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Content
2017, Volume 42, Issue C
- 900-911 Corporate risk-taking, returns and the nature of major shareholders: Evidence from prospect theory
by Díez-Esteban, José María & García-Gómez, Conrado Diego & López-Iturriaga, Félix Javier & Santamaría-Mariscal, Marcos
- 912-921 Evidences for a structural change in the oil market before a financial crisis: The flat horizon effect
by Chiarucci, Riccardo & Loffredo, Maria I. & Ruzzenenti, Franco
- 922-938 Collateralization of business loans: Testing the prediction of theories
by Meles, Antonio & Porzio, Claudio & Sampagnaro, Gabriele & Starita, Maria Grazia & Verdoliva, Vincenzo
- 939-949 The environmental effects of economic growth and globalization in Sub-Saharan Africa: A panel general method of moments approach
by Kwabena Twerefou, Daniel & Danso-Mensah, Kwadwo & Bokpin, Godfred A.
- 950-958 Accounting quality and information asymmetry of foreign direct investment firms
by Wang, Li-Hsun
- 959-965 Empowering social responsibility of Islamic organizations through Waqf
by Darus, Faizah & Ahmad Shukri, Nurul Huda & Yusoff, Haslinda & Ramli, Aliza & Mohamed Zain, Mustaffa & Abu Bakar, Nur Ain
- 966-985 “Neighbors in values”: A new dataset of cultural distances between countries based on individuals’ values, and its application to the study of global trade
by Shulgin, Sergey & Zinkina, Julia & Korotayev, Andrey
- 986-991 Do foreign investors improve stock price informativeness in emerging equity markets? Evidence from Vietnam
by Vo, Xuan Vinh
- 992-1004 Antitakeover provisions and CEO monetary benefits: Revisiting the E-index
by Al Dah, Bilal & Michael, Amir & Dixon, Rob
- 1005-1010 Differences and similaritites between corporate governance principles in Islamic banks and Conventional banks
by Shibani, Osama & De Fuentes, Cristina
- 1011-1020 Time-varying impacts of demand and supply oil shocks on correlations between crude oil prices and stock markets indices
by Nadal, Raquel & Szklo, Alexandre & Lucena, André
- 1021-1029 Modelling correlation dynamics of EMU sovereign debt markets during the recent turmoil
by Babalos, Vassilios & Stavroyiannis, Stavros
- 1030-1039 Exploring the nexus between financial sector reforms and the emergence of digital banking culture – Evidences from a developing country
by Shaikh, Aijaz A. & Glavee-Geo, Richard & Karjaluoto, Heikki
- 1040-1056 Oil price shocks and American depositary receipt stock returns
by Sharma, Shahil
- 1057-1073 Full adoption of IFRSs in Brazil: Earnings quality and the cost of equity capital
by da Silva, Ricardo Luiz Menezes & Nardi, Paula Carolina Ciampaglia
- 1074-1088 How Germany benefits the most from its Eurozone membership
by Juneja, Januj
- 1089-1095 Testing the inflation rates in MENA countries: Evidence from quantile regression approach and seasonal unit root test
by Bolat, Süleyman & Tiwari, Aviral Kumar & Kyophilavong, Phouphet
- 1096-1102 Should online social Medias (OSMs) be banned at work? The impact of social Medias on employee productivity in Ambo University, a case study
by Tulu, Daniel Tadesse
- 1103-1114 Diversification strategy, efficiency, and firm performance: Insight from emerging market
by Gyan, Alex Kwaku & Brahmana, Rayenda & Bakri, Abdul Karim
- 1115-1122 Acceleration effect of intangibles in the recovery of corporate performance after-crisis
by Barajas, Angel & Shakina, Elena & Fernández-Jardón, Carlos
- 1123-1136 Bank credit risk and credit information sharing in Africa: Does credit information sharing institutions and context matter?
by Kusi, Baah Aye & Agbloyor, Elikplimi Komla & Ansah-Adu, Kwadjo & Gyeke-Dako, Agyapomaa
- 1137-1149 Modelling asymmetric conditional dependence between Shanghai and Hong Kong stock markets
by Wu, Weiou & Lau, Marco Chi Keung & Vigne, Samuel A.
