Content
2024, Volume 14, Issue 2
- 151-177 On the key drivers of capital depletion in the EU-wide stress tests
by Efstathios Sarantinos & Dimitris Kenourgios & John Hlias Plikas - 151-177 On the key drivers of capital depletion in the EU-wide stress tests
by Efstathios Sarantinos & Dimitris Kenourgios & John Hlias Plikas - 178-205 Value relevance: a systematic literature review
by Nicholas Daniel Haupt & Katinka Vermeulen & Elda du Toit - 178-205 Value relevance: a systematic literature review
by Nicholas Daniel Haupt & Katinka Vermeulen & Elda du Toit - 206-246 The influence of integrated reporting compliance on analyst forecast accuracy and credit ratings
by Athanasios Pavlopoulos & George Emmanuel Iatridis & Dimitrios N. Koufopoulos - 206-246 The influence of integrated reporting compliance on analyst forecast accuracy and credit ratings
by Athanasios Pavlopoulos & George Emmanuel Iatridis & Dimitrios N. Koufopoulos - 247-278 Do governance settings moderate the effect of country risk on firms' cash holdings? Evidence from China
by Seyed Alireza Athari - 247-278 Do governance settings moderate the effect of country risk on firms' cash holdings? Evidence from China
by Seyed Alireza Athari
2024, Volume 14, Issue 1
- 1-27 Dividends, investment and pension contributions
by Jon Tucker & Ismail Ufuk Misirlioglu - 1-27 Dividends, investment and pension contributions
by Jon Tucker & Ismail Ufuk Misirlioglu - 28-57 Booking positions in small offshore financial centres: focus on US global banks
by Carmela D'Avino & Mimoza Shabani - 28-57 Booking positions in small offshore financial centres: focus on US global banks
by Carmela D'Avino & Mimoza Shabani - 58-96 Lottery stocks in the UK: evidence, characteristics and cause
by Maher Khasawneh & David G. McMillan & Dimos Kambouroudis - 58-96 Lottery stocks in the UK: evidence, characteristics and cause
by Maher Khasawneh & David G. McMillan & Dimos Kambouroudis - 97-112 Asymmetric volatility of the US dollar index in the stock and cryptocurrency market during the Russia-Ukraine war
by Suraj Velip & Mrunali Jambotkar - 97-112 Asymmetric volatility of the US dollar index in the stock and cryptocurrency market during the Russia-Ukraine war
by Suraj Velip & Mrunali Jambotkar - 113-150 Financial statement comparability and goodwill impairments: evidence from South Korea
by Jagadison K. Aier & Eun Hye Jo & Jung Wha Lee & Gnanakumar Visvanathan - 113-150 Financial statement comparability and goodwill impairments: evidence from South Korea
by Jagadison K. Aier & Eun Hye Jo & Jung Wha Lee & Gnanakumar Visvanathan
2023, Volume 13, Issue 4
- 423-463 What do credit rating agencies tell us about earnings momentum?
by Sarayut Rueangsuwan & Somchai Supattarakul - 423-463 What do credit rating agencies tell us about earnings momentum?
by Sarayut Rueangsuwan & Somchai Supattarakul - 464-486 Going global: evidence from India
by Roberta Adami & Sudha Mathew & Prem Puwanenthiren & Sheeja Sivaprasad - 464-486 Going global: evidence from India
by Roberta Adami & Sudha Mathew & Prem Puwanenthiren & Sheeja Sivaprasad - 487-515 Do foreign investors affect stock price crash risk in the Korean stock market?
by Sang Koo Kang & Haksoon Kim & Hyunil Lim - 487-515 Do foreign investors affect stock price crash risk in the Korean stock market?
