Evidence from debt structure choice
by Li, WeiWei & Padmanabhan, Prasad & Huang, Chia-Hsing
- S0927538X23003207 Political uncertainty and commonality in liquidity
by Dang, Tung Lam & Luong, Hoang & Nguyen, Lily & Nguyen, My
- S0927538X24000015 Strengthening operational creditor rights and trade credit: Evidence from creditor reforms
by Singh, Ranjeet & Chauhan, Yogesh & Jadiyappa, Nemiraja & Joseph, Anto
- S0927538X24000027 Market memory, advance reaction, and retail investor herding
by Sun, Xuchu & Li, Tangrong & Zhu, Hongliang & Zhu, Jianchang
- S0927538X24000040 The effect of margin-trading and short-selling mechanism on left-tail risk: Evidence from a quasi-natural experiment in China
by Li, Xiang & Yuan, Xianghui & Jin, Liwei & Liu, Shuo & Liu, Miao
- S0927538X24000052 The changing face of consumer credit: Evidence from a big tech platform in China
by Hu, Jiayin & Huang, Yiping & Liu, Jialin
- S0927538X24000064 Digital financial supervision and inefficient investment of enterprises: Evidence from China's internet financial industry
by Zheng, Jiandong & Guo, Feng
- S0927538X24000076 A study of financial market resilience in China — From a hot money shock perspective
by Tang, Chun & Liu, Xiaoxing & Yang, Guangyi
- S0927538X24000088 Islamic banks and capital buffer behavior: A view from the Gulf cooperation council markets
by Naouar, Anissa & Boulanouar, Zakaria & Grassa, Rihab
- S0927538X24000106 Clan culture and participation in FinTech-based risk sharing
by Wang, Xiangnan & She, Kexin & Bian, Wenlong
- S0927538X24000118 ESG engagement, country-level political risk and bank liquidity creation
by Lee, Chien-Chiang & Lu, Meiting & Wang, Chih-Wei & Cheng, Chia-Yu
- S0927538X24000131 Ownership structure and carbon emissions reduction
by Yeh, Yin-Hua & Liao, Chen-Chieh
- S0927538X24000143 Sequence and longevity risks of South Korean retirees: Insights and potential remedies
by Ko, Hyungjin & Lee, Seungyun & Lee, Jaewook
- S0927538X24000155 FinTech adoption and rural economic development: Evidence from China
by Cai, Yulong & Huang, Zhuo & Zhang, Xun
- S0927538X24000167 Alumni network, mutual fund herding and information spillover: Evidence from China
by Shen, Yu & Mao, Xilin & Liu, Yaxuan
- S0927538X24000179 Analysis of tail risk contagion among industry sectors in the Chinese stock market during the COVID-19 pandemic
by Wu, JunFeng & Zhang, Chao & Chen, Yun
- S0927538X24000180 Underwriting information and insurers' profitability: Evidence from automobile physical damage insurance in Taiwan
by Liu, Chun-Ting & Chang, Chi-Hung & Chen, Hannah H.
- S0927538X24000192 Retrieving almost stochastic Dominance momentum in Taiwan stock market
by Chiang, Mi-Hsiu & Chiu, Hsin-Yu & Hsu, Yu-Chin
- S0927538X24000209 Does systemic risk affect fund managers' tail risk-taking?
by Xuan, Quansheng & Li, Zhiyong & Zhao, Tianyu
- S0927538X24000210 The impact of firm risk on the value of cash holdings: The moderating role of corporate social responsibility
by Ho, Ruey-Jenn & Lin, Cho-Min & Huang, Chien-Ming & Lin, Chun-Wei
- S0927538X24000222 Forecasting VaRs via hybrid EVT with normal and non-normal filters: A comparative analysis from the Chinese stock market
by Tong, Bin & Diao, Xundi & Li, Xiaoping
- S0927538X24000234 Does the risk spillover in global financial markets intensify during major public health emergencies? Evidence from the COVID-19 crisis
by Wang, Yifan & You, Xiqi & Zhang, Yanhang & Yang, Hanfang
- S0927538X24000313 Digital transformation and labor upgrading
by Li, Wencong & Yang, Xingquan & Yin, Xingqiang
- S0927538X2300272X Common institutional ownership and the cost of debt in Taiwan
by Shi, Wei-Zhong & Hsiao, Ming-Chun & Huang, Tsun-Yi & Yu, Min-Teh
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by Chen, Lifang & He, Ruzhen
- S0927538X2400009X A multi-dimensional connectedness and spillover between green bond and Islamic banking equity: Evidence from country level analysis
by Billah, Mabruk & Hadhri, Sinda & Hoque, Mohammad Enamul & Balli, Faruk
- S0927538X2400012X Relative performance evaluation and investment efficiency
by Liao, Guanmin & Wang, Jiajing & Xue, Jing
2023, Volume 82, Issue C
