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Content
2020, Volume 69, Issue C
- 1056-1070 Political connection and the walking dead: Evidence from China's privately owned firms
by He, Qing & Li, Xiaoyang & Zhu, Wenyu
- 1071-1081 Two-child policy, gender income and fertility choice in China
by Liu, Jun & Liu, Taoxiong
- 1082-1094 An alternative explanation for high saving in China: Rising inequality
by Gu, Xinhua & Tam, Pui Sun & Li, Guoqiang & Zhao, Qingbin
- 1095-1105 News and return volatility of Chinese bank stocks
by Ho, Kin-Yip & Shi, Yanlin & Zhang, Zhaoyong
- 1106-1116 Financialization and sluggish fixed investment in Chinese real sector firms
by Shu, Jiaxian & Zhang, Chengsi & Zheng, Ning
- 1117-1131 Does US partisan conflict affect US–China bilateral trade?
by Jiang, Xiandeng & Shi, Yanlin
- 1132-1151 Financial development, energy consumption and China's economic growth: New evidence from provincial panel data
by Hao, Yu & Wang, Ling-Ou & Lee, Chien-Chiang
2020, Volume 68, Issue C
- 1-14 Asymmetric volatility spillover between European equity and foreign exchange markets: Evidence from the frequency domain
by Warshaw, Evan
- 15-32 Composite hedge and utility maximization for optimal futures hedging
by Cui, Yan & Feng, Yun
- 33-46 Risk dependence between energy corporations: A text-based measurement approach
by Li, Jingyu & Li, Jianping & Zhu, Xiaoqian
- 47-58 Movements in international bond markets: The role of oil prices
by Nazlioglu, Saban & Gupta, Rangan & Bouri, Elie
- 59-73 Employee downsizing, financial constraints, and production efficiency of firms
by Kao, Chun-Lin & Chen, Ming-Yuan
- 74-89 Noise trading, institutional trading, and opinion divergence: Evidence on intraday data in the Chinese stock market
by Hu, Yingyi & Zhao, Tiao & Zhang, Lin
- 90-104 Are SEO investors misled by analyst optimism bias? Evidence from investor bids in SEO auctions
by Sun, Qian & Cheng, Xiaoke & Gao, Shenghao & Yang, Mingjing
- 105-130 Spillover of sentiment in the European Union: Evidence from time- and frequency-domains
by Plakandaras, Vasilios & Tiwari, Aviral Kumar & Gupta, Rangan & Ji, Qiang
- 131-149 A study of the differences among representative investment strategies
by Huang, Hong-Chih & Lee, Yung-Tsung
- 150-166 Precautionary motives for private firms’ cash holdings
by Potì, Valerio & Pattitoni, Pierpaolo & Petracci, Barbara
- 167-179 Dynamic linkages between international oil price, plastic stock index and recycle plastic markets in China
by Gu, Fu & Wang, Jiqiang & Guo, Jianfeng & Fan, Ying
- 180-203 Innovation or dividend payout: Evidence from China
by Yang, Bao & Chou, Hsin-I. & Zhao, Jing
- 204-216 Credit rating of online lending borrowers using recovery rates
by Chen, Rongda & Chen, Xinhao & Jin, Chenglu & Chen, Yiyang & Chen, Jiayi
- 217-238 Financial stress dynamics in China: An interconnectedness perspective
by Yao, Xiaoyang & Le, Wei & Sun, Xiaolei & Li, Jianping
- 239-253 The impact of block trades on stock price synchronicity: Evidence from China
by Meng, Qingbin & Song, Xuan & Liu, Chunlin & Wu, Qun & Zeng, Hongchao
- 254-268 Does the risk on banks’ balance sheets predict banking crises? New evidence for developing countries
by de Haan, Jakob & Fang, Yi & Jing, Zhongbo
- 269-280 Lead-lag relationship between spot and futures stock indexes: Intraday data and regime-switching models
by Alemany, Nuria & Aragó, Vicent & Salvador, Enrique
2020, Volume 67, Issue C
- 1-12 How trade credit affects mergers and acquisitions
by Hu, May & Mou, Jiayi & Tuilautala, Mataiasi
- 13-24 How did order-flow impact bond prices during the European Sovereign Debt Crisis?
