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Editor: K. Chan
Series handle: RePEc:eee:pacfin
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Content
2019, Volume 57, Issue C
- v:57:y:2019:i:c:s0927538x16302426 Financial liberalisation, bank ownership type and performance in a transition economy: The case of Vietnam
by Le, Phuong Thanh & Harvie, Charles & Arjomandi, Amir & Borthwick, James
- v:57:y:2019:i:c:s0927538x16302463 Corporate governance and family succession: New evidence from Taiwan
by Yeh, Yin-Hua
- v:57:y:2019:i:c:s0927538x16303146 Firm-level innovation by Japanese family firms: Empirical analysis using multidimensional innovation measures
by Kubota, Keiichi & Takehara, Hitoshi
- v:57:y:2019:i:c:s0927538x17301051 Chinese shadow banking, financial regulation and effectiveness of monetary policy
by Yang, Liu & van Wijnbergen, S. & Qi, Xiaotong & Yi, Yuhuan
- v:57:y:2019:i:c:s0927538x17301816 Managerial overconfidence and directors' and officers' liability insurance
by Lai, Yi-Hsun & Tai, Vivian W.
- v:57:y:2019:i:c:s0927538x17303256 Real option, idiosyncratic risk, and corporate investment: Evidence from Taiwan family firms
by Chen, I-Ju & Wang, David K.
- v:57:y:2019:i:c:s0927538x17305760 Family firms and financial analyst activity
by Eugster, Nicolas
- v:57:y:2019:i:c:s0927538x19301805 Do multiple large shareholders reduce agency problems in state-controlled listed firms? Evidence from China
by Chen, Fengqin & Huyghebaert, Nancy & Lin, Sen & Wang, Lihong
- v:57:y:2019:i:c:s0927538x19300745 Downside jump risk and the levels of futures-cash basis
by Chen, Chin-Ho
- v:57:y:2019:i:c:s0927538x19301040 Predicting the volatility of the iShares China Large-Cap ETF: What is the role of the SSE 50 ETF?
by Zhu, Fangfei & Luo, Xingguo & Jin, Xuejun
- v:57:y:2019:i:c:s0927538x19300496 Provincial official turnover and bank loans
by Cao, Chunfang & Dong, Yizhe & Hou, Wenxuan & Liu, Yue & Qian, Xianhang
- v:57:y:2019:i:c:s0927538x19300794 Integrated framework for information security investment and cyber insurance
by Wang, Shaun S.
- v:57:y:2019:i:c:s0927538x19301271 CEO early life experiences and cash holding: Evidence from China's great famine
by Hu, Jun & Li, Antai & Luo, Yonggen
- v:57:y:2019:i:c:s0927538x19300630 Home advantage: The preference for local residential real estate investment
by Wright, Danika & Yanotti, María B.
- v:57:y:2019:i:c:s0927538x19302203 Bank relationships and corporate cash holdings
by Shikimi, Masayo
- v:57:y:2019:i:c:s0927538x19301027 Anti-corruption, political connections and corporate responses: Evidence from Chinese listed companies
by Jin, Xuejun & Chen, Zhenhao & Luo, Deming
- v:57:y:2019:i:c:s0927538x19300769 Do individual investors demand or provide liquidity? New evidence from dividend announcements
by Chen, Zhijuan & Lin, William T. & Ma, Changfeng
- v:57:y:2019:i:c:s0927538x19300903 Risk-revealing contracts for government-sponsored microinsurance
by Chen, Bingzheng & Feng, Frank Y. & Powers, Michael R. & Qiu, Joseph
- v:57:y:2019:i:c:s0927538x19301659 Controlling shareholders' tax incentives and related party transactions
by Chung, Heesun & Choi, Sunhwa & Jung, Woon-Oh
- v:57:y:2019:i:c:s0927538x19301283 Trade credit, ownership and informal financing in China
by Wang, Xiaoming & Wu, Weijun & Yin, Chen & Zhou, Sili
- v:57:y:2019:i:c:s0927538x19301039 Valuation and analysis on complex equity indexed annuities
by Chiu, Yu-Fen & Hsieh, Ming-Hua & Tsai, Chenghsien
- v:57:y:2019:i:c:s0927538x19301647 Bank capital regulation: How do Asian banks respond?
by Nguyen, Quang Thi Thieu & Gan, Christopher & Li, Zhaohua
- v:57:y:2019:i:c:s0927538x19300277 Dollar-weighted return on aggregate corporate sector: How is it distributed across countries?