by Sang Koo Kang & Haksoon Kim & Hyunil Lim - 516-556 Director reputation and earnings management: evidence from the British Honours System
by Tolulola Lawal - 516-556 Director reputation and earnings management: evidence from the British Honours System
by Tolulola Lawal - 557-590 The dark side of inside debt: evidence from innovation
by KwangJoo Koo - 557-590 The dark side of inside debt: evidence from innovation
by KwangJoo Koo
2023, Volume 13, Issue 3
- 277-320 Hedge fund activism and short-term value creation prior to the initial filing: evidence from US firms
by Efstathios Karpouzis & Dimitris Margaritis & Maria Psillaki & Christos Staikouras - 277-320 Hedge fund activism and short-term value creation prior to the initial filing: evidence from US firms
by Efstathios Karpouzis & Dimitris Margaritis & Maria Psillaki & Christos Staikouras - 321-340 Dynamic linkages among financial stress, house prices and residential investment in Greece
by Dimitris Anastasiou & Panayotis Kapopoulos - 321-340 Dynamic linkages among financial stress, house prices and residential investment in Greece
by Dimitris Anastasiou & Panayotis Kapopoulos - 341-387 Goodwill impairment disclosure and integrated reporting: evidence on credit ratings and earnings manipulation
by Athanasios Pavlopoulos & George Emmanuel Iatridis - 341-387 Goodwill impairment disclosure and integrated reporting: evidence on credit ratings and earnings manipulation
by Athanasios Pavlopoulos & George Emmanuel Iatridis - 388-402 Is the turn of the month an anomaly on which an investment strategy could be based? Evidence from Bitcoin and Ethereum
by Evangelos Vasileiou - 388-402 Is the turn of the month an anomaly on which an investment strategy could be based? Evidence from Bitcoin and Ethereum
by Evangelos Vasileiou - 403-422 Do idiosyncratic volatility and liquidity in stock returns still matter in post-global financial crisis? The UK evidence
by Ghaith El-Nader & Yasmeen Al-Halabi - 403-422 Do idiosyncratic volatility and liquidity in stock returns still matter in post-global financial crisis? The UK evidence
by Ghaith El-Nader & Yasmeen Al-Halabi
2022, Volume 13, Issue 2
- 145-176 Bank risk-taking behaviour, market power and efficiency: empirical evidence from the East African community
by Moses Nyangu & Nyankomo Marwa & Ashenafi Fanta - 145-176 Bank risk-taking behaviour, market power and efficiency: empirical evidence from the East African community
by Moses Nyangu & Nyankomo Marwa & Ashenafi Fanta - 177-216 Why do UK firms repurchase their own shares?
by Elisabeth Dedman & Shan Hua & Thanamas Kungwal - 177-216 Why do UK firms repurchase their own shares?
by Elisabeth Dedman & Shan Hua & Thanamas Kungwal - 217-240 Spatial patterns and local banks' tax behaviour: an empirical analysis in Italy
by Carmelo Algeri & Antonio Fabio Forgione & Raffaele Staglianò - 217-240 Spatial patterns and local banks' tax behaviour: an empirical analysis in Italy
by Carmelo Algeri & Antonio Fabio Forgione & Raffaele Staglianò - 241-260 Inequality of information and the value of firms
by Arif Budi Satrio & Mustaruddin Saleh & Wendy - 241-260 Inequality of information and the value of firms
by Arif Budi Satrio & Mustaruddin Saleh & Wendy - 261-276 Herding behaviour in shareholder activism brokers
by Konstantinos Kostaris & Andreas Andrikopoulos - 261-276 Herding behaviour in shareholder activism brokers
by Konstantinos Kostaris & Andreas Andrikopoulos
2022, Volume 13, Issue 1
- 1-31 Borrower characteristics and loan performance: evidence from micro and small Greek firms
by Vasileios Giannopoulos & Eleftherios Aggelopoulos & Antonios Georgopoulos - 1-31 Borrower characteristics and loan performance: evidence from micro and small Greek firms
by Vasileios Giannopoulos & Eleftherios Aggelopoulos & Antonios Georgopoulos - 32-60 Assessing competitiveness in the MENA banking sector in the context of the quality of institutional variables and political conflict risk
by Hatem Elfeituri - 32-60 Assessing competitiveness in the MENA banking sector in the context of the quality of institutional variables and political conflict risk