by Lin, Zhongguo & Hamill, Philip A. & Li, Youwei & Sun, Zhuowei & Waterworth, James
- 25-41 Modeling unbiased extreme value volatility estimator in presence of heterogeneity and jumps: A study with economic significance analysis
by Zargar, Faisal Nazir & Kumar, Dilip
- 42-54 The empirical relation between loan risk and collateral in the shadow banking system: Evidence from China’s entrusted loan market
by Fang, Sheng & Qian, Xuesong & Zou, Wei
- 55-65 Does education exchange matters?-evidence from education cooperation effects on OFDI
by Wang, Yang
- 66-84 Do bond markets find inflation targets credible? Evidence from five inflation-targeting countries
by Kim, Young Min & Kang, Kyu Ho & Ka, Kook
- 85-100 Who affects who? Oil price against the stock return of oil-related companies: Evidence from the U.S. and China
by Lv, Xin & Lien, Donald & Yu, Chang
- 101-117 Efficiency, diversification, and performance of US banks
by Khan, Abu & Hassan, M. Kabir & Maroney, Neal & Boujlil, Rhada & Ozkan, Bora
- 118-132 Dependency, centrality and dynamic networks for international commodity futures prices
by Wu, Fei & Zhao, Wan-Li & Ji, Qiang & Zhang, Dayong
- 133-147 Mapping the oil price-stock market nexus researches: A scientometric review
by Lin, Boqiang & Su, Tong
- 148-162 The impact of Japan’s stewardship code on shareholder voting
by Tsukioka, Yasutomo
- 163-175 Exploring the risk spillover effects between carbon market and electricity market: A bidimensional empirical mode decomposition based conditional value at risk approach
by Zhu, Bangzhu & Huang, Liqing & Yuan, Lili & Ye, Shunxin & Wang, Ping
- 176-188 Firm’s outward foreign direct investment and efficiency loss of factor price distortion: Evidence from Chinese firms
by Cheng, Hua & Wang, Ziqi & Peng, Dan & Kong, Qunxi
- 189-206 Analyzing the elasticity and subsidy to reform the residential electricity tariffs in China
by Lin, Boqiang & Wang, Yao
- 207-224 Do multiple large shareholders affect tax avoidance? Evidence from China
by Ouyang, Caiyue & Xiong, Jiacai & Huang, Kun
- 225-239 How does economic policy uncertainty affect corporate Innovation?–Evidence from China listed companies
by He, Feng & Ma, Yaming & Zhang, Xiaojie
- 240-266 The foreign exchange and stock market nexus: New international evidence
by Xie, Zixiong & Chen, Shyh-Wei & Wu, An-Chi
- 267-287 Air pollution, individual investors, and stock pricing in China
by Wu, Qinin & Lu, Jing
- 288-302 Asset price bubbles in a monetary union: Mind the convergence gap
by Czerniak, Adam & Borowski, Jakub & Boratyński, Jakub & Rosati, Dariusz
- 303-322 How do sovereign wealth funds pay their portfolio companies’ executives? Evidence from Kuwait
by Alhashel, Bader S. & Albader, Sulaiman H.