by Sun, Lingxia & Lee, Dong Wook
- v:57:y:2019:i:c:s0927538x19301295 The practice of and motivation for equity recycling: Evidence from the Asia-Pacific region
by Fairhurst, Douglas (DJ) & Nam, Yoonsoo
- v:57:y:2019:i:c:s0927538x18302737 Equity financing restrictions and the asset growth effect: International vs. Asian evidence
by Huang, Alan Guoming & Sun, Kevin Jialin
- v:57:y:2019:i:c:s0927538x18302014 Institutional ownership and corporate governance of public companies in China
by Guo, Lin & Platikanov, Stefan
- v:57:y:2019:i:c:s0927538x18301719 Are market views on banking industry useful for forecasting economic growth?
by Lai, Van Son & Ye, Xiaoxia & Zhao, Lu
- v:57:y:2019:i:c:s0927538x18306383 The effect of institutional blockholders' short-termism on firm innovation: Evidence from the Korean market
by Kang, Sanggyu & Chung, Chune Young & Kim, Dong-Soon
- v:57:y:2019:i:c:s0927538x18305444 Socially responsible firms and mergers and acquisitions performance: Australian evidence
by Krishnamurti, Chandrasekhar & Shams, Syed & Pensiero, Domenico & Velayutham, Eswaran
- v:57:y:2019:i:c:s0927538x18302397 Uncertainty and IPO initial returns: Evidence from the Tone Analysis of China’s IPO Prospectuses
by Yan, Yumeng & Xiong, Xiong & Meng, J. Ginger & Zou, Gaofeng
- v:57:y:2019:i:c:s0927538x18306462 Efficiency and profitability in the global insurance industry
by Eling, Martin & Jia, Ruo
- v:57:y:2019:i:c:s0927538x18305754 Compensation committees, CEO pay and firm performance
by Kanapathippillai, Sutharson & Gul, Ferdinand & Mihret, Dessalegn & Muttakin, Mohammad Badrul
- v:57:y:2019:i:c:s0927538x18300489 Does country background risk matter to the strategic asset allocation of sovereign wealth funds?
by Cai, Mingchao & Chen, Zhihong
- v:57:y:2019:i:c:s0927538x18302518 Foreign direct investment and downside risk: Evidence from Taiwan
by Wang, Li-Hsun & Lin, Chu-Hsiung & Fung, Hung-Gay & Kao, Tzu-Chuan
- v:57:y:2019:i:c:s0927538x18306516 High-speed rail, small city, and cost of debt: Firm-level evidence
by Wang, Yanan & Liang, Shangkun & Kong, Dongmin & Wang, Qin
- v:57:y:2019:i:c:s0927538x18302427 Global consistent or market-oriented? A quantitative assessment of RBC standards, solvency II, and C-ROSS
by Liu, Shuyan & Jia, Ruo & Zhao, Yulong & Sun, Qixiang
- v:57:y:2019:i:c:s0927538x18302002 The impact of portfolio holdings disclosure on fund returns
by Gregory-Allen, Russell & Balli, Hatice Ozer & Thompson, Kathleen
- v:57:y:2019:i:c:s0927538x18300519 Determinants of loan securitization in Chinese banking: Cost-benefit-based analysis
by Zhang, Jinqing & Yin, Yiwen & Zhang, Linlin
- v:57:y:2019:i:c:s0927538x18304335 Bank health and cash holdings: Evidence from a bank-centered financial market
by Sasaki, Toshinori & Suzuki, Katsushi
- v:57:y:2019:i:c:s0927538x18301136 Political connections and firm performance: Evidence from government officials' site visits
by Wang, Yizhong & Yao, Chengxue & Kang, Di
- v:57:y:2019:i:c:s0927538x18300507 Modeling of recovery rate for a given default by non-parametric method
by Chen, Rongda & Zhou, Hanxian & Jin, Chenglu & Zheng, Wei
- v:57:y:2019:i:c:s0927538x18301124 Financial structure and determinants of systemic risk contribution
by Qin, Xiao & Zhou, Chunyang
- v:57:y:2019:i:c:s0927538x18300921 Should companies care who their lender is? Evidence from loan covenants
by Kang, Di & Zhuang, Zhuang
- v:57:y:2019:i:c:s0927538x18301094 Estimating multifactor portfolio credit risk: A variance reduction approach
