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Content
2019, Volume 49, Issue C
- 1-12 Human capital, investor trust, and equity crowdfunding
by Barbi, Massimiliano & Mattioli, Sara
- 13-40 Integrated reporting: An accounting disclosure tool for high quality financial reporting
by Pavlopoulos, Athanasios & Magnis, Chris & Iatridis, George Emmanuel
- 41-54 Overshooting: Evidence from share repurchases and subsidiary selling
by Wang, C. Edward & DeGennaro, Ramon P.
- 55-70 Principal-principal conflicts and corporate cash holdings: Evidence from China
by Jebran, Khalil & Chen, Shihua & Tauni, Muhammad Zubair
- 71-81 The intraday dynamics of bitcoin
by Eross, Andrea & McGroarty, Frank & Urquhart, Andrew & Wolfe, Simon
- 82-99 Bank income smoothing, institutions and corruption
by Ozili, Peterson K.
- 100-113 FDI and heterogeneity in bank efficiency: Evidence from emerging markets
by Konara, Palitha & Tan, Yong & Johnes, Jill
- 114-126 Economic freedom and asymmetric crisis effects on FDI inflows: The case of four South European economies
by Economou, Fotini
- 127-136 The day-of-the-week effect on Bitcoin return and volatility
by Ma, Donglian & Tanizaki, Hisashi
- 137-155 Oil price shocks and the equity market: Evidence for the S&P 500 sectoral indices
by Sakaki, Hamid
- 156-165 From efficient markets to adaptive markets: Evidence from the French stock exchange
by Boya, Christophe M.
- 166-175 Do Mudarabah and Musharakah financing impact Islamic Bank credit risk differently?
by Warninda, Titi Dewi & Ekaputra, Irwan Adi & Rokhim, Rofikoh
- 176-190 Lobbying expenditures and sin stock market performance
by Ghouma, Hatem H. & Hewitt, Carissa S.
- 191-206 Multiresolution analysis and spillovers of major cryptocurrency markets
by Omane-Adjepong, Maurice & Alagidede, Imhotep Paul
- 207-224 Bank globalization and financial stability: International evidence
by Yin, Haiyan
- 225-240 Government size, public debt and inclusive growth in Africa
by Whajah, Jennifer & Bokpin, Godfred A. & Kuttu, Saint
- 241-250 Financial constraints and the cash flow sensitivities of external financing: Evidence from Korea
by Park, Jin
- 251-268 Dependence of the “Fragile Five” and “Troubled Ten” emerging market financial systems on US monetary policy and monetary policy uncertainty
by Chadwick, Meltem Gulenay
- 269-281 Rational bubbles in the real housing stock market: Empirical evidence from Santiago de Chile
by Gil-Alana, Luis Alberiko & Dettoni, Robinson & Costamagna, Rodrigo & Valenzuela, Mario
- 282-300 Determinants of real estate bank profitability
by Martins, António Miguel & Serra, Ana Paula & Stevenson, Simon
- 301-314 Foreign institutional investors’ trading and information dissemination in emerging markets: Further evidence
by Syamala, Sudhakara Reddy & Wadhwa, Kavita
- 315-321 Reprint of: Chaos in G7 stock markets using over one century of data: A note
by Tiwari, Aviral Kumar & Gupta, Rangan
2019, Volume 48, Issue C
- 1-16 Employee relations and firm risk: Evidence from court rooms
by Unsal, Omer
- 17-31 Liquidity risk, credit risk and stability in Islamic and conventional banks
by Hassan, M. Kabir & Khan, Ashraf & Paltrinieri, Andrea
- 32-47 Bank liquidity management through the issuance of bonds in the aftermath of the global financial crisis
by Milcheva, Stanimira & Falkenbach, Heidi & Markmann, Holger
- 48-58 Financial openness and entrepreneurship
by Gregory, Richard P.
- 59-74 The linguistic complexities of narrative accounting disclosure on financial statements: An analysis based on readability characteristics
by de Souza, João Antônio Salvador & Rissatti, Jean Carlo & Rover, Suliani & Borba, José Alonso
- 75-96 Social institutions, corporate governance and firm-performance in the MENA region
by Mertzanis, Charilaos & Basuony, Mohamed A.K. & Mohamed, Ehab K.A.
- 97-110 The economic value of Bitcoin: A portfolio analysis of currencies, gold, oil and stocks
by Symitsi, Efthymia & Chalvatzis, Konstantinos J.
