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Content
2022, Volume 82, Issue C
- 497-510 Cross-border trade credit and trade flows during the global financial crisis
by Choi, Moon Jung & Hwang, Sangyeon & Im, Hyejoon
- 511-529 Foundations and research clusters in investor attention: Evidence from bibliometric and topic modelling analysis
by Goodell, John W. & Kumar, Satish & Li, Xiao & Pattnaik, Debidutta & Sharma, Anuj
- 530-554 A Rose has its Thorn: The role of institutional investors in SEO firms’ reporting behavior
by Wu, Ruei-Shian & Lo, Huai-Chun
- 555-568 Financial bubbles as a recursive process lead by short-term strategies
by Cerruti, Gianluca & Lombardini, Simone
- 569-583 Systematic variations in exchange rate returns
by Liu, De-Chih & Chang, Yu-Chien
- 584-597 Responding to import surges: Price transmission from international to local soybean markets
by Zheng, Xuyun & Pan, Zheng
- 598-608 Corporate site visits and firm performance
by Qi, Zhen & Chu, Chien-Chi & Zhou, Yixiao & Chen, Jian
- 609-624 Implied volatility information of Chinese SSE 50 ETF options
by Wu, Lingke & Liu, Dehong & Yuan, Jianglei & Huang, Zhenhuan
- 625-635 Modeling and managing stock market volatility using MRS-MIDAS model
by Chen, Wang & Lu, Xinjie & Wang, Jiqian
- 636-649 Risk dimensions, risk clusters, and foreign direct investments in developing countries
by Okafor, Luke Emeka & Hassan, M. Kabir & Rashid, Mamunur & Prabu, Darniya & Sabit, Ahmed
- 650-662 Asymmetric spillovers in emerging market monetary policy
by Eterovic, Dalibor & Sweet, Cassandra & Eterovic, Nicolas
- 663-676 Impacts of regional cooperation agreements on international tourism: Evidence from a quasi-natural experiment
by Chen, Yingtong & Zhang, Dayong & Ji, Qiang
- 677-698 An ocean apart? The effects of US business cycles on Chinese business cycles
by Shen, Jiancheng & Selover, David D. & Li, Chao & Yousefi, Hamed
- 699-706 Can international cooperation base for science and technology drive cooperation ability? Evidence from Xinjiang China
by Wang, Fei & Dong, Zhi & Dong, Ji-chang
- 707-722 Competitive investments between basic R&D and applied R&D with information spillovers
by Zhang, Yanfang
- 723-742 Early market efficiency testing among hydrogen players
by Corzo Santamaría, Teresa & Martin-Bujack, Karin & Portela, Jose & Sáenz-Diez, Rocio
- 743-758 Omega portfolio models with floating return threshold
by Yu, Jing-Rung & Paul Chiou, Wan-Jiun & Hsin, Yi-Ting & Sheu, Her-Jiun
- 759-770 Reduced macroeconomic volatility after adoption of inflation targeting: Impulses or propagation?
by Cruz, Christopher John
- 771-783 Why have UK universities become more indebted over time?
by Bell, Adrian R. & Brooks, Chris & Urquhart, Andrew
2022, Volume 81, Issue C
- 1-17 Investment-growth nexus in West Africa: An assessment of whether fragility matter
by Ijirshar, Victor Ushahemba & Andohol, Jerome
- 18-28 Industrial agglomeration, urban characteristics, and economic growth quality: The case of knowledge-intensive business services
by Peng, Dan & Li, Rongrong & Shen, Chenrong & Wong, Zoey
- 29-38 Geopolitical risk and oil price volatility: Evidence from Markov-switching model
by Qian, Lihua & Zeng, Qing & Li, Tao
- 39-57 The price of risk based on multilinear measures
by Angelini, Pierpaolo & Maturo, Fabrizio
- 58-74 The impact of CEO inside debt on the coinsurance effect and excess value of diversification
by Salama, Feras M. & Samet, Anis
- 75-97 Google searches around analyst recommendation revision announcements: Evidence from the Taiwan stock market
by Wu, Ming-Hung & Tsai, Wei-Che & Lu, Chia-Chi & Zhang, Hang
- 98-112 Uncover the response of the U.S grain commodity market on El Niño–Southern Oscillation
by Su, Yuandong & Liang, Chao & Zhang, Li & Zeng, Qing
- 113-127 A three-phase comparative efficiency analysis of US and EU banks
by Anagnostopoulos, Yiannis & Husa, Kjetil A. & Noikokyris, Emmanouil
- 128-146 The impact of information communication technology on energy demand: Some international evidence
by Wang, En-Ze & Lee, Chien-Chiang
- 147-159 Environmental information disclosure and firms’ green innovation: Evidence from China
by Ding, Jinxiu & Lu, Zhe & Yu, Chin-Hsien
- 160-172 Does the SDR stabilize investing in commodities?