by Hsieh, Ming-Hua & Lee, Yi-Hsi & Shyu, So-De & Chiu, Yu-Fen
- v:57:y:2019:i:c:s0927538x18300544 Do firm-level factors play forward-looking role for financial systemic risk: Evidence from China
by Li, Xindan & Yu, Honghai & Fang, Libing & Xiong, Cheng
- v:57:y:2019:i:c:s0927538x18306036 Expected stock price crash risk and bank loan pricing: Evidence from China's listed firms
by Gu, Xiaolong & Xin, Yu & Xu, Liping
- v:57:y:2019:i:c:s0927538x18300775 Tactical asset allocation on technical trading rules and data snooping
by Yang, Junmin & Cao, Zhiguang & Han, Qiheng & Wang, Qiyu
- v:57:y:2019:i:c:s0927538x18302324 Performance commitment in acquisitions, regulatory change and market crash risk–evidence from China
by Song, Di & Su, Jun & Yang, Chao & Shen, Na
- v:57:y:2019:i:c:s0927538x18306048 Clustering and discounting in auction-style SEOs – Evidence from China
by Liu, Jinzhao & Gao, Shenghao & Zhou, Jun
- v:57:y:2019:i:c:s0927538x18300209 Effect of short-term debt on default risk: Evidence from Pacific Basin countries
by Wang, Chih-Wei & Chiu, Wan-Chien
- v:57:y:2019:i:c:s0927538x1730495x Information asymmetry, legal environment, and family firm governance: Evidence from IPO underpricing in China
by Huang, Wei & Li, Jinxian & Zhang, Qiang
- v:57:y:2019:i:c:s0927538x1830307x Hot money flows and production uncertainty: Evidence from China
by Zhang, Yihao & Chen, Fang & Huang, Jian & Shenoy, Catherine
- v:57:y:2019:i:c:s0927538x1830115x Hedging, speculation, and risk management effect of commodity futures: Evidence from firm voluntary disclosures
by Shao, Lili & Shao, Jun & Sun, Zheng & Xu, Huaxin
- v:57:y:2019:i:c:s0927538x1830088x Founders and the decision of Chinese dual-class IPOs in the U.S
by Li, Xiaodan & Jiao, Yang & Yu, Min-Teh & Zhao, Yang
- v:57:y:2019:i:c:s0927538x1830101x Dynamic hedging using the realized minimum-variance hedge ratio approach – Examination of the CSI 300 index futures
by Qu, Hui & Wang, Tianyang & Zhang, Yi & Sun, Pengfei
- v:57:y:2019:i:c:s0927538x1830595x Multiple large shareholders and dividends: Evidence from China
by Jiang, Fuxiu & Cai, Xinni & Jiang, Zhan & Nofsinger, John R.
- v:57:y:2019:i:c:s0927538x1930304x Is that factor just lucky? Australian evidence
by Hoang, Khoa & Cannavan, Damien & Gaunt, Clive & Huang, Ronghong
- v:57:y:2019:i:c:s0927538x1930068x A microstructure study of circuit breakers in the Chinese stock markets
by Wang, Steven Shuye & Xu, Kuan & Zhang, Hao
- v:57:y:2019:i:c:s0927538x1930126x Policy uncertainty exposure and market value: Evidence from China
by Yang, Zhenyi & Yu, Yiwei & Zhang, Yubing & Zhou, Sili
- v:57:y:2019:i:c:s0927538x1930023x The real driver of trade credit
by Tsuruta, Daisuke & Uchida, Hirofumi
2019, Volume 56, Issue C
- 1-20 Does regulating executive compensation impact insider trading?
by Chen, Yanyan & Tian, Gary Gang & Yao, Daifei Troy
- 21-44 Trade, finance and endogenous invoicing currency: Theory and firm-level evidence
by Liu, Tao & Lu, Dong
- 45-70 Energy, precious metals, and GCC stock markets: Is there any risk spillover?
by Al-Yahyaee, Khamis Hamed & Mensi, Walid & Sensoy, Ahmet & Kang, Sang Hoon
- 71-92 Loan financing and investment in princeling-backed firms
by Li, Qing & Liu, Qigui & Ma, Shiguang & Tian, Gary Gang
- 93-112 Are educational managers credible or overconfident? Evidence from share repurchases in Taiwan
by Su, Xuan-Qi & Lin, Yung-Chieh & Chen, Chin-Ming & Lowe, Alpha
- 113-128 Do corporate site visits impact hedge fund performance?