- 1150-1163 Assessing the impact of export processing zones on economic growth in Ghana
by Quaicoe, Alexander & Aboagye, Anthony Q.Q. & Bokpin, Godfred A.
- 1164-1172 Examining the relationship between earning management and market liquidity
by Ajina, Aymen & Habib, Aymen
- 1173-1195 Does country risks predict stock returns and volatility? Evidence from a nonparametric approach
by Suleman, Tahir & Gupta, Rangan & Balcilar, Mehmet
- 1196-1207 Hedge fund returns under crisis scenarios: A holistic approach
by Stoforos, Chrysostomos E. & Degiannakis, Stavros & Palaskas, Theodosios B.
- 1208-1218 Abnormal loan growth, credit information sharing and systemic risk in Asian banks
by Soedarmono, Wahyoe & Sitorus, Djauhari & Tarazi, Amine
- 1219-1227 Securitisation in BRICS: Issues, challenges and prospects
by Ngwu, Franklin N. & Bavoso, Vincenzo & Chen, Zheyang
- 1228-1243 Macroeconomic risks and REITs returns: A comparative analysis
by Kola, Katlego & Kodongo, Odongo
- 1244-1253 The nexus between financial integration and real economy: Solow-growth model concept
by Rahman, Md. Saifur & Shahari, Farihana
- 1254-1273 Crowding out or crowding in? Correlations of spending components within and across countries
by Kandil, Magda
- 1274-1288 Do commodities make effective hedges for equity investors?
by Olson, Eric & Vivian, Andrew & Wohar, Mark E.
- 1289-1297 Feedback trading in stock index futures: Evidence from South Africa
by Charteris, Ailie & Musadziruma, Arnold
- 1298-1314 The one-trading-day-ahead forecast errors of intra-day realized volatility
by Degiannakis, Stavros
- 1315-1326 Antecedents of hedge fund activism in French listed target firms
by Ben Arfa, Nouha & Karmani, Majdi & Labaronne, Daniel
- 1327-1335 Performance of Islamic and conventional banks: A meta-frontier approach
by Abdul-Majid, Mariani & Falahaty, Manizheh & Jusoh, Mansor
- 1336-1342 Research and development investment and financing constraints: The case of Japan
by Saidani, Wien & Msolli, Badreddine & Ajina, Aymen
- 1343-1354 On identifying the domestic systemically important banks: The case of Tunisia
by Hmissi, Bochra & Bejaoui, Azza & Snoussi, Wafa
- 1355-1366 Conditional market timing in the mutual fund industry
by Tchamyou, Vanessa S. & Asongu, Simplice A.
