Content
July 2016, Volume 52, Issue 7
- 1542-1561 The Role of Bank and Corporate Balance Sheets on Early Warning Systems of Currency Crises—An Empirical Study
by Christian Mulder & Roberto Perrelli & Manuel Duarte Rocha - 1562-1573 How Should Slovenia Design Fiscal Policies in the Government Debt Crisis?
by Dmitri Blueschke & Klaus Weyerstrass & Reinhard Neck - 1574-1586 The Impact of Foreign Banks on Monetary Policy Transmission During the Global Financial Crisis of 2008–2009: Evidence from Korea
by Ji Wu & Hosung Lim & Bang Nam Jeon - 1587-1605 A Market Efficiency Comparison of Islamic and Non-Islamic Stock Indices
by Osamah M. Al-Khazali & Guillaume Leduc & Mohammad Saleh Alsayed - 1606-1626 An Open Economy DSGE Model with Search-and-Matching Frictions: The Case of Hungary
by Zoltán Jakab & István Kónya - 1627-1646 Predictability of Emerging Market Local Currency Bond Risk Premia
by Vedat Akgiray & Sayad Baronyan & Emrah Sener & Osman Yılmaz - 1647-1660 Quantitative Analysis of Foreign Trade and Environmental Efficiency in China
by Malin Song & Yuanxiang Zhou - 1661-1678 The Impact of Bank Credit on Employment Formality: Evidence from Uruguay
by Néstor Gandelman & Alejandro Rasteletti - 1679-1697 Fiscal Decentralization, Budgetary Transparency, and Local Government Size in China
by Shujian Zhang - 1698-1723 Modeling Time-Varying Correlations in Volatility Between BRICS and Commodity Markets
by Sang Hoon Kang & Ron McIver & Seong-Min Yoon
June 2016, Volume 52, Issue 6
- 1279-1280 Sustainable Energy Policy in China: Economic Issues and Policy Challenges
by Jiahai Yuan - 1281-1297 Trade Liberalization and China’s Exports of Renewable Energy Products: Evidence from Product Level Data
by Yong Zhao & Lili Wang & Yihua Yu - 1298-1304 Nexus Between Energy Consumption and Economic Growth in China: From the Perspective of Embodied Energy Imports and Exports
by Xu Tang & Hongmei Deng & Baosheng Zhang & Simon Snowden & Mikael Höök - 1305-1314 Does FDI Increase Industrial Energy Consumption of China? Based on the Empirical Analysis of Chinese Provinces Industrial Panel Data
by Kai Li & Shaozhou Qi - 1315-1324 A Panel Data Analysis of the Relationship Between Air Pollutant Emissions, Economics, and Industrial Structure of China
by Xiaopeng Guo & Xiaodan Guo - 1325-1334 The Resource Curse and Its Transmission Channels: An Empirical Investigation of Chinese Cities’ Panel Data
by Jin Guo & Xinye Zheng & Feng Song - 1335-1347 Regional Transfer of Haze Pollutants Embodied in China’s Foreign Trade and Factors Affecting It: A GMRIO-Based Empirical Analysis
by Rui Xie & Guomei Zhao & Bangzhu Zhu & Mingyong Lai - 1348-1360 Agent-Based Modeling of Global Carbon Trading and Its Policy Implications for China in the Post-Kyoto Era
by Qianting Zhu & Keran Duan & Jing Wu & Zheng Wang - 1361-1371 Carbon Markets in China: Development and Challenges
by Dong Sun & Jingqi Sun & Xingping Zhang & Qingyou Yan & Qianru Wei & Yun Zhou - 1372-1384 A CGE Analysis of the Impacts of a Carbon Tax on Provincial Economy in China
by Xingping Zhang & Zhengquan Guo & Yuhua Zheng & Jinchen Zhu & Jing Yang - 1385-1394 The Emission Taxes Refunding Scheme Based on Output Subsidies with an Exogenous Abatement Target