by Hong, Xin & Zhuang, Zhuang & Kang, Di & Wang, Zhibin
- 129-150 Responsible science: Celebrating the 50-year legacy of Ball and Brown (1968) using a registration-based framework
by Aman, Hiroyuki & Beekes, Wendy & Berkman, Henk & Bohmann, Marc & Bradbury, Michael & Chapple, Larelle & Chang, Millicent & Clout, Victoria & Faff, Robert & Han, Jianlei & Hillier, David & Hodgson, Allan & Howieson, Bryan & Jona, Jonathan & Linnenluecke, Martina & Loncan, Tiago & McCredie, Bronwyn & Michayluk, David & Mroczkowski, Nick & Pan, Zheyao (Terry) & Patel, Vinay & Podolski, Edward & Soderstrom, Naomi & Smith, Tom & Tanewski, George & Walsh, Kathleen & Wee, Marvin & Wright, Sue
- 151-161 Internet finance investor sentiment and return comovement
by Chen, Rongda & Yu, Jingjing & Jin, Chenglu & Bao, Weiwei
- 162-178 Tail risk and expected stock returns around the world
by Long, Huaigang & Zhu, Yanjian & Chen, Lifang & Jiang, Yuexiang
- 179-196 Margin-trading volatility and stock price crash risk
by Lv, Dayong & Wu, Wenfeng
- 197-210 Measuring the liquidity impact on catastrophe bond spreads
by Zhao, Yang & Yu, Min-Teh
- 211-233 Catastrophic risk and institutional investors: Evidence from institutional trading around 9/11
by Chen, Yangyang & Hu, Gang & Yu, Danlei Bonnie & Zhao, Jingran
- 234-247 Repurchases and intended program length
by Gould, Graeme P.
- 248-272 Bank lenders as matchmakers? Evidence from when acquirers and targets share a common lender
by Fee, C. Edward & Subramaniam, Venkat & Wang, Maobin & Zhang, Yi
- 273-289 Effects of limited attention on investors' trading behavior: Evidence from online ranking data
by Choi, Sujung & Choi, Woon Youl
- 290-309 Bank performance in China: A Perspective from Bank efficiency, risk-taking and market competition
by Fang, Jianchun & Lau, Chi-Keung Marco & Lu, Zhou & Tan, Yong & Zhang, Hua
- 310-329 Geography, culture, and corporate innovation
by Wei, Yueling & Kang, Di & Wang, Yizhong
- 330-351 Corporate social responsibility disclosure and financial transparency: Evidence from India
by Nair, Rajiv & Muttakin, Mohammad & Khan, Arifur & Subramaniam, Nava & Somanath, V.S.
- 352-368 Strengthened board monitoring from parent company and stock price crash risk of subsidiary firms
by Cai, Guilong & Xu, Yue & Yu, Degan & Zhang, Junsheng & Zheng, Guojiang
- 369-394 Privatization effect versus listing effect: Evidence from China
by Li, Bo & Megginson, William L. & Shen, Zhe & Sun, Qian
- 395-412 The efficiency effects of life settlement on the life insurance market
by Seog, S. Hun & Hong, Jimin
2019, Volume 55, Issue C
- 1-28 Impacts of ambiguity aversion and information uncertainty on momentum: An international study
by Gong, Yujing & Wang, Mei & Dlugosch, Dennis
- 29-45 The role of credibility in the relation between management forecasts and analyst forecasts in Japan
by Aman, Hiroyuki & Beekes, Wendy & Chang, Millicent & Wee, Marvin
- 46-62 Investor sentiment and the price-earnings ratio in the G7 stock markets
by Rahman, Md Lutfur & Shamsuddin, Abul
- 63-81 Financial market development, market transparency, and IPO performance
by Huang, Ying Sophie & Li, Mengyu & Chen, Carl R.