- 1367-1371 Application of VIX and entropy indicators for portfolio rotation strategies
by Jadhao, Gaurav & Chandra, Abhijeet
- 1372-1382 The impact of monetary policy on stock market performance: Evidence from twelve (12) African countries
by Suhaibu, Iddrisu & Harvey, Simon K. & Amidu, Mohammed
- 1383-1393 Stock liquidity and SMEs’ likelihood of bankruptcy: Evidence from the US market
by Kalak, Izidin El & Azevedo, Alcino & Hudson, Robert & Karim, Mohamad Abd
- 1394-1400 The impact of natural disasters on insurers’ profitability: Evidence from Property/Casualty Insurance company in United States
by Benali, Nadia & Feki, Rochdi
- 1401-1412 A comparison of Islamic and conventional insurance demand: Worldwide evidence during the Global Financial Crisis
by Akhter, Waheed & Pappas, Vasileios & Khan, Saad Ullah
- 1413-1427 Remittances, banks and stock markets: Panel evidence from developing countries
by Issahaku, Haruna & Abor, Joshua Yindenaba & Harvey, Simon Kwadzogah
- 1428-1444 The impact of macroeconomic variables on exchange rate volatility in Ghana: The Partial Least Squares Structural Equation Modelling approach
by Adusei, Michael & Gyapong, Eddie Yaw
- 1445-1454 Flight to quality and the predictability of reversals: The role of market states and global factors
by Demirer, Rıza & Yuksel, Asli & Yuksel, Aydin
- 1455-1466 Bank capital buffer, franchise value, and risk heterogeneity in China
by Jiang, Hai & Zhang, Jinyi
- 1467-1477 Performance persistence in Chinese securities investment funds
by Gao, Jun & O’Sullivan, Niall & Sherman, Meadhbh
- 1478-1488 How past perceived portfolio returns affect financial behaviors—The underlying psychological mechanism
by Khan, Mohammad Tariqul Islam & Tan, Siow-Hooi & Chong, Lee-Lee
- 1489-1503 CEO compensation and banks’ risk-taking during pre and post financial crisis periods
by Shah, Syed Zulfiqar Ali & Akbar, Saeed & Liu, Jia & Liu, Ziyu & Cao, Sichen
- 1504-1515 Socially responsible: Are they profitable?
by Syed, Ali Murad
2017, Volume 41, Issue C
- 1-15 An empirical study of audit expectation-performance gap: The case of Libya
by Masoud, Najeb
- 16-19 Is the regime of risk transfer sustainable? Impossible contract and inequality
by Mirakhor, Abbas & Ng, Adam & Dewandaru, Ginanjar & Hamid, Baharom Abdul
- 20-27 Risk management process: Profiling of islamic microfinance providers
by Rozzani, Nabilah & Mohamed, Intan Salwani & Syed Yusuf, Sharifah Norzehan
- 28-36 EU unification and linkages among the European currencies: new evidence from the EU and the EEA
by Stoupos, Nikolaos & Kiohos, Apostolos
- 37-53 Estimating the credibility of Brazilian monetary policy using a Kalman filter approach
by de Freitas Val, Flávio & Klotzle, Marcelo Cabus & Pinto, Antonio Carlos Figueiredo & Gaglianone, Wagner Piazza
- 54-66 How efficient ownership structure monitors income manipulation? Evidence of real earnings management among Malaysian firms
by Shayan-Nia, Mojtaba & Sinnadurai, Philip & Mohd-Sanusi, Zuraidah & Hermawan, Ancella-NIa Anitawati
- 67-78 Employee stock ownership and the cost of capital11We are grateful to the Editor in Chief, Thomas Lagoarde-Segot and to participants at 2016 French accounting association conference, 2015 French finance association conference, the 2014 International corporate governance for their useful comments and suggestions. Siessima Djibril Toé provided excellent research assistance. All remaining errors are our own
by Aubert, Nicolas & Kern, Alexander & Hollandts, Xavier
- 79-89 Media independence and crime as an obstacle to firms’ business operations
by Farooq, Omar & Mertzanis, Charilaos
- 90-104 The impacts of risk-taking behaviour and competition on technical efficiency: Evidence from the Chinese banking industry
by Tan, Yong & Anchor, John
- 105-108 Creation of an Islamic stock index in West Africa
by Mbengue, Mohamed Lamine
- 109-124 Does bonding really bond? Liability of foreignness and cross-listing of Chinese firms on international stock exchanges
by Liu, Li Xian & Jiang, Fuming & Sathye, Milind
- 125-135 Note on a non-structural model using the disequilibrium approach: Evidence from Vietnamese banks
by Matousek, Roman & Nguyen, Thao Ngoc & Stewart, Chris
- 136-147 Does sukuk market development spur economic growth?
by Smaoui, Houcem & Nechi, Salem
- 148-157 News surprises and volatility spillover among agricultural commodities: The case of corn, wheat, soybean and soybean oil
by Hamadi, Hassan & Bassil, Charbel & Nehme, Tamara
- 158-171 Is high-frequency trading tiering the financial markets?
by Virgilio, Gianluca
- 172-184 Determinants of idiosyncratic volatility: Evidence from the Indian stock market
by Kumari, Jyoti & Mahakud, Jitendra & Hiremath, Gourishankar S.