by Jin, Jiayu & Han, Liyan & Xu, Yang
- 173-183 The impact of China's currency swap lines on bilateral trade
by Hao, Kaixuan & Han, Liyan & Li, (Tony) Wei
- 184-204 Bank lending behavior and housing market booms: The Australian evidence
by Li, Shuyun May & Suardi, Sandy & Wee, Benjamin
- 205-226 Theoretical and empirical analysis of options in open market share repurchases of Taiwan companies
by Tsai, Pei-Ling & Hsu, Yuan-Lin & Chih, Hsiang-Hsuan & Lin, Shih-Kuei
- 227-242 The effect of environmental regulation and skill premium on the inflow of FDI:Evidence from Chinese industrial sectors
by Wang, Chao & Zhang, Yue-Jun
2022, Volume 80, Issue C
- 1-11 Revenue-neutral or profit-neutral tariff and tax reforms under imperfect competition: Welfare implications
by Chang, Yang-Ming & Sargsyan, Ruben
- 12-26 Directors' and officers’ liability insurance and the pricing of seasoned equity offerings
by Liao, Tsai-Ling & Chuang, Hwei-Lin & Wang, Jo-Yu
- 27-48 Corporate cash and the Firm's life-cycle: Evidence from dual-class firms
by Lin, James Juichia & Shi, Wei-Zhong & Tsai, Li-Fang & Yu, Min-Teh
- 49-66 Portfolio optimization under multivariate affine generalized hyperbolic distributions
by Wang, Chou-Wen & Liu, Kai & Li, Bin & Tan, Ken Seng
- 67-81 How China's high-speed rail promote local economy: New evidence from county-level panel data
by Wang, Yao & Dong, Weijia
- 82-95 Does environmental regulation affect labor investment Efficiency?Evidence from a quasi-natural experiment in China
by Chen, Chunhua & Jiang, Dequan & Lan, Meng & Li, Weiping & Ye, Ling
- 96-113 How financial crises affect the relationship between idiosyncratic volatility and stock returns
by Chen, Yi-Ling & Wang, Ming-Chun & Lin, Jun-Biao & Huang, Ming-Chih
- 114-133 Foreign ownership and earnings management
by Han, Minghui & Ding, Ashley & Zhang, Hao
- 134-146 Cultural values, genes and savings behavior in China
by Chan, Kenneth S. & Lai, Jennifer Te & Li, Tingting
- 147-158 Consumer welfare, licensing, and exclusive dealing with vertically- and horizontally-differentiated products
by Lin, Yen-Ju
- 159-165 Does flattening the curve make a difference? An investigation of the COVID-19 pandemic based on an SIR model
by Qiu, Hong & Wang, Qian & Wu, Qun & Zhou, Hongyong
- 166-176 Short-sale constraints and cross-predictability: Evidence from Chinese market
by Li, Rui & Li, Chenchen & Yuan, Jinjian
- 177-185 Financial stability and network complexity: A random matrix approach
by Li, Fei & Kang, Hao & Xu, Jingfeng
- 186-210 Extreme directional spillovers between investor attention and green bond markets
by Pham, Linh & Cepni, Oguzhan
- 211-224 Does income inequality explain public debt change in OECD countries?