- 111-142 Non-macro-based Google searches, uncertainty, and real economic activity
by Donadelli, Michael & Gerotto, Luca
- 143-155 Modelling volatility of cryptocurrencies using Markov-Switching GARCH models
by Caporale, Guglielmo Maria & Zekokh, Timur
- 156-168 The Ukrainian crisis, economic sanctions, oil shock and commodity currency: Analysis based on EMD approach
by Korotin, Vladimir & Dolgonosov, Maxim & Popov, Victor & Korotina, Olesya & Korolkova, Inna
- 169-186 Is board turnover driven by performance in family firms?
by González, Maximiliano & Guzmán, Alexander & Pablo, Eduardo & Trujillo, María-Andrea
- 187-200 The impact of tradeoff between risk and return on mean reversion in sovereign CDS markets
by Mili, Mehdi
- 201-209 Dividend policy and political uncertainty: Evidence from the US presidential elections
by Farooq, Omar & Ahmed, Neveen
- 210-218 The effects of economic policy and political uncertainties on economic activities
by Gholipour, Hassan F.
- 219-227 Investigating volatility transmission and hedging properties between Bitcoin and Ethereum
by Beneki, Christina & Koulis, Alexandros & Kyriazis, Nikolaos A. & Papadamou, Stephanos
- 228-242 Stock return predictability: Using the cyclical component of the price ratio
by McMillan, David G.
- 243-257 Impacts of lagged returns on the risk-return relationship of Chinese aggregate stock market: Evidence from different data frequencies
by Liu, Jingzhen
- 258-270 Collectivism and connected lending
by Dheera-aumpon, Siwapong
- 271-286 Implied volatility and the cross section of stock returns in the UK
by Poshakwale, Sunil S. & Chandorkar, Pankaj & Agarwal, Vineet
- 287-309 Bank efficiency and non-performing loans: Evidence from Turkey
by Partovi, Elmira & Matousek, Roman
- 310-320 Remittances and credit in developed and developing countries: A dynamic panel analysis
by Fromentin, Vincent & Leon, Florian
- 321-334 Quantitative easing announcements and high-frequency stock market volatility: Evidence from the United States
by Corbet, Shaen & Dunne, John James & Larkin, Charles
- 335-339 Asymmetric monetary policy effects on cryptocurrency markets
by Nguyen, Thai Vu Hong & Nguyen, Binh Thanh & Nguyen, Kien Son & Pham, Huy
- 340-352 Internationalization, related party transactions, and firm ownership structure: Empirical evidence from an emerging market
by Agnihotri, Arpita & Bhattacharya, Saurabh
- 353-364 The impact of fintech M&A on stock returns
by Dranev, Yury & Frolova, Ksenia & Ochirova, Elena
- 365-380 What drove the growth of the corporate bond markets in Asia?
by Kowalewski, Oskar & Pisany, Paweł
- 381-396 Dynamical Volatility and Correlation among US Stock and Treasury Bond Cash and Futures Markets in Presence of Financial Crisis: A Copula Approach
by Liu, Hsiang-Hsi & Wang, Teng-Kun & Li, Weny
- 397-419 Mergers and executive compensation changes: Evidence from African markets
by Amewu, Godfred & Alagidede, Paul
- 420-425 Bitcoin return: Impacts from the introduction of new altcoins
by Nguyen, Thai Vu Hong & Nguyen, Binh Thanh & Nguyen, Thanh Cong & Nguyen, Quang Quoc
- 426-437 Does increased disclosure of intangible assets enhance liquidity around new equity offerings?
by Labidi, Manel & Gajewski, Jean François
- 438-463 Feedback trading: Strategies during day and night with global interconnectedness
by Kusen, Alex & Rudolf, Markus
- 464-474 Currency indexes and consistent currency misvaluation: Illustrations using Big Mac data
by O’Brien, Thomas J. & Ruiz de Vargas, Santiago
- 475-482 Ownership structure, overinvestment and underinvestment: Evidence from Brazil
by Pellicani, Aline Damasceno & Kalatzis, Aquiles Elie Guimarães
- 483-495 The long run stability of money demand in the proposed West African monetary union
by Asongu, Simplice A. & Folarin, Oludele E. & Biekpe, Nicholas
- 496-510 Corporate social responsibility and firm leverage: The impact of market competition
by Sheikh, Shahbaz
2019, Volume 47, Issue C
- 1-9 Sustainable finance. A critical realist perspective
by Lagoarde-Segot, Thomas
- 10-17 Coping with impact investing antagonistic objectives: A multistakeholder approach
by Alijani, Sharam & Karyotis, Catherine
- 18-30 Social impact measurement: What can impact investment practices and the policy evaluation paradigm learn from each other?