- 185-197 The effect of reducing information asymmetry on loan price and quantity in the African banking industry
by Asongu, Simplice A.
- 198-219 Breaking up big banks
by Kozubovska, Mariolia
- 220-234 Investor heterogeneity, trading account types and competing liquidity channels for Malaysian stocks
by Lim, Kian-Ping & Thian, Tze-Chung & Hooy, Chee-Wooi
- 235-238 The fixed income securities market in the West African Economic and Monetary zone: Are credit spread abnormally low?
by Mbengue, Mohamed Lamine & Paget-Blanc, Eric
- 239-246 A lack of space—The birth-crises of ultracapital
by Cloke, Jon
- 247-259 Asymmetric exchange rate pass-through in an emerging market economy: The case of Mexico
by Baharumshah, Ahmad Zubaidi & Sirag, Abdalla & Soon, Siew-Voon
- 260-279 Explaining banking stability in Sub-Saharan Africa
by Dwumfour, Richard Adjei
- 280-291 Financial globalisation uncertainty/instability is good for financial development
by Asongu, Simplice A. & Koomson, Isaac & Tchamyou, Vanessa S.
- 292-302 Seasonality in government bond returns and factor premia
by Zaremba, Adam & Schabek, Tomasz
- 303-317 Do credit commitments compromise credit quality?
by Laidroo, Laivi & Männasoo, Kadri
- 318-335 Foreign bank subsidiaries’ risk-taking behavior: Impact of home and host country national culture
by Ashraf, Badar Nadeem & Arshad, Sidra
- 336-346 Access to credit by SMEs in South Asia: do women entrepreneurs face discrimination
by Wellalage, Nirosha & Locke, Stuart
- 347-353 The impact of FIFA’s official announcements on the stock market of Qatar: The case of the 2022 World Cup
by Refai, Hisham Al & Eissa, Mohamed Abdelaziz
- 354-361 What determines the Japanese corporate credit spread? A new evidence
by Azad, A.S.M. Sohel & Chazi, Abdelaziz & Cooper, Peter & Ahsan, Amirul
- 362-376 Merger and acquisitions in South African banking: A network DEA model
by Wanke, Peter & Maredza, Andrew & Gupta, Rangan
- 377-386 Can (unusual) weather conditions in New York predict South African stock returns?
by Apergis, Nicholas & Gupta, Rangan
- 387-398 The global financial crisis—Market misconduct and regulation from a behavioral view
by Grosse, Robert
- 399-411 The use of open source internet to analysis and predict stock market trading volume
by Moussa, Faten & BenOuda, Olfa & Delhoumi, Ezzeddine
- 412-422 Empirical assessment of the competitive conduct of Nigerian banks in a post-consolidation era
by Osuagwu, Eze Simpson & Nwokoma, Ndubisi
- 423-433 Student satisfaction and commitment towards a blended learning finance course: A new evidence from using the investment model
by Alshehri, Abdulrahman F.
- 434-444 Foreign direct investment, exports and economic growth: ADRL and causality analysis for South Africa
by Sunde, Tafirenyika
- 445-460 Accounting quality, information risk and the term structure of implied volatility around earnings announcements
by Anagnostopoulou, Seraina C. & Tsekrekos, Andrianos E.
- 461-479 Does gold Liquidity learn from the greenback or the equity?
by Smimou, K.
- 480-492 Driving force of globalization: A multi- paradigmatic look
by Ardalan, Kavous
- 493-499 Price dynamics and speculative trading in bitcoin
by Blau, Benjamin M.