- 323-345 Tunneling through allies: Affiliated shareholders, insider trading, and monitoring failure
by Cheng, Minying & Liu, Jun & Zhang, Longwen
- 346-361 Funds of hedge funds: Are they really the high society for little guys?
by Cui, Wei & Yao, Juan
- 362-377 Does debt diversification impact firm value? Evidence from India
by Jadiyappa, Nemiraja & Hickman, L. Emily & Jyothi, Pavana & Vunyale, Narender & Sireesha, Bhanu
- 378-392 Bank capital, financial stability and Basel regulation in a low interest-rate environment
by Rubio, Margarita & Yao, Fang
- 393-407 Financial or strategic buyers: Who is at the gate?
by Chiarella, Carlo & Ostinelli, Diego
- 408-419 Trust and trusting behavior in financial institutions: Evidence from South Korea
by Park, Na Young
2020, Volume 66, Issue C
- 1-12 Forecasting oil price volatility using high-frequency data: New evidence
by Chen, Wang & Ma, Feng & Wei, Yu & Liu, Jing
- 13-24 Accounting for horizontal inequity in the delivery of health care: A framework for measurement and decomposition
by Zhao, Guangchuan & Cao, Xinbang & Ma, Chao
- 25-50 Whose trades move stock prices? Evidence from the Taiwan Stock Exchange
by Lien, Donald & Hung, Pi-Hsia & Lin, Zong-Wei
- 51-70 Measuring Chinese consumers’ perceived uncertainty
by Lee, Kiryoung & Jeon, Yoontae
- 71-91 Valuation and empirical analysis of currency options
by Chuang, Ming-Che & Wen, Chin-Hsiang & Lin, Shih-Kuei
- 92-117 The hedging effectiveness of global sectors in emerging and developed stock markets
by Jin, Jiayu & Han, Liyan & Wu, Lei & Zeng, Hongchao
- 118-130 Portfolio models with return forecasting and transaction costs
by Yu, Jing-Rung & Paul Chiou, Wan-Jiun & Lee, Wen-Yi & Lin, Shun-Ji
- 131-153 Dynamic impacts of crude oil price on Chinese investor sentiment: Nonlinear causality and time-varying effect
by He, Zhifang
- 154-165 Knowledge structure of technology licensing based on co-keywords network: A review and future directions
by Li, Qing & Zhang, Huaige & Hong, Xianpei
- 166-188 Volatility and skewness spillover between stock index and stock index futures markets during a crash period: New evidence from China
by Hou, Yang (Greg) & Li, Steven
- 189-205 Financial inclusion, financial innovation, and firms’ sales growth
by Lee, Chien-Chiang & Wang, Chih-Wei & Ho, Shan-Ju
- 206-227 Hedge fund activism and analyst uncertainty
by Flugum, Ryan & Howe, John S.
- 228-243 Firm’s quality increases and the cross-section of stock returns: Evidence from China
by Yin, Libo & Liao, Huiyi
- 244-260 Directorate interlocks and corporate cash holdings in emerging economies: Evidence from China
by Li, Xiaoqing & Fung, Anna & Fung, Hung-Gay & Qiao, Penghao
- 261-278 Is bitcoin a channel of capital inflow? Evidence from carry trade activity
by Cheng, Jiameng & Dai, Yanke
- 279-290 Relative earnings and firm performance: Evidence from publicly-listed firms in China, 2005–2012
by Bai, Peiwen & Cheng, Wenli
- 291-307 Downside uncertainty shocks in the oil and gold markets
by Roh, Tai-Yong & Byun, Suk Joon & Xu, Yahua
2020, Volume 65, Issue C
- 1-16 Stock flow adjustments in sovereign debt dynamics: The role of fiscal frameworks
by Afonso, António & Jalles, João Tovar
- 17-31 Corporate philanthropy and corporate misconduct: Evidence from China
by Chen, Jun & Dong, Wang & Tong, Yixing & Zhang, Feida
- 32-45 Perceived problems with collateral: The value of informal networking
by Naegels, Vanessa & D’Espallier, Bert & Mori, Neema
- 46-68 Mortgage asymmetric pricing, cash rate and international funding cost: Australian evidence
by Holland, Quynh Chau Pham & Liu, Benjamin & Roca, Eduardo & Salisu, Afees A.