by Dufour, Bryan
- 31-39 Performance of impact investing: A value creation approach
by Viviani, Jean-Laurent & Maurel, Carole
- 40-56 Social uncertainty evaluation in Social Impact Bonds: Review and framework
by Scognamiglio, Elisabetta & Di Lorenzo, Emilia & Sibillo, Marilena & Trotta, Annarita
- 57-66 Ethico-economic analysis of impact finance: The case of Green Bonds
by Paranque, Bernard & Revelli, Christophe
- 67-77 Explaining the competition for FDI: Evidence from Costa Rica and cross-national industry-level FDI data
by Bailey, Nicholas & Warby, Brian
- 78-101 Momentum effects in China: A review of the literature and an empirical explanation of prevailing controversies
by Yang, Yunlin & Gebka, Bartosz & Hudson, Robert
- 102-113 An investigation of the short-term performance of the Canadian IPO market
by Killins, Robert N.
- 114-138 Corporate social responsibility and dividend policy
by Benlemlih, Mohammed
- 139-149 How biased is the behavior of the individual investor in warrants?
by Abreu, Margarida
- 150-161 The firm-specific determinants of capital structure – An empirical analysis of firms before and during the Euro Crisis
by Moradi, Amir & Paulet, Elisabeth
- 162-173 Politically connected boards, ownership structure and credit risk: Evidence from Chinese commercial banks
by Boateng, Agyenim & Liu, Yang & Brahma, Sanjukta
- 174-194 Interdependence among agricultural commodity markets, macroeconomic factors, crude oil and commodity index
by Fernandez-Diaz, Jose M. & Morley, Bruce
- 195-219 What is going on with studies on banking efficiency?
by Abreu, Emmanuel Sousa de & Kimura, Herbert & Sobreiro, Vinicius Amorim
- 220-236 Loan delinquency in banking systems: How effective are credit reporting systems?
by Ghosh, Saibal
- 237-250 Does investment in trade credit matter for profitability? Evidence from publicly listed agro-food firms
by Dary, Stanley K. & James, Harvey S.
- 251-263 Foreign exchange interventions in Brazil and their impact on volatility: A quantile regression approach
by Viola, Alessandra Pasqualina & Klotzle, Marcelo Cabus & Pinto, Antonio Carlos Figueiredo & da Silveira Barbedo, Claudio Henrique
- 264-278 Empirical analysis of intertemporal relations between downside risks and expected returns—Evidence from Asian markets
by Chiang, Thomas C.
- 279-303 Does the long-run monetary model hold for Sub-Saharan Africa? A time series and panel-cointegration study
by Ibhagui, Oyakhilome W.
- 304-310 Chaos in G7 stock markets using over one century of data: A note
by Tiwari, Aviral Kumar & Gupta, Rangan
- 311-326 Host country institutions and firm-level R&D influences: An analysis of European Union FDI in China
by Cai, Huifen & Boateng, Agyenim & Guney, Yilmaz
- 327-343 Colonialism ties and stock markets: Evidence from Sub-Saharan Africa
by Donou-Adonsou, Ficawoyi
- 344-353 Informational inefficiency of Bitcoin: A study based on high-frequency data
by Zargar, Faisal Nazir & Kumar, Dilip
- 354-370 Voluntary disclosure and market competition: Theory and evidence from the U.S. services sector
by Orhun, Eda
- 371-385 Contagion and bond pricing: The case of the ASEAN region
by Abid, Ilyes & Dhaoui, Abderrazak & Goutte, Stéphane & Guesmi, Khaled
- 386-397 Accounting standards and banking regulation: Some effects of divergence
by Downing, Jeff
- 398-409 Dollarization and the “unbundling” of globalization in sub-Saharan Africa
by Ajide, Kazeem B. & Raheem, Ibrahim D. & Asongu, Simplice A.