- 500-515 Banking system reform and investment–cash flow relation: Case of a small transition economy
by Thoa, Tu Thi Kim & Uyen, Nguyen Thi Uyen
- 516-546 Dependence patterns among Asian banking sector stocks: A copula approach
by Mensah, Jones Odei & Premaratne, Gamini
- 547-555 Positive asymmetric information in volatile environments: The black market dollar and sovereign bond yields in Venezuela
by Sarmiento, Julio & Cayon, Edgardo & Collazos, María & Sandoval, Juan S.
- 556-576 Ripple effects of the 2011 Japan earthquake on international stock markets
by Valizadeh, Pourya & Karali, Berna & Ferreira, Susana
- 577-589 The behaviour of asset return and volatility spillovers in Turkey: A tale of two crises
by Bajo-Rubio, Oscar & Berke, Burcu & McMillan, David
- 590-599 The effect of independent directors’ characteristics on firm performance: Tenure and multiple directorships
by Reguera-Alvarado, Nuria & Bravo, Francisco
- 600-612 The impact of the Arab Spring and the Ebola outbreak on African equity mutual fund investor decisions
by Del Giudice, Alfonso & Paltrinieri, Andrea
2017, Volume 40, Issue C
- 1-18 The effects of revenue diversification and cross border banking on risk and return of banks in Africa
by Sissy, Aisha Mohammed & Amidu, Mohammed & Abor, Joshua Yindenaba
- 19-33 Are there reliable determinant factors of capital structure decisions? Empirical study of SMEs in different regions of Portugal
by Matias, Fernanda & Serrasqueiro, Zélia
- 34-51 Does central bank governors term in office matter for macroprudential policies? Evidence from MENA banks
by Ghosh, Saibal
- 52-60 Are investors really home-biased when investing at home?
by Oehler, Andreas & Wendt, Stefan & Horn, Matthias
- 61-77 The impact of foreign equity flows on market volatility during politically tranquil and turbulent times: The Egyptian experience
by Ahmed, Walid M.A.
- 78-93 Legal jurisdiction, director liability law, and venture capitalists’ equity stakes in Africa
by Adongo, Jonathan O.
- 94-104 A post-Marxist approach in development finance: PMF or production mutualisation fund model applied to agriculture
by Son, Vien Nguyen & Schinckus, Christophe & Chong, Felicia
- 105-113 Determinants of capital structure in emerging markets: Evidence from Vietnam
by Vo, Xuan Vinh
- 114-128 An early warning indicator system to monitor the unsecured interbank funds market
by Sarmiento, Miguel & Cely, Jorge & León, Carlos
- 129-140 Sustainability of macroeconomic policies in selected MENA countries: Post financial and debt crises
by Neaime, Simon & Gaysset, Isabelle
- 141-149 What explains corporate sukuk primary market spreads?
by Ayturk, Yusuf & Asutay, Mehmet & Aksak, Ercument
- 150-162 Sanctions and the Russian stock market
by Ankudinov, Andrei & Ibragimov, Rustam & Lebedev, Oleg
- 163-174 Capital structure in the Chilean corporate sector: Revisiting the stylized facts
by San Martín, Pablo & Saona, Paolo
- 175-189 On the rationality and efficiency of inflation forecasts: Evidence from advanced and emerging market economies
by Jalles, João Tovar
- 190-216 Is the M&A announcement effect different across Europe? More evidences from continental Europe and the UK
by Mateev, Miroslav
- 217-230 True or spurious long memory in European non-EMU currencies
by Walther, Thomas & Klein, Tony & Thu, Hien Pham & Piontek, Krzysztof
- 231-241 Contained crisis and socialized risk
by Nakabayashi, Masaki
- 242-258 The synergy of financial sector development and information sharing in financial access: Propositions and empirical evidence
by Asongu, Simplice A. & Nwachukwu, Jacinta C.
2017, Volume 39, Issue PB
- 663-677 The way we live now: Financialization and securitization
by Buchanan, Bonnie G.