by Changsheng Li & Ying Fan & Lei Zhu - 1395-1404 Energy-Efficiency Policies and Energy Productivity Improvements: Evidence from China’s Manufacturing Industry
by Mian Yang & Fuxia Yang - 1405-1413 Total Factor Productivity and Energy Intensity: An Empirical Study of China’s Cement Industry
by Hui Hu & Xiang Li & Fuxia Yang & Jesmin Islam - 1414-1426 A Benefit Analysis of Electric Vehicle Battery Swapping and Leasing Modes in China
by Xingping Zhang & Rao Rao - 1427-1437 Feed-In Tariff for Onshore Wind Power in China
by Jiahai Yuan & Chunning Na & Yan Xu & Changhong Zhao - 1438-1454 Macro Liquidity Risk, Money Growth, and the Cross-Section of Stock Returns: The Case of Korea
by Hosung Jung & Dongcheol Kim - 1455-1471 Determinants of Operational Efficiency and Total Factor Productivity Change of Major Cambodian Financial Institutions: A Data Envelopment Analysis During 2006–13
by Hidenobu Okuda & Daiju Aiba - 1472-1480 Estimating the Model for Seasoned Equity Offering Underpricing: Application to the Chinese Financial Market
by Chune Young Chung & Chang Liu - 1481-1495 The Construction and Application of a New Exchange Rate Forecast Model Combining ARIMA with a Chaotic BP Algorithm
by Ma Yonghong & Wu Zhiyong & Ai Mingye & Wang Wei - 1496-1511 The Effectiveness of Regulation Fair Disclosure: Evidence from an Emerging Market
by Hoshik Shim & Hyungjin Cho & Woo-Jong Lee
May 2016, Volume 52, Issue 5
- 1047-1059 Institutional Quality, Trade Openness, and Financial Sector Development in Asia: An Empirical Investigation
by Thai-Ha Le & Jungsuk Kim & Minsoo Lee - 1060-1071 Taper Tantrum and Emerging Equity Market Slumps
by Gemma B. Estrada & Donghyun Park & Arief Ramayandi - 1072-1091 Value-at-Risk Forecasting of Chinese Stock Index and Index Future Under Jumps, Permanent Component, and Asymmetric Information
by Shaoyu Li & Lijia Wei & Zehua Huang - 1092-1105 The Three-Factor Model and Size and Value Premiums in China’s Stock Market
by Shiqing Xie & Qiuying Qu - 1106-1120 The Recent Convergence of Financial Development in Asia
by Robert Dekle & Madhavi Pundit - 1121-1144 Effect of the Sovereign Credit Ratings in East Asia Countries: Evidence from Panel Vector Autoregression
by Sammo Kang & Sejin Min - 1145-1155 Does Financial Openness Matter in the Relationship Between Financial Development and Income Distribution in Latin America?
by Jorge Guillen - 1156-1166 Rural Homeowners’ Willingness to Buy Flood Insurance
by Jinzheng Ren & H. Holly Wang - 1167-1194 Local Currency Bond Market Development in Sub-Saharan Africa: A Stock-Taking Exercise and Analysis of Key Drivers
by Dennis Essers & Hans J. Blommestein & Danny Cassimon & Perla Ibarlucea Flores - 1195-1209 Sources of Fluctuations in Islamic, U.S., EU, and Asia Equity Markets: The Roles of Economic Uncertainty, Interest Rates, and Stock Indexes
by Shawkat Hammoudeh & Won Joong Kim & Soodabeh Sarafrazi - 1210-1225 What Influences Stock Market Behavior in Russia and Other Emerging Countries?
by Iikka Korhonen & Anatoly Peresetsky - 1226-1240 Monetary Policy Stress in EMU: What Role for Fundamentals and Missed Forecasts?