- 410-427 The impact of competition on cost efficiency of insurance and takaful sectors: Evidence from GCC markets based on the Stochastic Frontier Analysis
by Alshammari, Ahmad Alrazni & Syed Jaafar Alhabshi, Syed Musa bin & Saiti, Buerhan
- 428-440 Do banks learn from financial crisis? The experience of Nordic banks
by Berglund, Tom & Mäkinen, Mikko
- 441-457 Financial constraints on investment: Effects of firm size and the financial crisis
by Driver, Ciaran & Muñoz-Bugarin, Jair
- 458-469 Social media and stock price reaction to data breach announcements: Evidence from US listed companies
by Rosati, Pierangelo & Deeney, Peter & Cummins, Mark & van der Werff, Lisa & Lynn, Theo
- 470-486 Risk perceptions and risk management approaches of Chinese overseas investors: An empirical investigation
by Ullah, Subhan & Wang, Zheng & Stokes, Peter & Xiao, Wen
- 487-500 Assessing the degree of financial integration in ASEAN—A perspective of banking competitiveness
by Zhang, Tiantian & Matthews, Kent
- 501-510 Managerial overconfidence, internal financing, and investment efficiency: Evidence from China
by He, Ying & Chen, Cindy & Hu, Yue
- 511-518 Effects of the geopolitical risks on Bitcoin returns and volatility
by Aysan, Ahmet Faruk & Demir, Ender & Gozgor, Giray & Lau, Chi Keung Marco
- 519-537 Disentangling the impact of securitization on bank profitability
by Bakoush, Mohamed & Abouarab, Rabab & Wolfe, Simon
- 538-551 Estimating the conditional equity risk premium in African frontier markets
by Othieno, Ferdinand & Biekpe, Nicholas
- 552-562 Reverse splits in international stock markets: Reconciling the evidence on long-term returns
by Zaremba, Adam & Okoń, Szymon & Asyngier, Roman & Schroeter, Lucia
- 563-579 Do public-private partnerships benefit private sector? Evidence from an emerging market
by Chauhan, Yogesh & Marisetty, Vijaya B.
- 580-599 Political regimes, investment and electoral uncertainty
by Marcelin, Isaac & Stephen, Sheryl-Ann K. & Fanta, Fassil & Tecklezion, Mussie
- 600-615 The forward premium anomaly in the energy futures markets: A time-varying approach
by Charfeddine, Lanouar & Khediri, Karim Ben & Mrabet, Zouhair
- 616-628 Moderating influences on the ERM maturity-performance relationship
by Farrell, Mark & Gallagher, Ronan
2018, Volume 46, Issue C
- 1-15 Financial distress and equity returns: A leverage-augmented three-factor model
by Boubaker, Sabri & Hamza, Taher & Vidal-García, Javier
- 16-29 Tail risk and the return-volatility relation
by Aboura, Sofiane & Chevallier, Julien
- 30-42 Institutional Investors and firm characteristics: New evidence from India
by Guha Deb, Soumya
- 43-54 Corporate governance and operational risk voluntary disclosure: Evidence from Islamic banks
by Neifar, Souhir & Jarboui, Anis
- 55-64 Government cost and firm value: Evidence from Vietnam
by Nguyen, Dong Phong & Vo, Xuan Vinh & Anh Tran, Thi Tuan & Thoa Tu, Thi Kim
- 65-76 Does strategic partnership matter to create value of a firm? An empirical study based on SBF 250 French firms
by Saci, Fateh & Jasimuddin, Sajjad M.
- 77-94 Exploring international economic integration through sukuk market connectivity: A network perspective
by Asutay, Mehmet & Hakim, Amira
- 95-104 Nonlinearities in financial development–economic growth nexus: Evidence from sub-Saharan Africa
by Ibrahim, Muazu & Alagidede, Paul
- 105-119 Should microfinance institutions diversify or focus? A global analysis
by Zamore, Stephen
- 120-130 Is there momentum in factor premia? Evidence from international equity markets
by Zaremba, Adam & Shemer, Jacob
- 131-140 Risk adjusted momentum strategies: A comparison between constant and dynamic volatility scaling approaches
by Fan, Minyou & Li, Youwei & Liu, Jiadong
- 141-148 Persistence in the cryptocurrency market
by Caporale, Guglielmo Maria & Gil-Alana, Luis & Plastun, Alex
- 149-165 Predicting daily oil prices: Linear and non-linear models
by Dbouk, Wassim & Jamali, Ibrahim
- 166-180 African stock markets in the midst of the global financial crisis: Recoupling or decoupling?
by Boako, Gideon & Alagidede, Paul
- 181-200 Do shareholder coalitions affect agency costs? Evidence from Italian-listed companies
by Rossi, Fabrizio & Barth, James R. & Cebula, Richard J.