- 69-83 Corporate future investments and stock liquidity: Evidence from emerging markets
by Alhassan, Abdulrahman & Naka, Atsuyuki
- 84-93 Can we still blame index funds for the price movements in the agricultural commodities market?
by Palazzi, Rafael Baptista & Figueiredo Pinto, Antonio Carlos & Klotzle, Marcelo Cabus & De Oliveira, Erick Meira
- 94-104 Financial crisis, bank diversification, and financial stability: OECD countries
by Kim, Hakkon & Batten, Jonathan A. & Ryu, Doojin
- 105-125 Variance risk premium in a small open economy with volatile capital flows: The case of Korea
by Yun, Jaeho
- 126-145 Perceived uncertainty as a key driver of household saving
by Levenko, Natalia
- 146-162 How do firm characteristics affect the corporate income tax revenue?
by Menichini, Amilcar A.
- 163-172 Investment and financing for SMEs with bank-tax interaction and public-private partnerships
by Luo, Pengfei & Song, Dandan & Chen, Biao
- 173-186 The risk spillovers from the Chinese stock market to major East Asian stock markets: A MSGARCH-EVT-copula approach
by Xiao, Yang
- 187-198 Analyzing slowdown and meltdowns in the African countries: New evidence using Fourier quantile unit root test
by Lee, Yi-Lung & Ranjbar, Omid & Jahangard, Fateme & Chang, Tsangyao
- 199-221 A new mechanism for anticipating price exuberance
by Moreira, Afonso M. & Martins, Luis F.
- 222-243 Shareholder wealth effects of corporate fraud: Evidence from Taiwan’s securities investor and futures trader protection act
by Lin, Hsien-Ping & Walker, M. Mark & Wang, Yung-Jang
2019, Volume 64, Issue C
- 1-8 Foreign aid, human capital acquisition and educated Unemployment:Fish or fishing
by Liu, Xiangbo & Fan, Hua & Chao, Chi-Chur & Yu, Eden S.H.
- 9-28 A futures pricing model with long-term and short-term traders
by Gao, Bin & Xie, Jun & Jia, Yun
- 29-40 Goodness of governance effect on European banking efficiency
by Pérez-Cárceles, María Concepción & Gómez-García, Juan & Gómez Gallego, Juan Cándido
- 41-61 Asset prices with stochastic volatilities and a UIP puzzle
by Lee, Eunhee
- 62-83 Transmission of uncertainty shocks: Learning from heterogeneous responses on a panel of EU countries
by Claeys, Peter & Vašíček, Bořek
- 84-101 Market structure, performance, and efficiency: Evidence from the MENA banking sector
by González, Luis Otero & Razia, Alaa & Búa, Milagros Vivel & Sestayo, Rubén Lado
- 102-121 The economic sources of China's CSI 300 spot and futures volatilities before and after the 2015 stock market crisis
by Chen, Qiang & Gong, Yuting
- 122-146 The dynamics of finance-growth nexus in advanced economies
by Swamy, Vighneswara & Dharani, Munusamy
- 147-164 How does the Chinese economy react to uncertainty in international crude oil prices?
by Cheng, Dong & Shi, Xunpeng & Yu, Jian & Zhang, Dayong
- 165-175 Do stock markets follow a random walk? New evidence for an old question
by Durusu-Ciftci, Dilek & Ispir, M. Serdar & Kok, Dundar
- 176-194 Effectiveness of capital account regulation: Lessons from Brazil and Peru
by Aguirre, Pablo & Alonso, José Antonio & Jerez, Miguel
- 195-216 Financialization and commodity excess spillovers
by Liu, Lu & Zhang, Xiang
- 217-241 Global inflation dynamics and inflation expectations
by Feldkircher, Martin & Siklos, Pierre L.