by Paweł Gajewski - 1241-1258 On International Consumption Risk Sharing, Financial Integration and Financial Development
by Yasin Mimir - 1259-1278 Ownership, Internal Capital Market, and Financing Costs
by Wenhao Tan & Zhenpeng Ma
April 2016, Volume 52, Issue 4
- 775-775 Corporate Financial Decisions, Capital Markets, and Employment in Asia-Pacific Economies
by Shuh-Chyi Doong & Sheng-Yung Yang & Min-Teh Yu - 776-785 The Optimal Timing of Open Market Stock Repurchases
by Chih-Chen Hsu & Andreas Krause - 786-796 Jump-Dependent Model for Optimal Index Futures Hedging in Five Major Asian Stock Markets
by Yi-Hao Lai & Yi-Chiuan Wang - 797-811 The Effect of the Alternation in the Ruling Party on Three-Factor Risks and Returns in ETF: The Case of Presidential Elections in Taiwan
by Chia-Pin Chen & Ying-Sing Liu & Chih-Wen Hsu - 812-824 Advertising and Investor Recognition of Banking Firms: Evidence from Taiwan
by Tsai-Ling Liao & Hao-Chang Sung & Min-Teh Yu - 825-842 Managers’ Escalation Behavior in Equity Investment Decisions and the Role of Corporate Governance
by Chih-Jen Huang & Amy Yueh-Fang Ho & Hsin-Yu Liang & Chun-Hung Chiang - 843-852 The Impact of Position Difference on Employees’ Organizational Commitment After the Merger of Life Insurance Companies
by Chiehwei Hung & Jungpin Wu - 853-868 Employability and Wage Compensation in an Asian Economy: Evidence for Female College Graduates in Taiwan
by Shih-Yung Chiu & Hwei-Lin Chuang - 869-885 Deregulation, Pricing Strategies, and Claim Behavior in the Taiwan Automobile Insurance Market
by Sheng-Chang Peng & Chu-Shiu Li & Chwen-Chi Liu - 886-903 Capital Flows During Quantitative Easing: Experiences of Developing Countries
by Donghyun Park & Arief Ramayand & Kwanho Shin - 904-922 Absorptive Capabilities, FDI, and Economic Growth in Transition Economies
by Sabina Silajdzic & Eldin Mehic - 923-937 Effectiveness of Macroprudential Policies in Developing Asia: An Empirical Analysis
by Minsoo Lee & Ruben Carlo Asuncion & Jungsuk Kim - 938-960 Does Faith Matter in Mutual Funds Investing? Evidence from Saudi Arabia
by Hesham Merdad & M. Kabir Hassan & Mohsin Khawaja - 961-974 Competition, Financial Intermediation, and Riskiness of Banks: Evidence from the Asia-Pacific Region
by Wahyoe Soedarmono & Amine Tarazi - 975-990 Banking Market Size Structure and Financial Stability: Evidence from Eight Asian Countries
by Hakkon Kim & Kwangwoo Park & Sangjin Song - 991-1001 Financial Development, Interest Rate Liberalization, and Macroeconomic Volatility
by Gongyan Yang & Hongzhong Liu - 1002-1012 Institutional Investor Trading in a Short Investment Horizon: Evidence from the Korean Stock Market
by Chune Young Chung & Chang Liu & Kainan Wang - 1013-1028 The Impact of IFRS Adoption and Corporate Governance Principles on Transparency and Disclosure: The Case of Borsa Istanbul
by Mine Aksu & Hassan Espahbodi - 1029-1045 Price Rigidity in Turkey: Evidence from Micro Data
by M. Utku Özmen & Orhun Sevinç
March 2016, Volume 52, Issue 3
- 539-556 Financial Integration in Asset and Liability Holdings in East Asia
by Donghyun Park & Kwanho Shin - 557-573 The Impact of Economic Shocks in the Rest of the World on South Africa: Evidence from a Global VAR
by Annari De Waal & Reneé van Eyden - 574-588 Comovement of Exchange Rates: A Wavelet Analysis
by Alin Marius Andrieş & Iulian Ihnatov & Aviral Kumar Tiwari - 589-609 An Empirical Analysis of the Risk-Taking Channel of Monetary Policy in Turkey
by Ekin Ayşe Özşuca & Elif Akbostancı - 610-624 Technical Efficiency Measurement Incorporating Risk Preferences: An Empirical Analysis of Chinese Commercial Banks
by Ning Zhu & Bing Wang & Zhiqian Yu & Yanrui Wu - 625-638 Globalization and Changing Inflation Dynamics in China
by Chengsi Zhang & Huidong He - 639-657 Volatility Modeling and Value-at-Risk (VaR) Forecasting of Emerging Stock Markets in the Presence of Long Memory, Asymmetry, and Skewed Heavy Tails
by Hatice Gaye Gencer & Sercan Demiralay - 658-673 The Relationship Between Sovereign Spreads and International Reserves: Does the Exchange Rate Regime Matter?