- 201-210 Examination of the information content of management range forecasts
by Chronopoulos, Panagiotis I. & Siougle, Georgia
- 211-226 Evidence of time-varying conditional discrete jump dynamics in sub-Saharan African foreign exchange markets
by Kuttu, Saint & Aboagye, Anthony Q.Q. & Bokpin, Godfred A.
- 227-239 Investor sentiment and the mean-variance relationship: European evidence
by Wang, Wenzhao
- 240-250 Financial openness & institutions in developing countries
by Kant, Chander
- 251-256 Do firms with state ownership in transitional economies take more risk? Evidence from Vietnam
by Vo, Xuan Vinh
- 257-267 Is there an optimal level of housing wealth in the long-run? Theory and evidence
by Yetkiner, Hakan & Nazlioglu, Saban
- 268-280 Corporate debt and investment with financial constraints: Vietnamese listed firms
by Phan, Quynh Trang
- 281-293 Currency crises in Turkey: An empirical assessment
by Ari, Ali & Cergibozan, Raif
- 294-312 The compensation of busy directors: An international analysis
by Ferris, Stephen P. & Liao, Min-Yu (Stella) & Tamm, Chris
- 313-323 Can the interaction between a single long-term attractor and heterogeneous trading explain the exchange rate conundrum?
by Cifarelli, Giulio & Paladino, Giovanna
- 324-341 Is Thailand’s credit default swap market linked to bond and stock markets? Evidence from the term structure of credit spreads
by Jitmaneeroj, Boonlert
- 342-362 Does bank diversification heterogeneously affect performance and risk-taking in ASEAN emerging economies?
by Moudud-Ul-Huq, Syed & Ashraf, Badar Nadeem & Gupta, Anupam Das & Zheng, Changjun
- 363-372 A theory of joint venture instability under inter-partner learning
by Kabiraj, Tarun & Sengupta, Sarbajit
- 373-386 CEO power, product market competition and firm value
by Sheikh, Shahbaz
- 387-398 Initial public offerings in China: Underpricing, statistics and developing literature
by Azevedo, Alcino & Guney, Yilmaz & Leng, Jingsi
- 399-419 Revisiting the finance-inequality nexus in a panel of African countries
by Meniago, Christelle & Asongu, Simplice A.
- 420-429 Inter- and intra-regional analysis on spillover effects across international stock markets
by Lau, Chi Keung Marco & Sheng, Xin
- 430-443 Determinants of the domestic credits in developing economies: The role of political risks
by Gozgor, Giray
- 445-461 The economic value of business cycle forecasts for potential investors – Evidence from Germany
by Döpke, Jörg & Müller, Karsten & Tegtmeier, Lars
- 462-470 Variance risk premium and equity returns
by Fassas, Athanasios P. & Papadamou, Stephanos
- 471-489 Gulf Cooperation Council cross-border M&A: Institutional determinants of target nation selection
by Dowling, Michael & Vanwalleghem, Dieter
- 490-501 Chemical industry disasters and the sectoral transmission of financial market contagion
by Corbet, Shaen & Larkin, Charles & McMullan, Caroline
- 502-515 Monitoring or empowering CEOs? The moderating effect of shareholder rights
by Al Dah, Bilal
- 516-527 Exchange rates and macro news in emerging markets
by Caporale, Guglielmo Maria & Spagnolo, Fabio & Spagnolo, Nicola
- 528-536 Price discovery in emerging currency markets
by Kumar, Satish
2018, Volume 45, Issue C
- 1-6 The valuation of social impact bonds: An introductory perspective with the Peterborough SIB
by Schinckus, Christophe
- 7-14 Parent control and ownership monitoring in publicly listed subsidiaries in Japan
by Sakawa, Hideaki & Watanabel, Naoki
- 15-29 Effect of multilateral trade liberalization on foreign direct investment outflows amid structural economic vulnerability in developing countries
by Gnangnon, Sèna Kimm
- 30-37 The “Donald” and the market: Is there a cointegration?