by Bartak, Jakub & Jabłoński, Łukasz & Tomkiewicz, Jacek
- 225-242 What drives credit expansion worldwide?——An empirical investigation with long-term cross-country panel data
by Yi, Xingjian & Liu, Sheng & Wu, Zhouheng
- 243-265 The religious fringe of Corporate Social Responsibility
by Hassan, M. Kabir & Chiaramonte, Laura & Dreassi, Alberto & Paltrinieri, Andrea & Piserà, Stefano
- 266-281 Could we rely on credit swap hedging as a substitute for insurer blockchain technology involvement?
by Lin, Jyh-Horng & Li, Xuelian & Lin, Panpan
- 282-293 Islamic Stock indices and COVID-19 pandemic
by Salisu, Afees A. & Shaik, Muneer
- 294-308 Fiscal policy choices of local governments in China: Land finance or local government debt?
by Cheng, Yudan & Jia, Shanghui & Meng, Huan
- 309-326 Active or passive portfolio: A tracking error analysis under uncertainty theory
by Yang, Tingting & Huang, Xiaoxia
- 327-341 The role of different information sources in information spread: Evidence from three media channels in China
by Wu, Chunying & Xiong, Xiong & Gao, Ya
- 342-360 Effectiveness of macroprudential policies: Do stringent bank regulation and supervision matter?
by Mirzaei, Ali & Samet, Anis
- 361-383 Risk measure index tracking model
by Sant’Anna, Leonardo Riegel & Righi, Marcelo Brutti & Müller, Fernanda Maria & Guedes, Pablo Cristini
- 384-401 Risk-return trade-off in the Australian Securities Exchange: Accounting for overnight effects, realized higher moments, long-run relations, and fractional cointegration
by Jayawardena, Nirodha I. & Todorova, Neda & Li, Bin & Su, Jen-Je & Gau, Yin-Feng
- 402-417 The heterogeneity of interest-induced MPC: Evidence from mortgage borrowers
by Song, Sang-yoon
- 418-438 The non-monotonic relationship between financial integration and cost efficiency: Evidence from East Asian commercial banks
by Nguyen, Dung Thuy Thi & Diaz-Rainey, Ivan & Roberts, Helen & Le, Minh
- 439-463 Couple-based leadership and default risk: Evidence from China
by Zhao, Weijia & Cui, Xin & Wang, Chunfeng & Wu, Ji (George) & He, Feng
- 464-468 The scope for strategic asymmetry under international rivalry
by Gilbert, John & Koska, Onur A. & Oladi, Reza
- 469-487 Oil price uncertainty, corporate governance and firm performance
by Song, Xinyu & Yang, Baochen
- 488-505 Investment response to exchange rate uncertainty: Evidence from Chinese exporters
by Zeng, Ting & Zhao, Wei & Liu, Zhengning
- 506-525 Foreign investors, private information, and price discovery
by Cai, Jun & Ho, Richard Y.K. & Zhang, Zheng
- 526-551 Global factors and stock market integration
by Qiu, Yue & Ren, Yu & Xie, Tian
- 552-568 Market risk aversion under volatility shifts: An experimental study
by Aragó, V. & Barreda-Tarrazona, I. & Breaban, A. & Matallín, J.C. & Salvador, E.