- 678-685 Financialisation, financial chains and uneven geographical development: Towards a research agenda
by Sokol, Martin
- 686-695 The need for an alternative to shareholder value creation? The Ethomed student experience
by Paranque, Bernard
- 696-710 Capital structure theory: Reconsidered
by Ardalan, Kavous
- 711-717 Socially responsible investing (SRI): From mainstream to margin?
by Revelli, Christophe
- 718-726 Uncertainty and risk management from Islamic perspective
by Bouslama, Ghassen & Lahrichi, Younes
- 727-736 Financial innovation as a potential force for a positive social change: The challenging future of social impact bonds
by Schinckus, Christophe
- 737-749 Social and solidarity finance: A conceptual approach
by Artis, Amélie
- 750-760 The new monetary and financial initiatives: Finance regaining its position as servant of the economy
by Ansart, Sandrine & Monvoisin, Virginie
- 763-778 Investigating the leverage effect in commodity markets with a recursive estimation approach
by Chevallier, Julien & Ielpo, Florian
- 779-808 Liquidity, information, strategic trading in an electronic order book: New insights from the European carbon markets
by Rannou, Yves
- 809-823 Risk sentiment and firms’ liquidity in the French market
by Zreik, Ousayna & Louhichi, Waël
- 824-839 Forecasting realized volatility: HAR against Principal Components Combining, neural networks and GARCH
by Vortelinos, Dimitrios I.
- 840-850 Assessing financial and housing wealth effects through the lens of a nonlinear framework
by Jawadi, Fredj & Soparnot, Richard & Sousa, Ricardo M.
- 851-866 Does the equity premium puzzle persist during financial crisis? The case of the French equity market
by Bellelah, M.A. & Bellelah, M.O. & Ben Ameur, H. & Ben Hafsia, R.
- 867-877 How does electronic trading affect efficiency of stock market and conditional volatility? Evidence from Toronto Stock Exchange
by Dutta, Shantanu & Essaddam, Naceur & Kumar, Vinod & Saadi, Samir
- 878-895 The implication of banking competition: Evidence from African countries
by Kouki, Imen & Al-Nasser, Amjad
- 899-910 Data sources for the credit-card augmented Divisia monetary aggregates
by Barnett, William A. & Su, Liting
- 911-919 The procyclicality of loan loss provisions in Islamic banks
by Soedarmono, Wahyoe & Pramono, Sigid Eko & Tarazi, Amine
- 920-939 The effects of activity and geographic diversification on performance: Evidence from French financial institutions
by Jouida, Sameh & Bouzgarrou, Houssam & Hellara, Slaheddine
- 940-950 Bank-to-bank lending channel and the transmission of bank liquidity shocks: Evidence from France
by Chouchène, Mabrouk & Ftiti, Zied & Khiari, Wided
- 951-962 Interest rate dynamic effect on stock returns and central bank transparency: Evidence from emerging markets
by Papadamou, Stephanos & Sidiropoulos, Moïse & Spyromitros, Eleftherios
- 963-975 Pricing CDS spreads with Credit Valuation Adjustment using a mixture copula
by Harb, Etienne & Louhichi, Wael
- 976-989 Oil vs. gasoline: The dark side of volatility and taxation
by Aboura, Sofiane & Chevallier, Julien
- 990-999 Characterizing investor expectations for assets with varying risk
by Gaus, Eric & Sinha, Arunima
- 1000-1007 Financial intermediary leverage spillovers
by Serletis, Apostolos & Istiak, Khandokar
2017, Volume 39, Issue PA
- 1-12 Corporate governance and cash holdings in MENA: Evidence from internal and external governance practices
by Al-Najjar, Basil & Clark, Ephraim
- 13-29 How does managerial opportunism affect the cost of debt financing?