- 242-270 Ambiguity and capital structure adjustments
by Ban, Mingyuan & Chen, Chang-Chih
- 271-289 Is CEO pay disparity relevant to seasoned bondholders?
by Huang, Guan-Ying & Huang, Henry H. & Lee, Chun I
- 290-307 Financial systemic risk measurement based on causal network connectedness analysis
by Gong, Xiao-Li & Liu, Xi-Hua & Xiong, Xiong & Zhang, Wei
- 308-322 Bank regulation and efficiency: Evidence from transition countries
by Djalilov, Khurshid & Piesse, Jenifer
- 323-342 Does analyst information influence the cost of debt? Some international evidence
by Ferrer, Elena & Santamaría, Rafael & Suárez, Nuria
- 343-358 Carry trades, agent heterogeneity and the exchange rate
by Li, Xiao-Ping & Zhou, Chun-Yang & Tong, Bin
- 359-376 Comprehensive performance evaluation of banking branches: A three-stage slacks-based measure (SBM) data envelopment analysis
by Mahmoudabadi, Mohammad Zarei & Emrouznejad, Ali
- 377-392 The effects of economic policy uncertainty on outward foreign direct investment
by Hsieh, Hui-Ching & Boarelli, Sofia & Vu, Thi Huyen Chi
- 393-411 Board gender diversity and the technical efficiency of microfinance institutions: Does size matter?
by Adusei, Michael
- 412-426 Volatility information trading in the index options market: An intraday analysis
by Yang, Heejin & Kutan, Ali M. & Ryu, Doojin
- 427-442 Women on boards, firm risk and the profitability nexus: Does gender diversity moderate the risk and return relationship?
by Nadeem, Muhammad & Suleman, Tahir & Ahmed, Ammad
- 443-464 Swarm intelligence? Stock opinions of the crowd and stock returns
by Breitmayer, Bastian & Massari, Filippo & Pelster, Matthias
- 465-475 The cost of speaking in two tongues
by Xing, Cunyu & Li, Yanglei
- 476-492 A re-evaluation of the term spread as a leading indicator
by Plakandaras, Vasilios & Gogas, Periklis & Papadimitriou, Theophilos & Gupta, Rangan
- 493-512 The interaction of quantity and quality of finance: Did it make industries more resilient to the recent global financial crisis?
by Mirzaei, Ali & Grosse, Robert
- 513-528 What is the real relationship between cash holdings and stock returns?
by Chuan ‘Chewie’ Ang, Tze & Lam, F.Y. Eric C. & Ma, Tai & Wang, Shujing & Wei, K.C. John
- 529-540 Can export tax rebate alleviate financial constraint to increase firm productivity? Evidence from China
by Zhang, Dongyang
- 541-556 Comovement and disintegration of EU sovereign bond markets during the crisis
by Vácha, Lukáš & Šmolík, Filip & Baxa, Jaromír
- 557-571 Price discovery in the price disagreement between equity and option markets: Evidence from SSE ETF50 options of China
by Liu, Dehong & Qiu, Qi & Hughen, J. Christopher & Lung, Peter
- 572-585 Trading hours extension and intraday price behavior
by Miwa, Kotaro
- 586-599 Idiosyncratic risk, managerial discretion and capital structure
by Gan, Liu & Xia, Xin
- 600-611 Financial development and the composition of government expenditure: Theory and cross-country evidence
by Chen, Zhigang & Lv, Bingyang & Liu, Yongzheng
- 612-624 An analytical measure of market underreaction to earnings news
by Chung, Kee H. & Kim, Oliver & Lim, Steve C. & Yang, Sean
- 625-640 The information content of realized volatility of sector indices in China’s stock market
by Lin, Tiantian & Liu, Dehong & Zhang, Lili & Lung, Peter
- 641-656 Legal systems and the financing of working capital
by Troilo, Michael & Walkup, Brian R. & Abe, Masato & Lee, Seulki
2019, Volume 63, Issue C
- 4-23 Does quasi-mandatory dividend rule restrain overinvestment?
by Wei, Xiaoquan & Wang, Chunfei & Guo, Yunnan
- 24-36 Motives for corporate philanthropy propensity: Does short selling matter?
by Hou, Deshuai & Meng, Qingbin & Zhang, Kai & Chan, Kam C.