- 569-585 Corporate economic profits in the euro area: The relevance of cost competitive advantage
by Vallés, Javier & Salas Fumás, Vicente & San Juan, Lucio
- 586-596 Resolution of financial market uncertainty around the release of unemployment rate announcements
by Gu, Chen & Chen, Denghui & Stan, Raluca
- 597-612 Effect of economic policy uncertainty on stock market return and volatility under heterogeneous market characteristics
by Kundu, Srikanta & Paul, Amartya
- 613-623 Oil price shocks and yield curve dynamics in emerging markets
by Cepni, Oguzhan & Gupta, Rangan & Karahan, Cenk C. & Lucey, Brian
- 624-642 Foreign ownership and productivity
by Xu, Jian & Liu, Yu & Abdoh, Hussein
- 643-653 Does city construction improve life quality?-evidence from POI data of China
by Wang, Yang & Zhang, Hong & Liu, Libing
- 654-676 A large-dimensional test for cross-sectional anomalies:Efficient sorting revisited
by De Nard, Gianluca & Zhao, Zhao
- 677-696 Corporate investment and government policy during the COVID-19 crisis
by Hoang, Khanh & Arif, Muhammad & Nguyen, Cuong
- 697-716 Institutional investors’ corporate site visits and dividend payouts
by Yang, Xia & Ma, Zhong
- 717-733 Risky mortgages, credit shocks and cross-border spillovers
by Buesa, Alejandro & De Quinto, Alicia & Población, Javier
- 734-754 Singlehanded or joint race? Stock market volatility prediction
by Lu, Xinjie & Ma, Feng & Wang, Jianqiong & Dong, Dayong
- 755-765 Official inspection, educational threshold and employment goal
by Tan, Wenhao & Wang, Yanping & Guo, Xiuyuan
- 766-778 Impact of Covid-19 containment measures on trade
by de Lucio, Juan & Mínguez, Raúl & Minondo, Asier & Requena, Francisco
- 779-794 Foreign direct investment, capital accumulation, and growth: The rise of the Emerging South
by Demir, Firat & Lee, Sunhyung
- 795-821 Confucian merchants culture, social movement and entrepreneurs’ political participation: evidence from China
by Xiu, Zongfeng & Liu, Ran & Yin, Jingwei
- 822-834 Electoral rivalry and financial campaign contributions: The case of US Congressional elections
by Oladi, Reza & Gilbert, John
- 835-856 Financial institution shareholding and corporate innovation: Evidence from China
by Fan, Rui & Ma, Lijun & Pan, Jianping & Yin, Sirui & Gao, Hao
- 857-881 Online or face-to-face? Competition among MOOC and regular education providers
by Han, Haipeng & Lien, Donald & Lien, Jaimie W. & Zheng, Jie
- 882-905 Internationalization of innovation and firm performance in the pharmaceutical industry
by Zhai, Zhe & Ghosal, Vivek
- 906-937 Orthogonal portfolios to assess estimation risk
by Chavez-Bedoya, Luis & Rosales, Francisco
- 938-952 Supply chain, product pricing, and dynamic capital structure
by Chen, Chang-Chih & Huang, Henry Hongren & Lee, Chun I.
- 953-966 Good oil volatility, bad oil volatility, and stock return predictability
by Xiao, Jihong & Wang, Yudong
- 967-993 Determinants of corporate cash holdings: An application of a robust variable selection technique
by Elyasiani, Elyas & Movaghari, Hadi
- 994-1011 What factors drive Saudi stock markets? – Firm characteristics that attract retail trades
by Alshammari, Saad & Goto, Shingo
- 1012-1024 Does CEO's early life experience affect corporate bond yield spread? Evidence from China's great famine
by Xue, Fei & Wang, Xin & Xie, Yan & Zhang, Weihua
- 1025-1044 Monetary policy uncertainty, debt financing cost and real economic activities: Evidence from China
by Xiang, Jingjie & Li, Li
- 1045-1060 Does bank competition inhibit the formation of zombie firms?
by Zhang, Xiaoqian & Huang, Bin
- 1061-1075 Asset quality, financing structure, and bank regulations
by Gong, Yaxian & Wei, Xu
- 1076-1092 Investor sentiment, credit rating, and stock returns
by Lee, Jong Hwa & Sung, Taeyoon & Seo, Sung Won
- 1093-1109 Designing the anti-money laundering supervisor: The governance of the financial intelligence units
by Bartolozzi, D. & Gara, M. & Marchetti, D.J. & Masciandaro, D.
- 1110-1129 Labor mobility and corporate investment—Evidence from a Quasi-natural experiment in China
by Wu, Ziqi & Xiao, Yi & Zhang, Jian
- 1130-1152 The study of co-movement risk in the context of the Belt and Road Initiative
by Hsu, Ching-Chi & Chien, FengSheng
- 1153-1162 Firm-level financialization: Contributing factors, sources, and economic consequences
by Huang, Bingbing & Cui, Yuying & Chan, Kam C.