by Ghouma, Hatem
- 30-40 The returns, risk and liquidity relationship in high frequency trading: Evidence from the Oslo stock market
by Dinh, Minh Thi Hong
- 41-46 National culture, information environment, and sensitivity of investment to stock prices: Evidence from emerging markets
by Farooq, Omar & Amin, Ayah
- 47-53 Monday effect in Brazilian hedge funds with immediate redemption
by Mamede, Samuel de Paiva Naves & Malaquias, Rodrigo Fernandes
- 54-67 Stock return and volatility reactions to information demand and supply
by Moussa, Faten & Delhoumi, Ezzeddine & Ouda, Olfa Ben
- 68-84 Sovereign and bank Interdependencies—Evidence from the CDS market
by Yu, Sherry
- 85-101 Income structure, profitability and risk in the European banking sector: The impact of the crisis
by Maudos, Joaquín
- 102-114 Entering the public bond market during the financial crisis: Underinvestment and asymmetric information costs
by Kashefi Pour, Eilnaz
- 115-127 Volatility transmission between US and Latin American stock markets: Testing the decoupling hypothesis
by Cardona, Laura & Gutiérrez, Marcela & Agudelo, Diego A.
- 128-149 Do monetary, fiscal and financial institutions really matter for inflation targeting in emerging market economies?
by Hove, Seedwell & Tchana Tchana, Fulbert & Touna Mama, Albert
- 150-168 Intraday analysis of macroeconomic news surprises and asymmetries in mini-futures markets
by Vortelinos, Dimitrios I. & Koulakiotis, Athanasios & Tsagkanos, Athanasios
- 169-182 The Basel III net stable funding ratio adjustment speed and systemic risk
by Ly, Kim Cuong & Chen, Zhizhen & Wang, Senyu & Jiang, Yuxiang
- 183-205 Bank regulation and efficiency: What works for Africa?
by Triki, Thouraya & Kouki, Imen & Dhaou, Mouna Ben & Calice, Pietro
- 206-214 Political uncertainty and behavior of Tunisian stock market cycles: Structural unobserved components time series models
by Trabelsi Mnif, Afef
- 215-238 The effects of fair value reporting on corporate foreign exchange exposures
by Krapl, Alain & Salyer, Robert
- 239-247 Foreign direct investment and environmental sustainability in Africa: The role of institutions and governance
by Bokpin, Godfred A.
- 248-266 BRICS money talks: Comparative socio-cultural communicative taxonomy of the New Development Bank
by Zavyalova, Natalya
- 267-279 Towards an asymmetric long run equilibrium between stock market uncertainty and the yield spread. A threshold vector error correction approach
by Evgenidis, Anastasios & Tsagkanos, Athanasios & Siriopoulos, Costas
- 280-290 Dynamic correlations and domestic-global diversification
by Li, Leon
- 291-306 Complex ownership structures, corporate governance and firm performance: The French context
by Ducassy, Isabelle & Guyot, Alexis
- 307-314 Causes and consequences of energy price shocks on petroleum-based stock market using the spillover asymmetric multiplicative error model
by Khalifa, Ahmed A. & Alsarhan, Abdulwahab A. & Bertuccelli, Pietro
- 315-326 Discount rate or cash flow contagion? Evidence from the recent financial crises
by Jiang, Junhua
- 327-337 New evidence on stock market reaction to dividend announcements in India
by Kumar, Satish
- 338-357 The relation between auditor reputation, earnings and capital management in the banking sector: An international investigation
by Magnis, Chris & Iatridis, George Emmanuel
- 358-376 On the predictability of carry trade returns: The case of the Chinese Yuan
by Cheong, Calvin W.H. & Sinnakkannu, Jothee & Ramasamy, Sockalingam
- 377-388 The financing of Chinese outbound mergers and acquisitions: Is there a distortion between state-owned enterprises and privately owned enterprises?