by Inci Gumus - 674-689 The Causal Relationship Between Economic Policy Uncertainty and Stock Returns in China and India: Evidence from a Bootstrap Rolling Window Approach
by Xiao-lin Li & Mehmet Balcilar & Rangan Gupta & Tsangyao Chang - 690-705 Does Fiscal Decentralization Promote Fiscal Discipline?
by Zafer Akin & Zeynep B. Bulut-Cevik & Bilin Neyapti - 706-721 Risk-Adjusted Performances of World Equity Indices
by Yigit Atilgan & K. Ozgur Demirtas - 722-723 Revisiting the Roles of Financial Access and Deepening for Growth and Reducing Inequality
by Takeshi Inoue & Takuji Kinkyo & Shigeyuki Hamori - 724-732 Financial Intermediation and Economic Growth in China: New Evidence from Panel Data
by Haifeng Xu - 733-742 Financial Development and Income Inequality: Long-Run Relationship and Short-Run Heterogeneity
by Wang Chen & Takuji Kinkyo - 743-753 Financial Access and Economic Growth: Evidence from Sub-Saharan Africa
by Takeshi Inoue & Shigeyuki Hamori - 754-764 Financial Development, Labor Participation, and Employment in Urban China
by Guifu Chen & Sizhuo Chen - 765-774 Do Workers’ Remittances Promote Access to Finance? Evidence from Asia-Pacific Developing Countries
by Takeshi Inoue & Shigeyuki Hamori
February 2016, Volume 52, Issue 2
- 255-284 From Financial Repression to External Distress: The Case of Venezuela
by Carmen M. Reinhart & Miguel Angel Santos - 285-301 Bank Ownership and Lending: Does Bank Ownership Matter?
by Laivi Laidroo - 302-321 Total Factor Productivity, Foreign Direct Investment, and Entry Barriers in the Chinese Automotive Industry
by Firat Demir & Li Su - 322-335 Effects of Private Ownership, Trade, and Foreign Direct Investment on Labor Productivity Growth in Transition Economies: Evidence from the Croatian Manufacturing Industry
by Goran Vukšić - 336-350 Turkey’s Distressing Dance With Capital Flows
by Fatih Özatay - 351-363 Hot Money and Business Cycle Volatility: Evidence from Selected ASEAN Countries
by Lu Yang & Shigeyuki Hamori - 364-381 Prolonged Reserves Accumulation, Credit Booms, Asset Prices and Monetary Policy in Asia
by Andrew J. Filardo & Pierre L. Siklos - 382-399 Correlation Dynamics in East Asian Financial Markets
by Lestano & Gerard H. Kuper - 400-419 Corruption Distance and Foreign Direct Investment
by Xingwang Qian & Jesus Sandoval-Hernandez - 420-433 Determination of Renminbi Equilibrium Exchange Rate, Misalignment, and Official Intervention
by Liu Hai Yue & Jiang Qiang & Tang Ying Kai - 434-448 The Dynamic Speed of Cash-Holding Adjustment in a Transition Economy: A New Approach and Evidence
by Liang Chang & Kebin Deng & Xuan Wang - 449-460 Medical Insurance Effects on Household Durable Goods Consumption: Evidence from China
by Weixian Cai & Jian Chen & Hui Ding - 461-474 Leverage, Consumer Finance, and Housing Prices in China
by Ye Guo & Wenbin Xu & Zhiyuan Zhang - 475-486 Systemic Risk in the Chinese Shadow Banking System: A Sector-Level Perspective
by Guangning Tian & Jianjun Li & Ying Xue & Sara Hsu - 487-497 Bank Loan Supply in the Financial Crisis: Evidence from the Role of Political Connection
by Wei-Che Tsai & Wei-Yuan Wang & Po-Hsin Ho & Chih-Yung Lin - 498-512 A Study on the Effect of Financial Inclusion on the Relationship Between Income Inequality and Economic Growth
by Jong-Hee Kim - 513-521 The Finance–Growth Nexus and Poverty Reduction in Western China
by Yanping Huang & Yu Liu & Huakun Wu - 522-537 Twin Booms: The Lead–Lag Relation Between Credit and Housing Booms