by Hatem Elfeituri - 61-87 Effective monetary policy, banks' pricing behaviour and human development in Africa
by Abdul Ganiyu Iddrisu & Alhassan Andani & Joshua Yindenaba Abor - 61-87 Effective monetary policy, banks' pricing behaviour and human development in Africa
by Abdul Ganiyu Iddrisu & Alhassan Andani & Joshua Yindenaba Abor - 88-114 An investigation of how volatile financial analyst recommendations may affect managerial behaviour and financial reporting quality
by George Emmanuel Iatridis & Elizabeth Georgoula & Tuba Toksöz - 88-114 An investigation of how volatile financial analyst recommendations may affect managerial behaviour and financial reporting quality
by George Emmanuel Iatridis & Elizabeth Georgoula & Tuba Toksöz - 115-144 Investor sentiment, bull and bear markets and stock returns
by Dorsaf Ben Aissia & Nizar Neffati - 115-144 Investor sentiment, bull and bear markets and stock returns
by Dorsaf Ben Aissia & Nizar Neffati
2021, Volume 12, Issue 4
- 309-332 Auditor's expertise and the effect of the European banking sector CEO skill on audit quality during the European financial crisis
by Panagiotis Tachinakis & Michalis Samarinas - 309-332 Auditor's expertise and the effect of the European banking sector CEO skill on audit quality during the European financial crisis
by Panagiotis Tachinakis & Michalis Samarinas - 333-346 Future firm performance and textual characteristics of 10-K disclosures
by Anestis C. Ladas - 333-346 Future firm performance and textual characteristics of 10-K disclosures
by Anestis C. Ladas - 347-367 Stress-testing and credit risk revisited: a shipping sector application
by Anna Merika & Ioannis Negkakis & Henry Penikas - 347-367 Stress-testing and credit risk revisited: a shipping sector application
by Anna Merika & Ioannis Negkakis & Henry Penikas - 368-388 Evaluating the role and effectiveness of the audit committee on the quality of financial reporting: evidence from Greek PIEs
by Constantinos Chalevas & Panagiotis Giannopoulos & Andreas Koutoupis & Angeliki Samara - 368-388 Evaluating the role and effectiveness of the audit committee on the quality of financial reporting: evidence from Greek PIEs
by Constantinos Chalevas & Panagiotis Giannopoulos & Andreas Koutoupis & Angeliki Samara - 389-403 An assessment of the Fundamental Review of the Trading Book: the capital requirement impact on a stylised financial portfolio
by Chiara Pederzoli & Costanza Torricelli - 389-403 An assessment of the Fundamental Review of the Trading Book: the capital requirement impact on a stylised financial portfolio
by Chiara Pederzoli & Costanza Torricelli
2021, Volume 12, Issue 3
- 201-239 Dependence between Islamic banks and conventional banks and risk factors
by Mohamed Amin Chakroun & Mohamed Imen Gallali - 201-239 Dependence between Islamic banks and conventional banks and risk factors
by Mohamed Amin Chakroun & Mohamed Imen Gallali - 240-265 Accruals quality and analyst forecast accuracy: evidence from the property-casualty insurance industry
by In Jung Song - 240-265 Accruals quality and analyst forecast accuracy: evidence from the property-casualty insurance industry
by In Jung Song - 266-284 Does CEO overconfidence matter for shareholders' wealth? Evidence from the UK takeover market
by Chen Huang - 266-284 Does CEO overconfidence matter for shareholders' wealth? Evidence from the UK takeover market
by Chen Huang - 285-307 Borrowers' perceptions of lending conditions: worlds apart or closer than close?
by Dimitrios Anastasiou & Konstantinos Drakos - 285-307 Borrowers' perceptions of lending conditions: worlds apart or closer than close?
by Dimitrios Anastasiou & Konstantinos Drakos
2021, Volume 12, Issue 2
- 97-117 Corporate bonds, exchange rates and business strategy
by Konstantina Vartholomatou & Konstantina Pendaraki & Athanasios Tsagkanos - 97-117 Corporate bonds, exchange rates and business strategy
by Konstantina Vartholomatou & Konstantina Pendaraki & Athanasios Tsagkanos - 118-140 Is the era of the day-of-the-week anomaly over?
by Ngan Duong Cao & Vu Quang Trinh & Thanh Quoc Nguyen - 118-140 Is the era of the day-of-the-week anomaly over?