- 1163-1179 Liquidity dimensions in the U.S. corporate bond market
by Díaz, Antonio & Escribano, Ana
- 1180-1189 Forecasting Pakistan stock market volatility: Evidence from economic variables and the uncertainty index
by Ghani, Maria & Guo, Qiang & Ma, Feng & Li, Tao
2022, Volume 79, Issue C
- 1-17 Does air quality affect firms’ investment efficiency? Evidence from China
by Jiang, Dequan & Li, Weiping & Shen, Yongjian & Zhang, Ying
- 18-37 Exchange rate dynamics with crash risk and interventions
by Hui, Cho-Hoi & Lo, Chi-Fai & Liu, Chi-Hei
- 38-55 Globalization blueprint and households’ fintech debt: Evidence from China’s One Belt One Road initiative
by Zhang, Yun & Liu, Yun & Zhang, Yifei & Chen, Xin
- 56-74 Bank competition and the price of credit: Evidence using Mexican loan-level data
by Cañón, Carlos & Cortés, Edgar & Guerrero, Rodolfo
- 75-96 Multiple performance criteria for government-controlled firms
by Wang, Kun Tracy & Shailer, Greg
- 97-113 Would the market mechanism cause the formation of overcapacity?: Evidence from Chinese listed firms of manufacturing industry
by Dong, Kaiqiang & Sun, Wei
- 114-134 Financial wealth, investment, and confidence in a DSGE model for China
by Jin, Tao & Kwok, Simon & Zheng, Xin
- 135-153 Does individual auditor quality contribute to firm value? Evidence from the market valuation on corporate cash holdings
by Kuo, Nan-Ting & Li, Shu & Du, Ya-Guang & Lee, Cheng-Few
- 154-168 Determinants of Return-maximizing CEO Equity & Cash compensation
by Pandher, Gurupdesh
- 169-192 Dividend policy, risk and the cross-section of stock returns: Evidence from India
by Ali, Heba & Hegazy, Aya Yasser
- 193-204 Defend or remain quiet? Tax avoidance and the textual characteristics of the MD&A in annual reports
by Zhang, Linlang & Zhang, Zhe & Zhang, Peng & Wang, Xiongyuan
- 205-223 How arbitrage-free is the Nelson–Siegel model under stochastic volatility?
by Takamizawa, Hideyuki
- 224-240 Does the swap-covered interest parity still hold in long-term capital markets after the financial crisis? Evidence from cross-currency basis swaps
by Hattori, Takahiro
- 241-257 The effect of combat exposure on financial problems
by Ackerman, Adam & Porter, Ben
- 258-274 Book-to-market equity and asset correlations—An international study
by Ho, Kung-Cheng & Lee, Shih-Cheng & Chen, Jiun-Lin
- 275-288 Network connectedness dynamics of the yield curve of G7 countries
by Umar, Zaghum & Riaz, Yasir & Aharon, David Y.
- 289-301 On the predictive power of tweet sentiments and attention on bitcoin
by Suardi, Sandy & Rasel, Atiqur Rahman & Liu, Bin
- 302-309 Stock market contagion during the COVID-19 pandemic in emerging economies
by Uddin, Gazi Salah & Yahya, Muhammad & Goswami, Gour Gobinda & Lucey, Brian & Ahmed, Ali
- 310-323 Another look at sources of momentum profits
by Chai, Daniel & Chiah, Mardy & Zhong, Angel & Li, Bob
- 324-339 Son preference, intrahousehold discrimination, and the gender gap in education in China
by Guo, Hao & Hu, Chenxu & Ding, Xiaozhou
- 340-352 Effect of geographical distance between underwriters and listed companies on IPO underpricing: Evidence from China's A-share market
by Wang, Feng & Chai, Wei & Yan, Bin & Shan, Jing & Fan, Wenna
- 353-367 Informed trading in the CDS and OTM put option markets
by Hu, May & Narayan, Paresh & Park, Jason & Verhoeven, Peter
- 368-386 Economic policy uncertainty, financial development, and financial constraints: Evidence from China
by Ma, Huanyu & Hao, Dapeng
- 387-407 A cryptocurrency empirical study focused on evaluating their distribution functions
by López-Martín, Carmen & Arguedas-Sanz, Raquel & Muela, Sonia Benito
- 408-427 Realized moments and the cross-sectional stock returns around earnings announcements
by Wang, Qingxia & Faff, Robert & Zhu, Min
- 428-447 Pricing like things alike: The role of financial statement comparability in bond pricing
by Cao, Shijiao & Wang, Jianqiong & Zhou, Jianan
- 448-465 Openness and government size: Revisiting the relationship using a large cross-country panel
by Ma, Yong & Yao, Chi
- 466-475 Optimal time for the excess of loss reinsurance with fixed costs
by Li, Peng & Zhou, Ming & Yao, Dingjun
- 476-492 Accounting for real exchange rates in emerging economies: The role of commodity prices
by Yépez, Carlos & Dzikpe, Francis
- 493-517 Factor portfolio and target volatility management: An analysis of portfolio performance in the U.S. and China
by Xiong, Haifang & Yang, Gaofei & Wang, Zhiqiang
- 518-539 House price decoupling in East Asia and the Pacific: Trilemma versus dilemma revisited
by Cheng, Ruijie & Rajan, Ramkishen S.