by Angelini, Eliana & Foglia, Matteo & Ortolano, Alessandra & Leone, Maria
- 38-53 Mitigating capital flight through military expenditure: Insight from 37 African countries
by Asongu, Simplice A. & Amankwah-Amoah, Joseph
- 54-61 Financial contagion and capital asset pricing in Africa: The impact of the 2007–09 and Euro-Zone crises on natural resources sector Beta in African emerging markets
by Tony-Okeke, Uchenna & Ahmadu-Bello, Jaliyyah & Niklewski, Jacek & Rodgers, Timothy
- 62-71 The influence of cash flow on the speed of adjustment to the optimal capital structure
by Dufour, Dominique & Luu, Philippe & Teller, Pierre
- 72-81 The long-run impact of monetary policy uncertainty and banking stability on inward FDI in EU countries
by Albulescu, Claudiu Tiberiu & Ionescu, Adrian Marius
- 82-93 Determinants of emerging markets’ financial health: A panel data study of sovereign bond spreads
by Tebaldi, Edinaldo & Nguyen, Hana & Zuluaga, John
- 94-105 Audit quality during the global financial crisis: The investors’ perspective
by Shahzad, Khurram & Pouw, Thierry & Rubbaniy, Ghulame & El-Temtamy, Osama
- 106-120 Extending the determinants of dollarization in sub-Saharan Africa: The role of easy access to foreign exchange earnings
by Raheem, Ibrahim Dolapo & Asongu, Simplice A.
- 121-133 The failure of hedge funds: An analysis of the impact of different risk classes
by Di Tommaso, Caterina & Piluso, Fabio
- 134-149 Credit constraints and firm productivity: Microeconomic evidence from China
by Li, Yao Amber & Liao, Wei & Zhao, Chen Carol
- 150-157 Does the degree of Shari’ah compliance affect the volatility? Evidence from the MENA region
by Ahmed, Neveen & Farooq, Omar
- 158-167 Disclosure of financial instruments: Practices and challenges of Latin American firms from the mining industry
by Malaquias, Rodrigo Fernandes & Zambra, Pablo
- 168-179 Linkages between financial development, financial instability, financial liberalisation and economic growth in Africa
by Batuo, Michael & Mlambo, Kupukile & Asongu, Simplice
- 180-196 Determinants of the choice between share repurchases and dividend payments
by Wesson, N. & Smit, E.v.d.M. & Kidd, M. & Hamman, W.D.
- 197-207 Do creditors price firms’ environmental, social and governance risks?
by Erragragui, Elias
- 208-218 Impact of dependence modeling of non-life insurance risks on capital requirement: D-Vine Copula approach
by Mejdoub, Hanène & Ben Arab, Mounira
- 219-232 Portfolio diversification between developed and developing stock markets: The case of US and UK investors in Nigeria
by Oloko, Tirimisiyu F.
- 233-242 Examining the uncovered equity parity in the emerging financial markets
by Aftab, Muhammad & Ahmad, Rubi & Ismail, Izlin
- 243-256 Diversification, capital structure and profitability: A panel VAR approach11We are grateful to the editor and the anonymous reviewer for their valuable comments
by Jouida, Sameh
- 257-270 Corporate governance and debt securities issued in Brazil and India: A multi-case study
by Marques, Thiago Avila & de Sousa Ribeiro, Karem Cristina & Barboza, Flavio
- 271-284 Intraday price discovery analysis in the foreign exchange market of an emerging economy: Mexico
by Martinez, Valeria & Tse, Yiuman
- 285-292 Can partially privatized SOEs outperform fully private firms? Evidence from Indonesia
by Rakhman, Fuad
- 293-306 Testing output gap and economic uncertainty as an explicator of stock market returns
by Ahmad, Wasim & Sharma, Sumit Kumar
- 307-322 Modeling financial market volatility in transition markets: a multivariate case
by Oikonomikou, Leoni Eleni
- 323-333 The entry mode strategy and performance of SMEs: Evidence from Norway
by Nisar, Shaista & Boateng, Agyenim & Wu, Junjie
- 334-348 Demand for audit quality in newly privatized firms in MENA region: Role of internal corporate governance mechanisms audit
by Ben-Hassoun, Amira & Aloui, Chaker & Ben-Nasr, Hamdi
- 349-356 What determines the Japanese corporate credit spread? A new evidence
by Azad, A.S.M. Sohel & Chazi, Abdelaziz & Cooper, Peter & Ahsan, Amirul
- 357-388 Dependence patterns among Asian banking sector stocks: A copula approach
by Mensah, Jones Odei & Premaratne, Gamini
- 389-401 Stability of cross-market bivariate return distributions during financial turbulence
by Mudakkar, Syeda Rabab & Uppal, Jamshed Y.