- 37-60 The impact of analyst coverage on partial acquisitions: Evidence from M&A premium and firm performance in China
by Li, Ying & Lu, Miao & Lo, Y. Ling
- 61-75 CEO media exposure, political connection and Chinese firms' stock price synchronicity
by Li, Xiaoqing & Qiao, Penghua & Zhao, Lin
- 76-93 The impact of corporate social responsibility on financial constraints: Does the life cycle stage of a firm matter?
by Zhao, Tianjiao & Xiao, Xiang
- 94-110 Do political connections enhance or impede corporate innovation?
by Su, Zhong-qin & Xiao, Zuoping & Yu, Lin
- 111-127 The anchoring effect of underwriters' proposed price ranges on institutional investors' bid prices in IPO auctions: Evidence from China
by Gao, Shenghao & Cao, Feng & Fok, Robert (Chi-Wing)
- 128-137 Political connection and stock returns: Evidence from party alternation in Taiwan
by Lee, Jen-Sin & Yen, Pi-Hsia & Lee, Liang-Chien
- 138-151 Risk disclosure in annual reports and corporate investment efficiency
by Li, Yanqiong & He, Jie & Xiao, Min
- 152-162 How does customer concentration affect informal financing?
by Peng, Xuan & Wang, XiongYuan & Yan, Lina
- 163-175 CEO effects on the IPO market under different policy regimes: Evidence from the Chinese SME board
by Ge, Yuanjing & Guo, Haifeng & Fung, Hung-Gay & Guang, Kuncheng
- 176-197 Effects of shadow banking on bank risks from the view of capital adequacy
by Wu, Meng-Wen & Shen, Chung Hua
- 198-208 How does analyst forecast dispersion affect SEO discounts in uniform-price auction system? Evidence from investor bids in China
by Yang, Mingjing & Cheng, Xiaoke & Sun, Qian & Lu, Chao
- 209-225 Independent director connectedness in China: An examination of the trade credit financing hypothesis
by Xia, Changyuan & Zhang, Xiaowei & Cao, Chunfang & Xu, Nan
- 226-239 Do insiders share pledging affect executive pay-for-performance sensitivity?
by Ouyang, Caiyue & Xiong, Jiacai & Fan, Lyu
- 240-252 Local corruption and stock price crash risk: Evidence from China
by Cao, Peng & Qin, Lu & Zhu, Hongquan
- 253-272 What role does the investor-paid rating agency play in China? Competitor or information provider
by Huang, Yu-Li & Shen, Chung-Hua
- 273-283 The impact of government property right law on collateral loans: A quasi-natural experiment based on the enactment of Chinese property law
by Zeng, Jing & Wang, Xiongyuan & Xiao, Min
- 284-296 The power of sharing: Evidence from institutional investor cross-ownership and corporate innovation
by Gao, Kaijuan & Shen, Hanxiao & Gao, Xi & Chan, Kam C.
- 297-312 Is the squeaky wheel getting the grease? Earnings management and government subsidies
by Zhao, Yujie & Zhou, Donghua & Zhao, Kangsheng & Zhou, Ping
- 313-328 Portfolio rebalancing behavior with operating losses and investment regulation
by Boyer, M. Martin & Cowins, Elicia P. & Reddic, Willie D.
- 329-338 Determinants of sector of holders international equity holdings
by Balli, Faruk & Balli, Hatice Ozer & Basher, Syed Abul & Karimova, Amira & Wang, Aihua
- 339-363 Bandwagon effect: Special dividend payments
by Hu, May & Tuilautala, Mataiasi & Kang, Yuni
- 364-381 Trade and financial channels as the transmission mechanism of the financial crisis
by Shikimi, Masayo & Yamada, Kazuo
- 382-396 Import competition and financial flexibility: Evidence from corporate payout policy
by Booth, Laurence & Wang, Mengying & Zhou, Jun
- 397-411 The performance of technical trading rules in Socially Responsible Investments
by Urquhart, Andrew & Zhang, Hanxiong
- 412-422 Inflation of home appraisal values and the access to mortgage loans of credit constrained borrowers
by Diaz-Serrano, Luis
- 423-433 Earnings management and convertible preferred stock calls
by Omar, Ayishat & Tang, Alex P.