- 82-94 Do investors care about earnings quality? The case of Chinese reverse mergers
by Wang, Liu
- 95-109 Measuring tail risk with GAS time varying copula, fat tailed GARCH model and hedging for crude oil futures
by Gong, Xiao-Li & Liu, Xi-Hua & Xiong, Xiong
- 110-126 Islamic law, corporate governance, growth opportunities and dividend policy in Indonesia stock market
by Imamah, Nur & Lin, Tsui-Jung & Suhadak, & Handayani, Siti Ragil & Hung, Jung-Hua
- 127-141 Heterogeneous beliefs and aggregate market volatility revisited: New evidence from China
by Wang, Yudong & Diao, Xundi & Pan, Zhiyuan & Wu, Chongfeng
- 142-160 Are advanced emerging market stock returns predictable? A regime-switching forecast combination approach
by Bahrami, Afsaneh & Shamsuddin, Abul & Uylangco, Katherine
- 161-168 Capital markets research in accounting: Lessons learnt and future implications
by Karuna, Christo
- 169-181 Does internal competition shape bank lending behavior? Evidence from a Chinese bank
by Xie, Lu & Zhang, Min & Song, Xiuyuan & Tong, Lijing
- 182-191 Which model best explains the returns of large Australian stocks?
by Chai, Daniel & Chiah, Mardy & Gharghori, Philip
- 192-205 Share pledges and firm value
by Li, Michelle & Liu, Chelsea & Scott, Tom
- 206-221 Limits on executive pay and stock price crash risk: Evidence from a quasi-natural experiment
by Bai, Min & Wang, Renxiang & Yu, Chia-Feng (Jeffrey) & Zheng, Jianming
- 222-238 Is informational inefficiency priced in stock markets? A comparison between the U.S. and Chinese cases
by Yang, Baochen & Xue, Fangzhan & Su, Yunpeng & Yan, Cheng
- 239-258 Price limit changes and market quality in the Taiwan Stock Exchange
by Lien, Donald & Hung, Pi-Hsia & Zhu, Jia-De & Chen, Yi-Hsuan
- 259-269 Breadth of ownership and stock excess returns
by Yang, Chunpeng & Hu, Xiaoyi
- 270-282 The impact of business strategy on insider trading profitability
by Chen, Guang-Zheng & Keung, Edmund C.
- 283-298 CSR activities and internal capital markets: Evidence from Korean business groups
by Choi, Yoon K. & Han, Seung Hun & Kwon, Yonghyun
- 299-328 Frankenstein's monster or the Birth of Venus? Perceptions of the impact and contributions of Ball and Brown 1968
by Howieson, Bryan A.
- 329-351 The value of political connections in opaque firms: Evidence from China's file 18
by Hu, Yi & Wang, Changyun & Xiao, Gang & Zeng, Jianyu
2019, Volume 54, Issue C
- 1-12 Political uncertainty and Stock returns: Evidence from the Brazilian Political Crisis
by Hillier, David & Loncan, Tiago
- 13-28 Connectedness and hedging between gold and Islamic securities: A new evidence from time-frequency domain approaches
by Maghyereh, Aktham I. & Abdoh, Hussein & Awartani, Basel
- 29-41 The role of caste for board membership, CEO, and interlocking
by Dayanandan, Ajit & Donker, Han & Nofsinger, John
- 42-54 The impact of Sukuk on the performance of conventional and Islamic banks
by Mimouni, Karim & Smaoui, Houcem & Temimi, Akram & Al-Azzam, Moh'd
- 55-72 The impact of Ball and Brown (1968) on generations of research
by Fargher, Neil & Wee, Marvin
- 73-92 Do group-affiliated firms time their equity offerings?
by Wadhwa, Kavita & Neupane, Suman & Syamala, Sudhakara Reddy
- 93-117 Tournament incentives and stock price crash risk: Evidence from China
by Sun, Sophia Li & Habib, Ahsan & Huang, Hedy Jiaying
- 118-131 Liquidity and earnings in event studies: Does data granularity matter?