- 540-550 The dispersion of beta estimates and the investors’ heterogeneous Beliefs:Evidence from the stock market in China
by Hong, Jiawei & Yu, Xiaojian & Xiao, Weilin & Zhang, Xili
- 551-564 Zombie firms and corporate savings: Evidence from Chinese manufacturing firms
by Feng, Ling & Lang, Henan & Pei, Tingting
- 565-578 Cross-border mergers and acquisitions, regional cultural diversity and acquirers’ corporate social responsibility: Evidence from China listed companies
by Yang, Na & Zhang, Yuan & Yu, Lu & Wang, Jue & Liu, Xiaming
- 579-598 Financing anomaly, mispricing and cross-sectional return predictability
by Yang, Baochen & Ye, Tao & Ma, Yao
- 599-630 Measuring financial cycles: Empirical evidence for Germany, United Kingdom and United States of America
by Dutra, Tiago Mota & Dias, José Carlos & Teixeira, João C.A.
- 631-642 Monetary policy surprises and investment of non-listed real sector firms in China
by Tang, Huoqing & Zhang, Chengsi & Zhou, Hong
- 643-656 Stringent environmental regulation and capital structure: The effect of NEPL on deleveraging the high polluting firms
by Yang, Jingyi & Shi, Daqian & Yang, Wenbo
- 657-679 Non-linear nexus between economic policy uncertainty and bank lending
by Shabir, Mohsin & Jiang, Ping & Hashmi, Shujahat Haider & Bakhsh, Satar
- 680-693 Fundamental momentum and enhanced fundamental momentum: Evidence from the Chinese stock market
by Tan, Yuanyue & Wang, Zhiqiang & Xiong, Haifang & Liu, Yue
- 694-715 Predicting future exchange rate changes based on interest rates and holding-period returns differentials net of the forward risk premium effects
by Elias, Nikolaos & Smyrnakis, Dimitris & Tzavalis, Elias
2022, Volume 78, Issue C
- 1-22 Institutional distance and China's horizontal outward foreign direct investment
by Wang, Xiaoying & Anwar, Sajid
- 23-37 Trade costs and free trade agreements: Implications for tariff complementarity and welfare
by Yanase, Akihiko & Tsubuku, Masafumi
- 38-50 Overinvestment, ownership structure, and directors' and officers’ liability insurance
by Chiang, Yao-Min & Chang, Pang-Ru
- 51-67 Innovation decisions through firm life cycle: A new evidence from emerging markets
by Shahzad, Farrukh & Ahmad, Munir & Fareed, Zeeshan & Wang, Zhenkun
- 68-80 Does trade cause fear of appreciation?