by Chung-Hua Shen & Lin Bu & Kun-Li Lin & Meng-Wen Wu
January 2016, Volume 52, Issue 1
- 1-9 Volatility Linkages Among Gold Futures in Emerging Markets
by Hasan F. Baklaci & Ömür Süer & Tezer Yelkenci - 10-21 Regime-Dependent Determinants of China’s Sovereign Credit Default Swap Spread
by Zongxin Qian & Qian Luo - 22-38 Revisiting Border Effect: Evidence from Taobao.com in China
by Qin Li & Mingzhi Li & Jinfeng Luo - 39-51 Debt Financing and Voluntary Adoption of the International Financial Reporting Standards: Evidence from Korean Unlisted Firms
by Woon-Oh Jung & Sung Ook Park & Heesun Chung - 52-65 Capital Asset Pricing Model and Stochastic Volatility: A Case Study of India
by Ender Demir & Ka Wai Terence Fung & Zhou Lu - 66-69 FINANDEBT International Conference 2014: “Debt Crises and Financial Stability: Global Issues and Euro-Mediterranean Perspectives”
by Philippe Gilles - 70-75 Relationship and Transaction Lending: New Evidence and Perspectives
by Leonardo Gambacorta - 76-97 Unconventional Monetary Policy in the Eurozone: A Lack of Forward Guidance?
by Cécile Bastidon & Nicolas Huchet & Yusuf Kocoglu - 98-109 Macroeconomic Drivers of Loan Quality in Turkey
by Ahmet Faruk Aysan & Huseyin Ozturk & Ali Yavuz Polat & Burak Saltoğlu - 110-122 Beyond the Optimistic Curse: A New Multiscenario Approach to Debt Sustainability Assessment
by Bassem Kamar & Damyana Bakardzhieva - 123-135 The Twin Crises: Determinants of Banking and Currency Crises in the Turkish Economy
by Ali Ari & Raif Cergibozan - 136-153 Market Valuation Effect of Foreign Asset Divestitures in an Emerging Economy: Korean Evidence
by Hyunchul Lee & Kyung-In Park - 154-168 Inflation in New EU Member States: A Domestically or Externally Driven Phenomenon?
by Tomislav Globan & Vladimir Arčabić & Petar Sorić - 169-187 Financial Openness, Financial Frictions, and Macroeconomic Fluctuations in Emerging Market Economies
by Yong Ma - 188-203 Measuring Takeover Premiums in Cross-Border Mergers and Acquisitions: Insights from Turkey
by Hasan Burak Arslan & Serif Aziz Simsir - 204-222 Financial Policy in Practice: Benchmarking Financial Sector Strategies Around the World
by Samuel Munzele Maimbo & Martin Melecky - 223-236 Financial System Development and Economic Growth in Transition Economies: New Empirical Evidence from the CEE and CIS Countries
by Laura Cojocaru & Evangelos M. Falaris & Saul D. Hoffman & Jeffrey B. Miller - 237-254 The Systemic Risk of Cross-Border Banking: Evidence from the Sudden Stop and Interbank Stress Contagion in East Asia
by Chau H.A. Le & David G. Dickinson
November 2015, Volume 51, Issue S6
- 1-2 Finance, Banking, and Regulation in Emerging Economies: An Overview
by Jose Angelo Divino & Wilfredo Maldonado & Rogerio Mazali & Benjamin Miranda Tabak - 3-13 Nonlinearities in the Brazilian Yield Curve
by Luiz Alberto D´Ávila de Araújo & Joaquim Pinto de Andrade - 14-26 Modeling a Dynamic Portfolio for Pension Plans in Emerging Markets With Myopic and Nonmyopic Behavior
by Livia F. Pimentel & Leonardo P. Santiago - 27-41 Credit Risk in Interbank Networks
by Vanessa Hoffmann De Quadros & Juan Carlos González-Avella & José Roberto Iglesias - 42-60 Initial and Long-Run IPO Returns in Central and Eastern Europe
by Ales S. Berk & Polona Peterle - 61-79 Import Tariff and Exchange Rate Transmission in a Small Open Economy