by Ngan Duong Cao & Vu Quang Trinh & Thanh Quoc Nguyen - 141-157 Bank risk and charter value: the role of opacity
by Chris Brune & Kevin Lee & Scott Miller - 141-157 Bank risk and charter value: the role of opacity
by Chris Brune & Kevin Lee & Scott Miller - 158-176 The CEO identity of sovereign wealth funds and target firms' performance
by Alfonso Del Giudice & Giovanni Petrella - 158-176 The CEO identity of sovereign wealth funds and target firms' performance
by Alfonso Del Giudice & Giovanni Petrella - 177-200 Forecasting the yield curve with macroeconomic information - evidence from European markets
by Isabel Maldonado & Carlos Pinho & Francisco RodrÃguez De Prado & Carla Azevedo Lobo - 177-200 Forecasting the yield curve with macroeconomic information - evidence from European markets
by Isabel Maldonado & Carlos Pinho & Francisco Rodríguez De Prado & Carla Azevedo Lobo
2021, Volume 12, Issue 1
- 1-15 An empirical examination of the efficiency of commodity markets in India
by Ullas Rao & Vincent Charles - 1-15 An empirical examination of the efficiency of commodity markets in India
by Ullas Rao & Vincent Charles - 16-51 The impact of ICT diffusion on sovereign cost of debt
by Apostolos Kotzinos & Dimitris Psychoyios & Nikolaos Vlastakis - 16-51 The impact of ICT diffusion on sovereign cost of debt
by Apostolos Kotzinos & Dimitris Psychoyios & Nikolaos Vlastakis - 52-74 The relevance of annual general meetings: recent evidence from the UK
by Lawal Tolulola - 52-74 The relevance of annual general meetings: recent evidence from the UK
by Lawal Tolulola - 75-96 Nurturing regional innovation: the effects of bank competition in the USA
by Lin Tian & Liang Han - 75-96 Nurturing regional innovation: the effects of bank competition in the USA
by Lin Tian & Liang Han
2020, Volume 11, Issue 4
- 435-460 Impact of intellectual capital on bank efficiency in emerging markets: evidence from Ghana
by Joseph Mensah Onumah & King Carl Tornam Duho - 435-460 Impact of intellectual capital on bank efficiency in emerging markets: evidence from Ghana
by Joseph Mensah Onumah & King Carl Tornam Duho - 461-494 Assessing the long-term impact of reforms and privatisation on the banking industry of Pakistan
by Yaseen Ghulam - 461-494 Assessing the long-term impact of reforms and privatisation on the banking industry of Pakistan
by Yaseen Ghulam - 495-520 Bank diversification and entrepreneurship: evidence across US states
by Amit Ghosh - 495-520 Bank diversification and entrepreneurship: evidence across US states
by Amit Ghosh - 521-544 Profit change, Bennet-Bowley productivity and price change indicators
by Rolf Färe & Hirofumi Fukuyama & William L. Weber - 521-544 Profit change, Bennet-Bowley productivity and price change indicators
by Rolf Färe & Hirofumi Fukuyama & William L. Weber - 545-587 Did removing prudence from the conceptual framework impact accounting conservatism?
by Elaine Conway - 545-587 Did removing prudence from the conceptual framework impact accounting conservatism?
by Elaine Conway
2020, Volume 11, Issue 3
- 303-341 Determinants of CSR disclosure in Mexico
by Claudia Arena & Yanira Petrides & Petros Vourvachis - 303-341 Determinants of CSR disclosure in Mexico
by Claudia Arena & Yanira Petrides & Petros Vourvachis - 342-360 Managerial overconfidence and M%A performance: evidence from China
by Jie Michael Guo & Qian He & Jiayuan Xin & Jia Liu - 342-360 Managerial overconfidence and M%A performance: evidence from China
by Jie Michael Guo & Qian He & Jiayuan Xin & Jia Liu - 361-384 Market reaction to the European antitrust investigations in the payment card industry
by Francesca Battaglia & Lucia Leonelli & Ornella Ricci - 361-384 Market reaction to the European antitrust investigations in the payment card industry
by Francesca Battaglia & Lucia Leonelli & Ornella Ricci - 385-410 The effect of government involvement and payment method on merger and acquisition performance: the case of China