- S0927538X23001919 Is attention-based stock buying profitable? Empirical evidence from Chinese individual investors
by Chen, Chen & Lu, Xiaomeng & Zhang, Yixing
- S0927538X23001981 Why did a bank with good governance perform worse during the financial crisis? The views of shareholder and stakeholder orientations
by Wu, Meng-Wen & Shen, Chung-Hua & Hsu, Hsing-Hua & Chiu, Po-Hao
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by Zhou, Yankun & Tang, Taijie & Luo, Le
- S0927538X23002019 How does export VAT rebates policy affect corporate investment efficiency? Evidence from corporate tax stickiness
by Wang, Xinyi & Zhu, Ling
- S0927538X23002020 Information technology empowerment and corporate budget control: Evidence from China
by Shu, Wei & Chen, Ying & Chen, Xuejiao
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by Renzhi, Nuobu & Beirne, John
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by Lai, Fujun & Xiong, Deping & Zhu, Sha & Li, Yunzhong & Tan, Yanzhi
- S0927538X23002068 Institutional ownership and corporate greenhouse gas emissions: The evidence from China
by Ren, Xingzi & Dong, Yizhe & Guo, Jie Michael & Liu, Yaodong
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by Liu, Xiaoming & Shen, Xieyang & Wang, Changyun & Zeng, Jianyu
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by Fan, Michelle Xiaomin & Wu, Huiying & Ying, Sammy Xiaoyan & You, Jiaxing
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by Yousaf, Imran & Hunjra, Ahmed Imran & Alshater, Muneer M. & Bouri, Elie & Li, Yanshuang
- S0927538X23002354 Not all market participants are alike when facing crisis: Evidence from the 2015 Chinese stock market turbulence
by Sui, Cong & Chen, Nan & Yang, Mo
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by Jia, Junsheng & He, Xiaoyu & Zhu, Taiyu & Zhang, Eryu
- S0927538X23002378 Banking deregulation and export product quality
by Qiu, Guojing & Si, Deng-Kui & Hu, Debao & Li, Xinqi
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by Atilgan, Yigit & Demirtas, K. Ozgur & Gunaydin, A. Doruk & Kirli, Imra
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- S0927538X23002457 Financial advisor's covert discrimination against long-term clients
by Wang, Chenhao & Shi, Yushui & Liu, Yu-Jane
- S0927538X23002469 Risk factors in the Indonesian stock market
by Li, Nanqi & Wei, Chishen & Zhang, Linti
- S0927538X23002470 Factors and anomalies in the Vietnamese stock market
by Huang, Xiangqian & Liu, Clark & Shu, Tao
- S0927538X23002482 The return predictability of carbon emissions: Evidence from Hong Kong and Singapore
by Cao, Jie & Zhan, Xintong & Zhang, Weiming & Zhang, Yaojia
- S0927538X23002494 Momentum in machine learning: Evidence from the Taiwan stock market
by Bui, Dien Giau & Kong, De-Rong & Lin, Chih-Yung & Lin, Tse-Chun
- S0927538X23002500 Comparing competing factor and characteristics models: Evidence in Japan
by Chou, Pin-Huang & Ko, Kuan-Cheng & Rhee, S. Ghon
- S0927538X23002512 Does disclosure of customers' identities benefit a company's performance in the product market? Evidence from China
by Xie, Huailing & Xu, Xiaodong & Hsu, Yuan-Teng
- S0927538X23002524 Prudential regulation and bank performance: Evidence from China
by He, Dongwei & Wu, Yifan & Wang, Yifan & Xing, Xueyan
- S0927538X23002536 Does the mixed-ownership reform of Chinese state-owned enterprises improves their total factor productivity?
by Zhang, Shijin & Zhang, Weiwei & Chen, Fu & Guo, Bingxin
- S0927538X23002548 Resurrecting the market factor: A case of data mining across international markets
by Hoang, Khoa & Huang, Ronghong & Truong, Helen
- S0927538X23002561 The bright and dark sides of minority shareholder protection: Evidence from the separate vote counts disclosure rule in China
by Cai, Guowei & Hsu, Po-Hsuan & Xu, Xinyi & Zhou, Tong & Zhu, Yadian
- S0927538X23002573 Momentum and individual investor trades: Evidence from Singapore
by Hameed, Allaudeen & Ni, Zhenghui & Tan, Chek Ann
- S0927538X23002585 Charitable CEOs and employee protection
by Du, Yao & Chan, Chia-Ying & Lin, Chih-Yung & Lu, Chien-Lin
- S0927538X23002597 Supply chain risk disclosure and seasoned equity offering discount
by Li, Yanqiong & Wang, Xiongyuan & He, Jie & Chan, Kam C.