by Andrea Pereira Macera & Jose Angelo Divino - 80-93 Sovereign Debt Crises in Latin America: A Market Pressure Approach
by Tjeerd M. Boonman & Jan P.A.M. Jacobs & Gerard H. Kuper - 94-106 Effect of Corporate Governance on Performance of Microfinance Institutions: A Case from Pakistan
by Raheel Gohar & Amna Batool
September 2015, Volume 51, Issue S5
- 1-20 Individual Investor Sentiment and Stock Returns: Evidence from the Korean Stock Market
by Minhyuk Kim & Jinwoo Park - 21-32 The Effect of Credit Crunches and Equity Financing Restrictions on the Capital Structure Adjustments of Chinese Listed Real Estate Companies
by Hong Zhang & Shuai Gao & Michael J. Seiler & Yang Zhang - 33-45 Management Trading in Chinese Entrepreneurial Firms on the ChiNext
by May Hu & Xiao Jun & Jingjing Yang - 46-63 Mergers, CEO Hubris, and Cost Stickiness
by Daecheon Yang
July 2015, Volume 51, Issue S4
- 1-1 Finance, Development, and Corporate Governance in Emerging Economies
by Ali M. Kutan - 2-10 Differential Effects of Strong Corporate Governance on Both Professional and Voluntary Corporate Social Responsibility Activities of the Firm
by Hyung-Deok Shin & Nam-Ryoung Lee & Ji Hyon Park - 11-22 The Role of Parent-Firm Characteristics in Affiliate Activities in South Korean Foreign Direct Investment
by Hongshik Lee & Soonhyung Sim - 23-39 Quality-Adjusted Agricultural Land Abundance Curse in Economic Development: Evidence from Postreform Chinese Panel Data
by Qichun He - 40-50 Idiosyncratic Risk and Corporate Governance: Evidence from Jordan
by Diana Abu-Ghunmi & Adel Bino & Mohammad Tayeh - 51-67 Constructing a Multifactor Model for the Shanghai Stock Exchange
by Hsin-Hung Chen & Kuang-Ping Ku & Hsiu-Yu Lee - 68-88 Asia-Pacific Stock Market Integration: New Evidence by Incorporating Regime Changes
by Sei-Wan Kim & Young-Min Kim & Moon-Jung Choi - 89-103 Does Corporate Governance Matter in the Contractual Form of Fund Management Companies in China?
by Ping Yu & On Kit Tam & Jing Zhou
May 2015, Volume 51, Issue S3
- 1-2 Corporate Finance for Advancement in Emerging Markets
by Jae-Seung Baek - 3-19 Debt, Maturity, and Corporate Governance: Evidence from Korea
by Hakkon Kim - 20-33 Cofounders and the Value of Family Firms
by Jae-Seung Baek & Jungmin Kim - 34-51 Information Content in Sneer Asymmetry: An Application to Out-of-Sample Implied Volatility Forecasting
by Youngsoo Choi & Steven J. Jordan & Wonchang Lee - 52-65 Price Movement After an Information Event Detected by a New Measure of Private Information Ratio
by Keebong Park - 66-84 Insiders’ Pre-IPO Ownership, Underpricing, and Share-Selling Behavior: Evidence from Korean IPOs
by Sang Koo Kang & Hyung Cheol Kang & Joonghyuk Kim & Noolee Kim - 85-94 The Relationship Between Corporate Social Responsibility and Corporate Financial Performance in Korea
by Wankeun Oh & Seungho Park - 95-117 The Effect of International Financial Reporting Standards Adoption on the Relation Between Earnings Quality and Information Asymmetry in Korea
by Kwanghee Cho & Kyoung-min Kwon & Han Yi & Yongsuk Yun - 118-139 Loan Portfolio Loss Models With More Flexible Asymmetry and Tails for Korean Banks and a Comparison of Their Regional Concentrations
by Yongwoong Lee & Ser-Huang Poon - 140-157 Accrual Quality and Opportunistic Seasoned Equity Offering in the Korean Stock Market
by Kyung Soon Kim & Jin Hwon Lee & Chune Young Chung
March 2015, Volume 51, Issue S2
- 1-2 Introduction to a Special Issue