by Sun, Zhe & Vinig, Tsvi & Hosman, Thomas Daniël
- 389-405 Business strategy, overvalued equities, and stock price crash risk
by Habib, Ahsan & Hasan, Mostafa Monzur
- 406-422 Collateral-based in SME lending: The role of business collateral and personal collateral in less-developed countries
by Dias Duarte, Fábio & Matias Gama, Ana Paula & Paulo Esperança, José
- 423-432 Was the collapse of the communist bloc a game changer in the stock markets? Left-wing vs. right-wing political preferences and stock market development
by Geller, Gabriel & Guedes, Maria João Coelho
- 433-453 The dynamics of the relative global sector effects and contagion in emerging markets equity returns
by Boamah, Nicholas Addai
- 454-465 Foreign institutional investment, business groups and firm performance: Evidence from India
by Mukhopadhyay, Jhuma & Chakraborty, Indrani
- 466-485 US monetary policy and global financial stability
by Tong, Eric
- 486-501 European board structure and director expertise: The impact of quotas
by Lending, Claire Crutchley & Vähämaa, Emilia
- 502-512 Does patriotic vigilance make any sense in the transnational arena? A cosmopolitan alternative to the globalization paradox
by Pilkington, Marc
- 513-529 Earnings management to exceed thresholds in continental and Anglo-Saxon accounting models: The British and French cases
by Halaoua, Sameh & Hamdi, Badreddine & Mejri, Tarek
- 530-545 The effect of US bank holding companies’ exposure to asset-backed commercial paper conduits on the information opacity and systemic risk
by Kozubovska, Mariolia
- 546-552 Green energy companies: Stock performance and IPO returns
by Anderloni, Luisa & Tanda, Alessandra
- 553-567 Valuing emerging markets companies: New approaches to determine the effective exposure to country risk
by Roggi, Oliviero & Giannozzi, Alessandro & Baglioni, Tommaso
- 568-577 Financial literacy in Tunisia: Its determinants and its implications on investment behavior
by Mouna, Amari & Anis, Jarboui
- 578-594 What drives bank performance in transitions economies? The impact of reforms and regulations
by Psillaki, Maria & Mamatzakis, Emmanuel
- 595-611 Volatility spillover and hedging strategies between Islamic and conventional stocks in the presence of asymmetry and long memory
by El Mehdi, Imen Khanchel & Mghaieth, Asma
- 612-624 China’s intervention in the central parity rate: A Bayesian Tobit analysis
by Li, He & Zhang, Zhichao & Zhang, Chuanjie
- 625-639 Sustainability disclosure, dominant owners and earnings informativeness
by Bona-Sánchez, Carolina & Pérez-Alemán, Jerónimo & Santana-Martin, Domingo J.
- 640-655 Corporate governance, political involvement, and internationalization: An empirical investigation in Japan and Taiwan
by Chen, Li-Wen & Yu, Hsin-Yi
2016, Volume 38, Issue C
- 1-5 Re-embedding financial stakes within ethical and social values in socially responsible investing (SRI)
by Revelli, Christophe
- 6-21 Herding and excessive risk in the American stock market: A sectoral analysis
by Litimi, Houda & BenSaïda, Ahmed & Bouraoui, Omar
- 22-34 Dynamic correlations and hedging effectiveness between gold and stock markets: Evidence for BRICS countries
by Chkili, Walid
- 35-44 The role of the swiss franc in Switzerland’s European stance
by Vallet, Guillaume
- 45-55 Returns, volatility and investor sentiment: Evidence from European stock markets
by Frugier, Alain
- 56-68 Financial fragility of banks, ownership structure and income diversification: Empirical evidence from the GCC region
by Ashraf, Dawood & Ramady, Mohamed & Albinali, Khalid
- 69-82 Determinants of bank profitability in transition countries: What matters most?
by Djalilov, Khurshid & Piesse, Jenifer
- 83-103 InkLocal credit rating agencies: a new dataset
by Marandola, Ginevra
- 104-121 Credit risk, managerial behaviour and macroeconomic equilibrium within dual banking systems: Interest-free vs. interest-based banking industries
by Louhichi, Awatef & Boujelbene, Younes