by Bohmann, Marc & Michayluk, David & Patel, Vinay & Walsh, Kathleen
- 132-146 Forecasting the U.S. stock volatility: An aligned jump index from G7 stock markets
by Ma, Feng & Wahab, M.I.M. & Zhang, Yaojie
- 147-158 Interconnectedness and systemic risk: A comparative study based on systemically important regions
by Fang, Lei & Cheng, Jiang & Su, Fang
- 159-182 The effect of environmental information disclosure and energy product type on the cost of debt: Evidence from energy firms in China
by Fonseka, Mohan & Rajapakse, Theja & Richardson, Grant
- 183-198 CFDs, forwards, futures and the cost-of-carry
by Douglas Foster, F. & Lee, Adrian D. & Liu, Wai-Man
- 199-214 Underwriter network structure and political connections in the Chinese IPO market
by Rumokoy, Lawren J. & Neupane, Suman & Chung, Richard Y. & Vithanage, Kulunu
2019, Volume 53, Issue C
- 1-21 VIX derivatives: Valuation models and empirical evidence
by Lo, Chien-Ling & Shih, Pai-Ta & Wang, Yaw-Huei & Yu, Min-Teh
- 22-39 Credit crunch and timing of initial public offerings
by Fan, Pengda & Uchida, Konari
- 40-55 Can economic policy uncertainty, oil prices, and investor sentiment predict Islamic stock returns? A multi-scale perspective
by Ftiti, Zied & Hadhri, Sinda
- 56-81 Family succession and business diversification: Evidence from China
by Weng, Tzu-Ching & Chi, Hsin-Yi
- 82-93 Asset pricing with an imprecise information set
by Jacoby, Gady & Lee, Gemma & Paseka, Alexander & Wang, Yan
- 94-111 Financial distress, short sale constraints, and mispricing
by Kim, Dongcheol & Lee, Inro & Na, Haejung
- 112-132 On the pricing of the persistence of earnings components in China
by Wu, Xuan & Tian, Gaoliang & Li, Yueting & Zhou, Qing
- 133-144 Diversification benefits of Shari'ah compliant equity ETFs in emerging markets
by Gad, Samar & Andrikopoulos, Panagiotis
- 145-164 Speed and trading behavior in an order-driven market
by Park, Seongkyu Gilbert & Ryu, Doojin
- 165-185 Can short selling activity predict the future returns of non-shortable peer firms?
by Hu, Ting & Chi, Yanzhe
- 186-207 Algorithmic and high frequency trading in Asia-Pacific, now and the future
by Zhou, Hao & Kalev, Petko S.
- 208-235 The impact of innovation on IPO short-term performance – Evidence from the Chinese markets
by Zhou, Lu (Jolly) & Sadeghi, Mehdi
- 236-253 Crouching tigers, hidden dragons: Private equity fund selection in China
by Azzi, Sarah & Suchard, Jo-Ann
- 254-267 Effects of Shariah-compliant business practices on long-term financial performance
by Pepis, Scott & de Jong, Pieter
- 268-277 A review of the impact of Ball and Brown (1968) on research in the Asia-Pacific Basin
by Clinch, Greg & Lyon, John D. & Pinnuck, Matt
- 278-296 Open-market block share repurchases probability, frequency and timing
by Chen, Ni-Yun & Liu, Chi-Chun
- 297-307 Firm value and government commitment to combating climate change
by Berkman, Henk & Jona, Jonathan & Soderstrom, Naomi
- 308-320 How social movements influence crowdfunding success
by Hsieh, Hui-Ching & Hsieh, Ying-Che & Vu, Thi Huyen Chi
- 321-330 Herd behavior and idiosyncratic volatility in a frontier market
by Vo, Xuan Vinh & Phan, Dang Bao Anh
- 331-348 Convertible bond announcement returns, capital expenditures, and investment opportunities: Evidence from Korea
by Kim, Hyeong Joon & Han, Seung Hun
- 349-361 SOEs as intermediation: Leakage effect under financial repression
by Yao, Zhiyong & Gu, Dingwei & Cao, Wen
- 362-378 Rollover risk and cost of bank debt: The role of family-control ownership
by Chiu, Wan-Chien & Wang, Chih-Wei
- 379-398 Individual investors and post-earnings-announcement drift: Evidence from Korea
by Eom, Yunsung & Hahn, Jaehoon & Sohn, Wook
- 399-409 The wealth effects of the announcement of the Australian carbon pricing scheme
by Han, Jianlei & Linnenluecke, Martina K. & Pan, Zheyao (Terry) & Smith, Tom
- 410-431 Ball and Brown (1968) after fifty years
by Ball, Ray & Brown, Philip
- 432-448 Deferred cash compensation and risk-taking: Evidence from the Chinese banking industry
by Jiang, Wei & Liu, Yunguo & Lobo, Gerald J. & Xu, Yue
- 449-463 Female CFOs and accounting fraud: Evidence from China
by Liao, Jing & Smith, David & Liu, Xutang
- 464-483 Idiosyncratic skewness, gambling preference, and cross-section of stock returns: Evidence from China
by Yao, Shouyu & Wang, Chunfeng & Cui, Xin & Fang, Zhenming
- 484-496 A survey of Islamic banking and finance literature: Issues, challenges and future directions
by Narayan, Paresh Kumar & Phan, Dinh Hoang Bach
- 497-512 Does Islamic stock sensitivity to oil prices have economic significance?
by Narayan, Paresh Kumar & Phan, Dinh Hoang Bach & Sharma, Susan Sunila
2018, Volume 52, Issue C
- 5-25 What enables Islamic banks to contribute in global financial reintermediation?
by Naqvi, Bushra & Rizvi, S.K.A. & Uqaili, Hina Ahmed & Chaudhry, S.M.