by Ibrahim M. Turhan - 3-4 Corporate and Capital Market Governance in Emerging Economies
by Guler Aras - 5-24 The Effect of Corporate Governance Practices on Financial Structure in Emerging Markets: Evidence from BRICK Countries and Lessons for Turkey
by Guler Aras - 25-46 The Transformation of Corporate Governance in Emerging Markets: Reform, Convergence, and Diversity
by Thomas Clarke - 47-61 Facing the Regulators: Noncompliance With Detailed Mandatory Compensation Disclosure in Brazil
by Lucas Ayres B. de C. Barros & Alexandre Di Miceli da Silveira & Patricia M. Bortolon & Ricardo P. C. Leal - 62-83 Post–Initial Public Offering Operating Performance and Its Determinants: Initial Public Offering Characteristics and Corporate Governance Practices
by Evren Arik & Elif Mutlu - 84-100 Does Governance Efficiency Affect Equity Agency Costs? Evidence from Borsa Istanbul
by Guler Aras & Ozlem Kutlu Furtuna - 101-121 Corporate Governance and Bank Performance in Emerging Markets: Evidence from Russia and Ukraine
by Inessa Love & Andrei Rachinsky
January 2015, Volume 51, Issue S1
- 1-2 Financial and Real Sector Challenges in Emerging Economies
by Ali M. Kutan - 3-17 Return and Volatility Spillovers and Cojump Behavior Between the U.S. and Korean Stock Markets
by Jun Sik Kim & Doojin Ryu - 18-41 The Response of Dynamic Herd Behavior to Domestic and U.S. Market Factors: Evidence from the Greater China Stock Markets
by Wan-Ru Yang & Yi-Ling Chen - 42-57 External Conditions, the Evolution of Financial Risks, and the Informational Content of Stock Prices: The Case of Chile
by Fernando Díaz Hurtado & Fernando Lefort - 58-72 The Application of Corporate Governance Indicators With XBRL Technology to Financial Crisis Prediction
by Chien-Kuo Li & Deron Liang & Fengyi Lin & Kwo-Liang Chen - 73-85 The Information Transmission Effect and Asset Prices: Evidence from the China B-Share Discount
by Szu-Lang Liao & Tsung-Ying Tsai - 86-98 The Asymmetry and Volatility of the Chinese Stock Market Caused by the “New National Ten”
by Jui-Jung Tsai & Yang-Chao Wang & Kehuang Weng - 99-110 Momentum in the Chinese Stock Market: Evidence from Stochastic Oscillator Indicators
by Yensen Ni & Yi-Ching Liao & Paoyu Huang - 111-120 The Effect of Investor Sentiment on Feedback Trading and Trading Frequency: Evidence from Taiwan Intraday Data
by Wu-Yueh Hu & Chih-Jen Huang & Heng-Yu Chang & Wei-Ju Lin - 121-132 Risk, Capital, and Operating Efficiency: Evidence from Taiwan’s Life Insurance Market
by Jin-Li Hu & Hsueh-E Yu - 133-151 An Application of the Dynamic Network DEA Model: The Case of Banks in Taiwan
by Chuang-Min Chao & Ming-Miin Yu & Hsiao-Ning Wu - 152-173 Financial Regulation, Exchange Rate Exposure, and Hedging Activities: Evidence from Korean Firms
by Jong-Hee Kim & Joocheol Kim - 174-195 Insider Ownership, Subsidiary Cash Holdings, and Economic Consequences: Evidence from Listed Chinese Companies
by Huili Zhang & Zhengfei Lu & Ran Zhang & Guohua Jiang - 196-213 Chief Financial Officers’ Power, Institutional Environment, and Corporate Effective Tax Rate: Evidence from China
by Danlin Pu & Yun Hong & Ming-Hsien Hsueh - 214-223 The Baumol Diseases and the Korean Economy
by Wankeun Oh & Kyungsoo Kim - 224-233 Openness, Ownership, and Regional Economic Growth in Vietnam
by Chih-Hai Yang & Eric D. Ramstetter & Jen-Ruey Tsaur & Minh Ngoc Phan - 234-250 Is the Magic of the Diaspora Fact or Fiction? A Study of Taiwan’s Trade Performance in the Bamboo Network