- 434-454 Female CFOs and corporate cash holdings: Precautionary motive or agency motive?
by Xu, Xixiong & Li, Wanli & Li, Yaoqin & Liu, Xing
2019, Volume 62, Issue C
- 1-19 Predicting corporate bankruptcy: What matters?
by Li, Leon & Faff, Robert
- 20-40 Asymmetric jump beta estimation with implications for portfolio risk management
by Alexeev, Vitali & Urga, Giovanni & Yao, Wenying
- 41-52 Are Chinese and international oil markets integrated?
by Zhang, Bing
- 53-65 Asset price effects of peer benchmarking: Evidence from a natural experiment
by Pedraza, Alvaro & Pulga, Fredy
- 66-78 Financial reforms and corruption: Evidence using GMM estimation
by Jha, Chandan Kumar
- 79-86 Assessing the effects of disruptive events on technology firms using non-negative matrix factorization
by Pineiro-Chousa, Juan & Vizcaíno-González, Marcos & Ribeiro-Navarrete, Belén
- 87-105 Momentum or contrarian trading strategy: Which one works better in the Chinese stock market
by Yu, Lin & Fung, Hung-Gay & Leung, Wai Kin
- 106-120 Nash equilibrium in tax and public investment competition
by Sharma, Ajay & Pal, Rupayan
- 121-130 Mixed oligopoly with state holding corporations and consumer-friendly firm
by Dong, Quan & Wang, Leonard F.S.
- 131-152 Risk shifting consequences depending on manager characteristics
by Andreu, Laura & Sarto, José Luis & Serrano, Miguel
- 153-159 Dynamic responses of real output to financial spreads
by Huang, Yu-Fan
- 160-179 The ‘smart money effect’ among socially responsible mutual fund investors
by Muñoz, Fernando
- 180-195 Do the intellectual property rights of regional trading arrangements impact foreign direct investment? An empirical examination
by Ghosh, Sucharita & Yamarik, Steven
- 196-212 It's not austerity. Or is it? Assessing the effect of austerity on growth in the European Union, 2010-15
by Fragetta, Matteo & Tamborini, Roberto
- 213-229 State interventions to rescue banks during the global financial crisis
by Abreu, José Filipe & Alves, Marta Guerra & Gulamhussen, Mohamed Azzim
- 230-239 Licensing, entry, and privatization
by Wang, Leonard F.S. & Zeng, Chenhang
- 240-266 Forward-looking information on growth and uncertainty implied by derivative securities: Evidence from an emerging market
by Yen, Yu-Min
- 267-286 Predictive power of dividend yields and interest rates for stock returns in South Asia: Evidence from a bias-corrected estimator
by Rahman, Md Lutfur & Shamsuddin, Abul & Lee, Doowon
- 287-308 External growth opportunities and a firm's financing policy
by Karpavičius, Sigitas & Yu, Fan
- 309-320 Asymmetric relationship between order imbalance and realized volatility: Evidence from the Australian market
by Bissoondoyal-Bheenick, Emawtee & Brooks, Robert & Do, Hung Xuan
- 321-331 Foreign direct investment and credit market reform in a developing economy: Could these be alternative policies?