by Matthias Nnadi & Evgeniia Volokitina & Daniel Aghanya - 385-410 The effect of government involvement and payment method on merger and acquisition performance: the case of China
by Matthias Nnadi & Evgeniia Volokitina & Daniel Aghanya - 411-433 Determinants of price stabilisation in initial public offerings
by Antonio Gledson De Carvalho & João Amaro De Matos & Douglas Beserra Pinheiro - 411-433 Determinants of price stabilisation in initial public offerings
by Antonio Gledson De Carvalho & João Amaro De Matos & Douglas Beserra Pinheiro
2020, Volume 11, Issue 2
- 173-201 Working capital management and financial performance of UK listed firms: a contingency approach
by Ishmael Tingbani & Venancio Tauringana & Isaac Sakyi Damoah & Widin Bongasu Sha'ven - 173-201 Working capital management and financial performance of UK listed firms: a contingency approach
by Ishmael Tingbani & Venancio Tauringana & Isaac Sakyi Damoah & Widin Bongasu Sha'ven - 202-226 The dividend puzzle: testing the signalling hypothesis in a European context
by Júlio Lobão & LuÃs Pacheco & Tiago Lajas - 202-226 The dividend puzzle: testing the signalling hypothesis in a European context
by Júlio Lobão & Luís Pacheco & Tiago Lajas - 227-253 An econometric investigation of hedging performance of stock index futures in Korea: dynamic versus static hedging
by Mohammad Hasan & Taufiq Choudhry & Yuanyuan Zhang - 227-253 An econometric investigation of hedging performance of stock index futures in Korea: dynamic versus static hedging
by Mohammad Hasan & Taufiq Choudhry & Yuanyuan Zhang - 254-280 Split credit ratings of banks in times of crisis
by Surraya Rowe - 254-280 Split credit ratings of banks in times of crisis
by Surraya Rowe - 281-302 Going-concern opinions and corporate governance
by Ning Ren & Yun Zhu - 281-302 Going-concern opinions and corporate governance
by Ning Ren & Yun Zhu
2020, Volume 11, Issue 1
- 1-34 Basel 3.5 vs. Basel III: a radical overhaul of the capital requirements pillar. The case of commodity exposures
by Adrian F. Rossignolo - 1-34 Basel 3.5 vs. Basel III: a radical overhaul of the capital requirements pillar. The case of commodity exposures
by Adrian F. Rossignolo - 35-70 Cash flow sensitivities and bank-finance shocks in non-listed firms
by Charlotte Ostergaard & Amir Sasson & Bent E. Sorensen - 35-70 Cash flow sensitivities and bank-finance shocks in non-listed firms
by Charlotte Ostergaard & Amir Sasson & Bent E. Sorensen - 71-94 The earnings announcements consequences in public family firms
by Elisabete F. Simões Vieira - 71-94 The earnings announcements consequences in public family firms
by Elisabete F. Simões Vieira - 95-135 Actively versus passively managed equity ETFs: new empirical insights
by Gerasimos G. Rompotis - 95-135 Actively versus passively managed equity ETFs: new empirical insights
by Gerasimos G. Rompotis - 136-171 The propensity to pay dividends: empirical evidence from the MENA region
by Panagiotis Andrikopoulos & Osama El-Ansary & Walid Ibrahim Hassan - 136-171 The propensity to pay dividends: empirical evidence from the MENA region
by Panagiotis Andrikopoulos & Osama El-Ansary & Walid Ibrahim Hassan
2019, Volume 10, Issue 2
- 117-143 Time varying volatility and asymmetric news effect during financial crises evidence from DJIA, S%P 500, NASDAQ and FTSE 100 indices
by Samer A.M. Al-Rjoub & Hussam Q. Al-Azzam - 117-143 Time varying volatility and asymmetric news effect during financial crises evidence from DJIA, S%P 500, NASDAQ and FTSE 100 indices
by Samer A.M. Al-Rjoub & Hussam Q. Al-Azzam - 144-161 Risk, competition and cost efficiency in the Chinese banking industry
by Yong Tan & Christos Floros - 144-161 Risk, competition and cost efficiency in the Chinese banking industry
by Yong Tan & Christos Floros - 162-180 Stock market predictability 2000-2014: the effect of the great recession
by Nektarios A. Michail - 162-180 Stock market predictability 2000-2014: the effect of the great recession
by Nektarios A. Michail - 181-212 Leverage and investment: a view of prominent role of state ownership