by Chengli Tien & Chin-jung Luan - 251-260 Hyperbolic Discounting and Consumer Patience: The Case of Korea
by Yoonseok Choi & Sunghyun Kim - 261-274 Financial Development and Total Factor Productivity Growth: Evidence from China
by Jian Han & Yanzhi Shen - 275-284 Financial Deepening, Asset Price Inflation, and Economic Convergence: Empirical Analysis Based on China’s Experience
by Wanjun Yao & Han Wu & Tomoko Kinugasa
November 2015, Volume 51, Issue 6
- 1-1 Editorial Board EOV
by The Editors - 1071-1073 Politics, Finance, and Economic Fluctuations in China
by Dayong Zhang - 1074-1083 The Squeezed Middle: Political Affiliation and Financial Constraints in China
by Puyang Sun & Wei Jiang - 1084-1098 Do We Need to Recover + 0 Trading? Evidence from the Chinese Stock Market
by Yu Wu & Fang Qin - 1099-1116 Does Refinancing Incentive Affect Cash Dividends Policy? Evidence from the Semimandatory Dividend Policy in China
by Guoying Deng & Shaoyang Zhao & Nanmiao Zhu - 1117-1128 Hedging or Speculation: What Can We Learn from the Volume-Return Relationship?
by Lin Huang & Dayong Zhang - 1129-1140 Effects of Structural Oil Shocks on Output, Exchange Rate, and Inflation in the BRICS Countries: A Structural Vector Autoregression Approach
by Qiang Ji & Ming-Lei Liu & Ying Fan - 1141-1143 MENA Economies: Reforms, Risk, and Development
by M. Ege Yazgan - 1144-1162 The Reform of Energy Subsidies in Iran: The Role of Cash Transfers
by Djavad Salehi-Isfahani & Bryce Wilson Stucki & Joshua Deutschmann - 1163-1174 Intraindustry Volatility Spillovers in the MENA Region
by Serda Selin Öztürk & Engin Volkan - 1175-1178 Structural Change in MENA Remittance Flows
by George S. Naufal & Ismail H. Genc - 1179-1192 Measuring Human Development in the MENA Region
by Mehmet Pinar & Thanasis Stengos & M. Ege Yazgan - 1193-1208 Risk Spillover Between the GIPSI Economies and Egypt, Saudi Arabia, and Turkey
by Dilip Kumar - 1209-1229 Structural Change and Industrial Policy in Turkey
by İzak Atiyas & Ozan Bakis - 1230-1243 Herding Behavior and Default in Funded Pension Schemes: The Chilean Case
by Francisco Bravo & José Luis Ruiz - 1244-1260 The Effects of Corporate Board and CEO Characteristics on Firm Value: Empirical Evidence from Listed Companies on the Bucharest Stock Exchange
by Georgeta Vintilă & Mihaela Onofrei & Ştefan Cristian Gherghina - 1261-1275 Accounting for Post-Crisis Macroeconomic Developments in Russia: A Large Bayesian Vector Autoregression Model Approach
by Elena Deryugina & Alexey Ponomarenko - 1276-1291 Political Institutions, Trade Openness, and Economic Growth: New Evidence
by Michaël Bonnal & Mehmet E. Yaya - 1292-1306 Industrial Diversification and Risk in an Emerging Market: Evidence from Turkey
by Emel Yücel & Yıldırım Beyazıt Önal - 1307-1325 Determinants of Turkish Exports to European Union Countries: A Sectoral Panel Data Analysis
by Güzin Bayar & Metehan Ünal & Selman Tokpunar - 1326-1341 Sovereign Risk and Natural Disasters in Emerging Markets
by Jeroen Klomp - 1342-1357 Idiosyncratic Volatility Forecasting in the Stock Market of Saudi Arabia
by Jorg Bley & Mohsen Saad
September 2015, Volume 51, Issue 5
- 857-858 Introduction: Emerging Stock and Bond Markets: Performance and Volatility
by Paresh Kumar Narayan - 859-866 Volatility Dynamics in the Term Structure of Latin American Sovereign International Bonds
by Kannan S. Thuraisamy