- 26-39 Does financing structure affects bank liquidity risk?
by Abdul-Rahman, Aisyah & Sulaiman, Ahmad Azam & Mohd Said, Noor Latifah Hanim
- 40-53 Asset diversification and bank performance: Evidence from three Asian countries with a dual banking system
by Chen, Naiwei & Liang, Hsin-Yu & Yu, Min-Teh
- 54-69 Islamic banking development and access to credit
by Léon, Florian & Weill, Laurent
- 70-81 Profitability of technology-investing Islamic and non-Islamic stock markets
by Narayan, Paresh Kumar
- 82-106 Religion based investing and illusion of Islamic Alpha and Beta
by Naqvi, Bushra & Rizvi, S.K.A. & Mirza, Nawazish & Reddy, Krishna
- 107-122 Some preliminary evidence of price discovery in Islamic banks
by Narayan, Paresh Kumar & Sharma, Susan Sunila & Thuraisamy, Kannan Sivananthan & Westerlund, Joakim
- 123-133 Islamic spot and index futures markets: Where is the price discovery?
by Karabiyik, Hande & Narayan, Paresh Kumar & Phan, Dinh Hoang Bach & Westerlund, Joakim
- 134-143 What is the cost of faith? An empirical investigation of Islamic purification
by Hutchinson, Mark C. & Mulcahy, Mark & O'Brien, John
- 144-162 From interest tax shield to dividend tax shield: A corporate financing policy for equitable and sustainable wealth creation
by Zaman, Qamar Uz & Hassan, M. Kabir & Akhter, Waheed & Meraj, M.A.
- 163-172 Equity financing and debt-based financing: Evidence from Islamic microfinance institutions in Indonesia
by Fianto, Bayu Arie & Gan, Christopher & Hu, Baiding & Roudaki, Jamal
2018, Volume 51, Issue C
- 1-12 Exploiting the low-risk anomaly using machine learning to enhance the Black–Litterman framework: Evidence from South Korea
by Pyo, Sujin & Lee, Jaewook
- 13-31 Measuring systemic risk of the banking industry in China: A DCC-MIDAS-t approach
by Xu, Qifa & Chen, Lu & Jiang, Cuixia & Yuan, Jing
- 32-46 Time variation of MAX-premium with market volatility: Evidence from Korean stock market
by Cheon, Yong-Ho & Lee, Kuan-Hui
- 47-64 How does real earnings management affect the value of cash holdings? Comparisons between information and agency perspectives
by Chang, Che-Chia & Kao, Li-Han & Chen, Hsin-Yu
- 65-74 Dynamics between stock market movements and fiscal policy: Empirical evidence from emerging Asian economies
by BUI, Duy-Tung & LLORCA, Matthieu & BUI, Thi Mai Hoai
- 75-94 The individual characteristics of board members and internal control weakness: Evidence from China
by Lu, Yu & Cao, Yue
- 95-107 The effect of anonymity on price efficiency: Evidence from the removal of broker identities
by Duong, Huu Nhan & Lajbcygier, Paul & Lu, Jerry Shuai & Vu, Van Hoang
- 108-120 Modeling extreme risks in commodities and commodity currencies
by Fuentes, Fernanda & Herrera, Rodrigo & Clements, Adam
- 121-136 The high-volume return premium and changes in investor recognition
by Gordon, Narelle & Wu, Qiongbing
- 137-154 What moves benchmark money market rates? Evidence from the BBSW market
by Casavecchia, Lorenzo & Loudon, Geoffrey F. & Wu, Eliza
- 155-170 The relationship between CSR and performance: Evidence in China
by Kao, Erin H. & Yeh, Chih-Chuan & Wang, Li-Hsun & Fung, Hung-Gay
- 171-183 Is wine a good choice for investment?