- S0927538X23002603 Bank liquidity hoarding and bank systemic risk: The moderating effect of economic policy uncertainty
by Lu, Yiming & Wang, Yu
- S0927538X23002615 Capital market liberalization and systemic risk of non-financial firms: Evidence from Chinese Stock Connect scheme
by Li, Xiao-Lin & Li, Haofei & Ge, Xinyu & Si, Deng-Kui
- S0927538X23002627 Extreme illiquidity and stock returns: Evidence from Thailand market
by Chen, Xi & Wang, Junbo & Wang, Yanchu & Zhong, Xiaoling
- S0927538X23002639 Expectation disarray: Analysts' growth forecast anomaly in China
by Liu, Laura Xiaolei & Zhu, Yandi & Zhang, Xinyu & Zhang, Yingguang
- S0927538X23002640 Momentum, reversals and liquidity: Indian evidence
by Chui, Andy & Ranganathan, Kavitha & Rohit, Abhishek & Veeraraghavan, Madhu
- S0927538X23002652 The journey is the reward: A study of corporate site visits and mutual fund performance
by Zhuang, Zhuang & Hong, Xin & Yao, Juan
- S0927538X23002664 The pre-IPO dividend and IPO underpricing: Evidence from China
by Wang, Jiaxin & Cheng, Ruonan & Huang, Yong & Yan, Chao
- S0927538X23002676 Robot adoption and firm's capacity utilization: Evidence from China
by Wang, Hua & Liao, Lingtao & Wu, Ji (George)
- S0927538X23002731 Momentum: Evidence and insights 30 years later
by Jegadeesh, Narasimhan & Titman, Sheridan
- S0927538X2300207X Venture capital firms' lead orientation and entry to new investment markets
by Hu, Xiao & Wang, Jiayi & Wu, Banggang & Xiang, Shuting
- S0927538X2300224X Research ideas matter: Guidance for research students and early career researchers
by Duncan, Keith & Gepp, Adrian & Craig, Justin & O'Neill, Helen
- S0927538X2300238X Correlation-based investment strategies: A comparison between Chinese and US stock markets
by Zhang, Zhehao & Xing, Ruina & Liu, Jiajun & Shao, Yifei
- S0927538X2300255X High-frequency traders’ evolving role as market makers
by Banerjee, Anirban & Roy, Prince
- S0927538X2300269X Return predictability of short-selling and financial distress firms: Evidence from Korean stock market
by Wang, Shu-Feng
2023, Volume 81, Issue C
- S0927538X23001749 Oil price uncertainty, financial distress and real economic activities: Evidence from China
by Li, Li & Chen, Hongyi & Xiang, Jingjie
- S0927538X23001750 Explosive behavior in the Chinese stock market: A sectoral analysis
by Yang, Hui & Ferrer, Román
- S0927538X23001774 High-dimensional portfolio optimization based on tree-structured factor model
by Ni, Xuanming & Zheng, Tiantian & Zhao, Huimin & Zhu, Shushang
- S0927538X23001853 Research on the effect of firm-specific investor sentiment on the idiosyncratic volatility anomaly: Evidence from the Chinese market
by Chen, Haozhi & Zhang, Yue
- S0927538X23001865 Liquidity changes and decomposition in the Japanese equity market
by Iwanaga, Yasuhiro & Hirose, Takehide
- S0927538X23001877 The construction of social credit system and corporate innovation: Evidence from China
by Zuo, Jingjing & Huang, Changqing & Qiu, Baoyin & Mai, Ruidong
- S0927538X23001889 Are short selling threats beneficial to creditors? Insights from corporate default risk
by Ni, Xiaoran & Xu, Hongmei
- S0927538X23001890 Non-controlling shareholders' governance participation and corporate misconduct: Evidence from voting in general meetings
by Lu, Qiaoshan & Xiang, Cheng & Li, Bingxiang & Feng, Lixuan
- S0927538X23001907 How does the COVID-19 pandemic change the disposition effect in fund investors?
by Jin, Xuejun & Li, Hongze & Yu, Bin & Zheng, Yijing
- S0927538X23001920 Corporate risk and financial asset holdings
by Xu, Xiaodong & Mu, Yayu & Wang, Juan
- S0927538X23001993 CEO's poverty imprints and corporate financial fraud: Evidence from China
by Liu, Yang & Zhang, Han & Zhang, Fukang
- S0927538X23002044 Digital transformation and income inequality within enterprises – Evidence from listed companies in China
by Li, Minghuan & Jiang, Anxuan & Ma, Jianteng