by Thi Phuong Thao Hoang & Duc Nam Phung - 181-212 Leverage and investment: a view of prominent role of state ownership
by Thi Phuong Thao Hoang & Duc Nam Phung - 213-229 Securitisation, loan specialisation and bank risk
by Kenneth A. Tah - 213-229 Securitisation, loan specialisation and bank risk
by Kenneth A. Tah
2019, Volume 10, Issue 1
- 3-38 The WTI/Brent oil futures price differential and the globalisation-regionalisation hypothesis
by Michail Filippidis & Renatas Kizys & George Filis & Christos Floros - 3-38 The WTI/Brent oil futures price differential and the globalisation-regionalisation hypothesis
by Michail Filippidis & Renatas Kizys & George Filis & Christos Floros - 39-66 Reaction of EU stock markets to ECB policy interventions
by Dimitrios I. Vortelinos & Konstantinos Gkillas - 39-66 Reaction of EU stock markets to ECB policy interventions
by Dimitrios I. Vortelinos & Konstantinos Gkillas - 67-100 Forecasting the daily dynamic hedge ratios in emerging European stock futures markets: evidence from GARCH models
by Taufiq Choudhry & Mohammad Hasan & Yuanyuan Zhang - 67-100 Forecasting the daily dynamic hedge ratios in emerging European stock futures markets: evidence from GARCH models
by Taufiq Choudhry & Mohammad Hasan & Yuanyuan Zhang - 101-116 Pricing 'partial-average' Asian options with the binomial method
by Erwinna Chendra & Kuntjoro Adji Sidarto & Muhammad Syamsuddin & Dila Puspita - 101-116 Pricing 'partial-average' Asian options with the binomial method
by Erwinna Chendra & Kuntjoro Adji Sidarto & Muhammad Syamsuddin & Dila Puspita
2018, Volume 9, Issue 2
- 119-140 Evaluation of merger premium and firm performance in Europe
by Matthias Nnadi & Daniel Aghanya - 119-140 Evaluation of merger premium and firm performance in Europe
by Matthias Nnadi & Daniel Aghanya - 141-169 Forecasting private sector bank deposits in Greece: determinants for trend and shock effects
by Anastasios Petropoulos & Nikolaos E. Vlachogiannakis & Dionysios Mylonas - 141-169 Forecasting private sector bank deposits in Greece: determinants for trend and shock effects
by Anastasios Petropoulos & Nikolaos E. Vlachogiannakis & Dionysios Mylonas - 170-191 Trade-off vs. pecking order theory: evidence from Greek firms in a period of debt crisis
by Georgios Chatzinas & Simeon Papadopoulos - 170-191 Trade-off vs. pecking order theory: evidence from Greek firms in a period of debt crisis
by Georgios Chatzinas & Simeon Papadopoulos - 192-224 A guide to survival of momentum in UK style portfolios
by Golam Sarwar & Cesario Mateus & Natasa Todorovic - 192-224 A guide to survival of momentum in UK style portfolios
by Golam Sarwar & Cesario Mateus & Natasa Todorovic - 225-243 The relative efficiency of the crude oil futures market: evidence from India
by Sarveshwar Kumar Inani - 225-243 The relative efficiency of the crude oil futures market: evidence from India
by Sarveshwar Kumar Inani
2018, Volume 9, Issue 1
- 1-18 A contingent claims approach to the determinants of the stock-bond return relationship
by Louisa Chen & Thanos Verousis - 1-18 A contingent claims approach to the determinants of the stock-bond return relationship
by Louisa Chen & Thanos Verousis - 19-43 Working capital management, cash flow and SMEs' performance
by Godfred Adjapong Afrifa & Ishmael Tingbani - 19-43 Working capital management, cash flow and SMEs' performance
by Godfred Adjapong Afrifa & Ishmael Tingbani - 44-60 Branch manager characteristics and efficiency during capital controls
by Eleftherios Aggelopoulos - 44-60 Branch manager characteristics and efficiency during capital controls
by Eleftherios Aggelopoulos - 61-87 Volume weighted volatility: empirical evidence for a new realised volatility measure
by Chaiyuth Padungsaksawasdi & Robert T. Daigler - 61-87 Volume weighted volatility: empirical evidence for a new realised volatility measure
by Chaiyuth Padungsaksawasdi & Robert T. Daigler - 88-118 Intraday realised volatility forecasting and announcements