by Zhang, Hao & Zhu, Jiaqing
- 81-94 Evaluating influential nodes for the Chinese energy stocks based on jump volatility spillover network
by Huang, Chuangxia & Zhao, Xian & Deng, Yunke & Yang, Xiaoguang & Yang, Xin
- 95-121 Role of emerging markets vis-à-vis frontier markets in improving portfolio diversification benefits
by Thomas, Nisha Mary & Kashiramka, Smita & Yadav, Surendra Singh & Paul, Justin
- 122-140 Ownership concentration among entrepreneurial firms: The growth-control trade-off
by Lai, Shaojie & Liang, Hongyan & Liu, Zilong & Pu, Xiaoling & Zhang, Jianing
- 141-152 Measuring volatility persistence in leveraged loan markets in the presence of structural breaks
by Aikins Abakah, Emmanuel Joel & Gil-Alana, Luis A. & Arthur, Emmanuel Kwesi & Tiwari, Aviral Kumar
- 153-176 Growth impact of equity market crises: A global perspective
by Huang, Chai Liang & Chang, Yu Ching
- 177-194 Asymmetric impacts of individual investor sentiment on the time-varying risk-return relation in stock market
by He, Zhifang
- 195-211 The reference dependency of short-term reversal
by Goh, Jihoon & Jeong, Giho & Kang, Jangkoo
- 212-233 Monetary and macroprudential policies, output, prices, and financial stability
by Sui, Jianli & Liu, Biying & Li, Zhigang & Zhang, Chengping
- 234-247 Evaluation of European Deposit Insurance Scheme funding based on risk analysis
by Fernández-Aguado, Pilar Gómez & Martínez, Eduardo Trigo & Ruíz, Rafael Moreno & Ureña, Antonio Partal
- 248-266 Does political corruption affect mergers and acquisitions decisions? Evidence from China
by Yang, Hao & Zhang, Qiusheng & Zhao, Xiaofang & Wang, Zhongchao
- 267-285 Information spillover effects from media coverage to the crude oil, gold, and Bitcoin markets during the COVID-19 pandemic: Evidence from the time and frequency domains
by Zhang, Hongwei & Hong, Huojun & Guo, Yaoqi & Yang, Cai
- 286-308 Economic policy uncertainty and acquisition performance: Australian evidence
by Shams, Syed & Gunaskerage, Abeyratna & Velayutham, Eswaran
- 309-320 Credit ratings of Chinese households using factor scores and K-means clustering method
by Dang, Chao & Chen, Xinyang & Yu, Shengjie & Chen, Rongda & Yang, Yifan
- 321-337 Who is financing corporate green innovation?
by Xiang, Xiaojian & Liu, Chuanjiang & Yang, Mian
- 338-354 Social capital and CEO involuntary turnover
by Zhang, Mingming & Tao, Qizhi & Shen, Fei & Li, Ziyang
- 355-376 CEO option incentives and corporate share repurchases
by Cook, Douglas O. & Zhang, Weiwei
- 377-389 The impact of the send-down experience on the health of elderly Chinese women: Evidence from the China family panel studies
by Liang, Yu & Dong, Jing
- 390-403 The influence of contextual and household factors on multidimensional poverty in rural Vietnam: A multilevel regression analysis
by Tran, Tuyen Quang & Thi Nguyen, Hoai Thu & Hoang, Quang Ngoc & Van Nguyen, Dinh
- 404-417 Complex causalities between the carbon market and the stock markets for energy intensive industries in China
by Sun, Xiaotian & Fang, Wei & Gao, Xiangyun & An, Haizhong & Liu, Siyao & Wu, Tao
- 418-432 Information content of order imbalance in the index options market
by Sensoy, Ahmet & Omole, John
- 433-445 Do oil prices and economic policy uncertainty matter for precious metal returns? New insights from a TVP-VAR framework
by Huang, Jianbai & Dong, Xuesong & Chen, Jinyu & Zhong, Meirui
- 446-456 ESG scores and the response of the S&P 1500 to monetary and fiscal policy during the Covid-19 pandemic
by Gregory, Richard Paul
- 457-482 Monetary policy uncertainty and stock returns in G7 and BRICS countries: A quantile-on-quantile approach
by Wen, Fenghua & Shui, Aojie & Cheng, Yuxiang & Gong, Xu
- 483-500 Firm centrality and limited attention
by Bozok, İhsan & Özyıldırım, Süheyla
- 501-518 Liquidity commonality in sovereign bond markets
by Richter, Thomas Julian
- 519-539 What threatens stock markets more - The coronavirus or the hype around it?