by Chaudhuri, Sarbajit & Chaudhuri, Salonkara
- 332-354 Patent protection and R&D subsidy under asymmetric information
by Jeon, Haejun
- 355-378 Asset correlation and bank capital regulation: A macroprudential perspective
by Suh, Sangwon
2019, Volume 61, Issue C
- 1-16 Financial development, inequality, and poverty: Some international evidence
by Zhang, Ruixin & Ben Naceur, Sami
- 17-34 Does underwriter rating matter? Evidence from seasoned equity offerings in an emerging market
by Wang, Xiongyuan & Zhang, Linlang & Chan, Kam C. & He, Jie
- 35-51 Cash holding and over-investment behavior in firms with problem directors
by Bhuiyan, Md Borhan Uddin & Hooks, Jill
- 52-68 A dynamic network DEA model for accounting and financial indicators: A case of efficiency in MENA banking
by Wanke, Peter & Abul Kalam Azad, Md & Emrouznejad, Ali & Antunes, Jorge
- 69-90 How do regulatory ability and bank competition affect the adoption of explicit deposit insurance scheme and banks’ risk-taking behavior?
by Qian, Ningyu & Zhang, Kezhong & Zheng, Changjun & Ashraf, Badar Nadeem
- 91-107 The role of real options in the takeover premia in mergers and acquisitions
by Barbopoulos, Leonidas G. & Cheng, Louis T.W. & Cheng, Yi & Marshall, Andrew
- 108-127 A theory of political connections and financial outcomes
by O'Connor Keefe, Michael
- 128-140 Financial conditions and economic growth
by Inekwe, John Nkwoma & Jin, Yi & Valenzuela, Maria Rebecca
- 141-155 Does trade credit alleviate stock price synchronicity? Evidence from China
by Liu, Huan & Hou, Canran
- 156-169 The time-varying spillover effect between WTI crude oil futures returns and hedge funds
by Zhang, Yue-Jun & Wu, Yao-Bin
- 170-178 Long-term interest rates in Europe: A fractional cointegration analysis
by Caporale, Guglielmo Maria & Gil-Alana, Luis A.
- 179-187 Short selling restrictions and index futures pricing: Evidence from China
by Lepone, Andrew & Wen, Jun & Wong, Jin Boon & Yang, Jin Young
- 188-212 Bayesian return forecasts using realised range and asymmetric CARR model with various distribution assumptions
by Chan, Jennifer So-Kuen & Ng, Kok-Haur & Ragell, Rachel
- 213-227 Peer effects on corporate cash holdings
by Chen, Yi-Wen & Chan, Konan & Chang, Yuanchen
- 228-240 Dynamics of deterioration in internal control reported under SOX 404
by Chen, Chunhua & Li, Tianze & Shao, Ruiqing & Zheng, Steven Xiaofan
- 241-259 A sectoral analysis of asymmetric nexus between oil price and stock returns
by Salisu, Afees A. & Raheem, Ibrahim D. & Ndako, Umar B.
- 260-269 Insecure resources, rent seeking, and wage inequality
by Pi, Jiancai & Fan, Yanwei
- 270-288 Oil prices, stock markets and firm performance: Evidence from Europe
by Bagirov, Miramir & Mateus, Cesario
- 289-303 Central bank losses and monetary policy rules: A DSGE investigation
by Benchimol, Jonathan & Fourçans, André
- 304-323 Predicting failure in the U.S. banking sector: An extreme gradient boosting approach
by Carmona, Pedro & Climent, Francisco & Momparler, Alexandre
- 324-336 A fuzzy-set analysis of conditions influencing mutual fund performance
by Graham, J. Edward & Lassala, Carlos & Ribeiro-Navarrete, Belén
- 337-346 Stability in mutual fund performance rankings: A new proposal
by Grau-Carles, Pilar & Doncel, Luis Miguel & Sainz, Jorge
- 347-354 Stress test impact and bank risk profile: Evidence from macro stress testing in Europe
by Gambetta, Nicolás & García-Benau, María Antonia & Zorio-Grima, Ana
- 355-367 Economic resilience and social capital of the Italian region
by Sabatino, Michele
2019, Volume 60, Issue C