by Dimitrios I. Vortelinos & Konstantinos Gkillas - 88-118 Intraday realised volatility forecasting and announcements
by Dimitrios I. Vortelinos & Konstantinos Gkillas
2017, Volume 8, Issue 2
- 119-145 Does money supply growth contain predictive power for stock returns? Evidence and explanation
by David G. McMillan - 146-173 Revising the turn-of-the-month effect study: why does it fade and reappear? Practical policy implications and thoughts for further research
by Evangelos Vasileiou - 174-203 Herding behaviour in a peripheral European stock market: the impact of the subprime and the European sovereign debt crises
by LuÃs G.G. Dos Santos & Sérgio Lagoa - 204-216 Social networks in banking: a note on co-authorship in banking research
by Andreas Andrikopoulos & Aristeidis Samitas & Anastasia Lolou - 217-242 Geographical disclosure quality under IFRS 8: a European Union analysis
by Sameh Kobbi-Fakhfakh
2017, Volume 8, Issue 1
- 1-19 Accounting quality deferred tax and risk in the banking industry
by Anestis C. Ladas & Christos I. Negkakis & Angeliki D. Samara - 20-51 Attributes of audit quality and weak fiscal sustainability countries
by Panayiotis D. Tahinakis & Michalis P. Samarinas - 52-92 Contribution of Islamic banks to systemic risk
by Mohamed Amin Chakroun & Mohamed Imen Gallali - 93-118 Relationship banking and regional SME financing: the case of Wales
by Hans Degryse & Kent Matthews & Tianshu Zhao
2016, Volume 7, Issue 2
- 95-110 The 2016 EU-wide bank stress test: an analysis of the main methodological novelties
by Andrea Resti - 111-124 Venture capital investment, regional innovation and new business creation: a research note
by Douglas Dyer & Iftekhar Hasan & Haizhi Wang & Desheng Yin - 125-148 Urban agglomeration and audit pricing
by Stergios Leventis - 149-171 Do the Troika's financial assistance programs reduce systemic risk? Evidence from Eurozone countries
by Konstantinos A. Moutsianas & Kyriaki Kosmidou - 172-193 Threshold cointegration and interest rate pass-through during the pre- and post-banking consolidation in Nigeria: are there asymmetries?
by Alhaji Jibrilla Aliyu & Normaz Wana Ismail
2016, Volume 7, Issue 1
- 1-33 Dispelling the myth of a value premium: contrary evidence of Malaysian crony capitalism
by Muhammed-Shahid Ebrahim & Robert Hudson & Abdullah Iqbal & Mohamed Eskandar Shah MohdRasid - 34-51 Determinants of bank profitability: a comparative study of East Asia and Latin America
by Rubi Ahmad & Eric H.Y. Koh & Shahrin Saaid Shaharuddin - 52-83 Assessing the overall performance of microfinance institutions
by Chrysovalantis Gaganis - 84-94 The convexity of the earnings yield: does the dividend payout policy matter?
by Boonlert Jitmaneeroj
2015, Volume 6, Issue 1
- 1-20 The bank lending channel of monetary policy transmission: evidence from an emerging market, India
by Saumitra N. Bhaduri & Toto Goyal - 21-36 Non-performing debt recovery: effects of the Greek crisis
by A.Z. Marouli & Y.D. Caloghirou & E.N. Giannini - 37-52 Cost and profit efficiency of banks in Haiti: do domestic banks perform better than foreign banks?
by Raulin Lincifort Cadet - 53-72 Capital and liquidity requirements: impact on bank lending spreads
by Vighneswara Swamy
2014, Volume 5, Issue 3
- 221-251 Systemic risk and bank crises: lessons from banking industry ratings
by Claudio Calì & Barbara Marchitto & Andrea Resti - 252-283 Is excess compensation associated with the amount and content of compensation-related risk disclosures in bank proxy statements?
by James W. Bannister & Harry A. Newman & Emma Y. Peng - 284-308 Forecasting stock index returns using ARIMA-SVM, ARIMA-ANN, and ARIMA-random forest hybrid models
by Manish Kumar & M. Thenmozhi - 309-328 Modelling client usage of e-statements: an empirical study in Malaysia
by Hussain Ali Bekhet & Basheer Abbas Mahmood Al-Alak
2013, Volume 5, Issue 1/2
- 6-27 Sovereign default risk assessment
by Edward I. Altman & Herbert A. Rijken