by Bouri, Elie & Gupta, Rangan & Wong, Wing-Keung & Zhu, Zhenzhen
- 184-197 How directors trade and learn during takeovers
by Chang, Millicent & Yu, Jing & Adamson, William
- 198-219 Determinants of capital structure: evidence from Shari'ah compliant and non-compliant firms
by Yildirim, Ramazan & Masih, Mansur & Bacha, Obiyathulla Ismath
- 220-250 Government-affiliation, bilateral political relations and cross-border mergers: Evidence from China
by Zhang, Wenjia & Mauck, Nathan
- 251-266 The determinants and effects of voluntary adoption of a cumulative voting system: Evidence from China
by Yuan, Rongli & Liu, Chao & Xiao, Jason Zezhong & Sun, Jian
- 267-290 Tweeting the financial market: Media effect in the era of Big Data
by Liu, Peipei & Xia, Xinping & Li, Antai
- 291-296 Equity market momentum: A synthesis of the literature and suggestions for future work
by Subrahmanyam, Avanidhar
- 297-317 Do types of political connection affect firm performance differently?
by Wong, Wai-Yan & Hooy, Chee-Wooi
- 318-341 How does national culture influence IPO underpricing?
by Chourou, Lamia & Saadi, Samir & Zhu, Hui
- 342-365 Air pollution, stock returns, and trading activities in China
by Wu, Qinqin & Hao, Ying & Lu, Jing
- 366-375 Message traffic restrictions and relative pricing efficiency: Evidence from index futures contracts and exchange-traded funds
by Lepone, Andrew & Wen, Jun & Yang, Jin Young
- 376-391 Compensation structure of family business groups
by Kim, Hohyun & Han, Seung Hun
- 392-409 Corporate philanthropy and investment efficiency: Empirical evidence from China
by Chen, Jun & Dong, Wang & Tong, Jamie Yixing & Zhang, Feida Frank
2018, Volume 50, Issue C
- 1-15 Effective governance, financial markets, financial institutions & crises
by Balachandran, Balasingham & Williams, Barry
- 16-25 Explanations of cycles in seasoned equity offerings: An examination of the choice between rights issues and private placements
by Melia, Adrian & Chan, Howard & Docherty, Paul & Easton, Steve
- 26-40 Venture capitalists' value-enhancing activities under weak protection of law
by Li, Hui & Wu, Xiaohui & Ye, Ying & Zeng, Qi
- 41-64 New evidence on national culture and bank capital structure
by Haq, Mamiza & Hu, Daniel & Faff, Robert & Pathan, Shams
- 65-81 The influence of board committee structures on voluntary disclosure of greenhouse gas emissions: Australian evidence
by Krishnamurti, Chandrasekhar & Velayutham, Eswaran
- 82-104 Target corporate governance, acquirers' location choices, and partial acquisitions
by Dang, Man & Henry, Darren & Yin, Xiangkang & Vo, Thuy Anh
- 105-125 Idiosyncratic volatility in the Australian equity market
by Zhong, Angel
- 126-143 The bright side of labor protection in emerging markets: The case of firm transparency
by Ni, Xiaoran & Zhu, Weikang
- 144-162 Corporate boards and performance pricing in private debt contracts
by Bakar, Intan Suryani Abu & Khan, Arifur & Mather, Paul & Tanewski, George
- 163-183 Spillovers of price efficiency and informed trading from short sales to margin purchases in absence of uptick rule
by Shyu, Yih-Wen & Chan, Kam C. & Liang, Hsin-Yu
- 184-199 Bank performance and risk-taking — Does directors' busyness matter?
by Kutubi, Shawgat S. & Ahmed, Kamran & Khan, Hayat
- 200-215 A new government bond volatility index predictor for the U.S. equity premium
by Pan, Zheyao & Chan, Kam Fong
- 216-234 Stock liquidity, corporate governance and leverage: New panel evidence
by Nadarajah, Sivathaasan & Ali, Searat & Liu, Benjamin & Huang, Allen
- 235-248 State-varying illiquidity risk in sovereign bond spreads
by Docherty, Paul & Easton, Steve
- 249-262 Does corporate social responsibility engagement benefit distressed firms? The role of moral and exchange capital
by Gupta, Kartick & Krishnamurti, Chandrasekhar
- 263-278 Return dispersion and conditional momentum returns: International evidence
by Docherty, Paul & Hurst, Gareth
- 279-293 Microfinance institutions' website accessibility
by Tadele, Haileslasie & Roberts, Helen & Whiting, Rosalind H.
2018, Volume 49, Issue C