by Nepp, Alexander & Okhrin, Ostap & Egorova, Julia & Dzhuraeva, Zarnigor & Zykov, Alexander
- 540-553 Can the E-commercialization improve residents’ income? --Evidence from “Taobao Counties” in China
by Tang, Ke & Xiong, Qiaoqin & Zhang, Fengyu
- 554-571 Diversity of signing auditors and audit quality: Evidence from capital market in China
by Athavale, Manoj & Guo, Zhaorui & Meng, Yun & Zhang, Tianshu
- 572-596 Venture capital staging under economic policy uncertainty
by Huang, Ying Sophie & Wu, Jiajia & Guo, Feng
- 597-604 Herding in the Chinese and US stock markets: Evidence from a micro-founded approach
by Chen, Zhenxi & Zheng, Huanhuan
- 605-628 Managerial risk-taking incentives and cash holding in U.S. firms: Evidence from FAS 123R
by Canil, Jean & Karpavičius, Sigitas
- 629-642 Volatility spillovers between fine wine and major global markets during COVID-19: A portfolio hedging strategy for investors
by Samitas, Aristeidis & Papathanasiou, Spyros & Koutsokostas, Drosos & Kampouris, Elias
- 643-659 Stock dividend and analyst optimistic bias in earnings forecast
by Huang, Lixin & Li, Wei & Wang, Hong & Wu, Liansheng
- 660-675 Informal we stand? The role of social progress around the world
by Medda, Tiziana & Palmisano, Flaviana & Sacchi, Agnese
2022, Volume 77, Issue C
- 1-13 Dynamic rebalancing portfolio models with analyses of investor sentiment
by Yu, Jing-Rung & Chiou, W. Paul & Hung, Cing-Hung & Dong, Wen-Kuei & Chang, Yi-Hsuan
- 14-24 Corporate social responsibility, entry and optimal privatization in an international mixed market
by Zhang, Qidi & Wang, Leonard F.S.
- 25-38 Does stock market liberalization reduce stock price synchronicity? —Evidence from the Shanghai-Hong Kong Stock Connect
by Li, Qinyang & Liu, Xiangqiang & Chen, Jing & Wang, Huaixin
- 39-58 The impact of clean energy consumption on economic growth in China: Is environmental regulation a curse or a blessing?
by Wang, En-Ze & Lee, Chien-Chiang
- 59-77 Industry-level media tone and the cross-section of stock returns
by Huang, Tao & Zhang, Xueyong
- 78-96 Economic policy uncertainty and firm innovation: Evidence from a risk-taking perspective
by Lou, Zhukun & Chen, Siyu & Yin, Wenwei & Zhang, Chuan & Yu, Xiaoyu
- 97-122 Risk-premium shocks and the prudent exchange rate policy
by Ali, Syed Zahid & Anwar, Sajid
- 123-134 Prior banking relationships and long-term IPO performance
by Chan, Kam C. & Li, Guangzi
- 135-142 The impact of internet on entrepreneurship
by Tan, Ying & Li, Xiaoying
- 143-158 Intellectual property rights protection and export product quality: Evidence from China
by Dong, Baomin & Guo, Yibei & Hu, Xiaotian
- 159-169 Canadian stock market volatility under COVID-19
by Xu, Dinghai
- 170-178 International diffusion of knowledge labor productivity and catching up between North and South
by Hamrouni, Daghbagi
- 179-190 Geopolitical risks and historical exchange rate volatility of the BRICS
by Salisu, Afees A. & Cuñado, Juncal & Gupta, Rangan
- 191-205 Economic growth and happiness in China: A Bayesian multilevel age-period-cohort analysis based on the CGSS data 2005–2015
by Su, Yu-Sung & Lien, Donald & Yao, Yuling
- 206-221 Time-varying geopolitical risk and oil prices
by Ivanovski, Kris & Hailemariam, Abebe