- 402-412 The relationship between media bias and inflation expectations in P.R. China
by Xu, Yingying & Liu, Zhixin & Ortiz, Jaime
- 413-426 Business risk disclosure and firm risk: Evidence from Japan
by Kim, Hyonok & Yasuda, Yukihiro
- 427-434 Banks versus markets: Do they compete, complement or Co-evolve in the Nigerian financial system? An ARDL approach
by Arize, Augustine & Kalu, Ebere Ume & Nkwor, Nelson N.
- 435-445 Cost and profit efficiency of listed South African banks pre and post the financial crisis
by du Toit, Elda & Cuba, Yolanda Z.
- 446-453 How does news impact on the stock prices of green firms in emerging markets?
by Robinson, Justin & Glean, Adrian & Moore, Winston
- 454-466 Corporate choice between conventional bond and Sukuk issuance evidence from GCC countries
by Grassa, Rihab & Miniaoui, Hela
- 467-474 Bank lending channel and monetary policy in Nigeria
by Matousek, Roman & Solomon, Helen
- 475-487 The “modern” in “modern finance”: A multi-paradigmatic look
by Ardalan, Kavous
- 488-498 Does top managers’ experience affect firms’ capital structure?
by Matemilola, B.T. & Bany-Ariffin, A.N. & Azman-Saini, W.N.W. & Nassir, Annuar Md
- 499-511 Testing for financial contagion: New evidence from the Greek crisis and yuan devaluation
by Anastasopoulos, Alexia
- 512-528 Relationship between board ownership structure and firm financial performance in transitional economy: The case of Vietnam
by Vu, Manh-Chien & Phan, Thanh Tu & Le, Nhu Tuyen
- 529-556 Do European bidders pay more in cross-border than in domestic acquisitions? New evidence from Continental Europe and the UK
by Mateev, Miroslav & Andonov, Kristiyan
- 557-570 Monetary transmission through the debt financing channel of Islamic banks: Does PSIA play a role?
by Hamza, Hichem & Saadaoui, Zied
- 571-576 CEO Pay Slice as a measure of CEO dominance
by Zagonov, Maxim & Salganik-Shoshan, Galla
- 577-587 Behavioral explanation for risk taking in Islamic and conventional banks
by Ben Salah Mahdi, Ines & Boujelbène Abbes, Mouna
- 588-596 Relationship between capital, risk and liquidity: a comparative study between Islamic and conventional banks in MENA region
by Ben Salah Mahdi, Ines & Boujelbene Abbes, Mouna
- 597-606 How micro, small and medium-sized enterprises are driven outward the superior international trade performance? A multidimensional study on Italian food sector
by Jafari Sadeghi, Vahid & Biancone, Paolo Pietro
- 607-619 Corruption and emerging markets: Systematic review of the most cited
by Cintra, Renato Fabiano & Cassol, Alessandra & Ribeiro, Ivano & de Carvalho, Antonio Oliveira
- 620-631 Banks’ systemic risk in the Tunisian context: Measures and Determinants
by Khiari, Wided & Nachnouchi, Jamila
2018, Volume 44, Issue C
- 1-15 The housing market and the credit default swap premium in the UK banking sector: A VAR approach
by Benbouzid, Nadia & Mallick, Sushanta & Pilbeam, Keith
- 16-25 Predicting bank failure: An improvement by implementing a machine-learning approach to classical financial ratios
by Le, Hong Hanh & Viviani, Jean-Laurent
- 26-39 Bank profitability during and before the financial crisis: Domestic versus foreign banks
by Bouzgarrou, Houssam & Jouida, Sameh & Louhichi, Waël
- 40-48 Analyzing the governance structure of French banking groups
by Ben Bouheni, Faten & Idi Cheffou, Abdoulkarim & Jawadi, Fredj
- 49-63 Spillover effects among financial institutions within Germany and the United Kingdom
by Ghulam, Yaseen & Doering, Jana
- 64-75 Does international-reserves targeting decrease the vulnerability to capital flights?
by Kato, Mika & Proaño, Christian R. & Semmler, Willi
- 76-87 The relationship between volume imbalance and spread
by Dinh, Minh Thi Hong