Content
March 2023, Volume 59, Issue 4
- 937-958 How Does Exogenous Shock Change the Structure of Interbank Network?: Evidence from China under COVID-19
by Tongyu Wang & Shangmei Zhao & Wentao Wang & Haijun Yang - 959-976 Spillover Effects of the Sci-Tech Innovation Board Registration System on the Quality of Information Disclosure
by Xiaoyu Wang & Qi Gao & Xingtong Fang & Lili Hao - 977-997 Export Liberalization and Firm’s Energy Efficiency: Theory and Evidence
by Ling-Yun He & Geng Huang - 998-1011 Financial Openness and Firm Innovation: Evidence from China
by Panpan Lv & Hu Xiong - 1012-1024 Social Insurance Contribution Rate Reduction Policy and Enterprise Innovation: Evidence from China
by Qianqian Li & Zhengtang Zhao & Tingting Chen - 1025-1041 The Effect of Corporate Site Visits on Senior Executive Forced Turnover
by Zhen Qi & Meili Liao & Chien Chi Chu - 1042-1061 Analysis of the non-linear relationship between Interest Rate Distortions in China’s Shadow Banking System and short-term Capital Flows
by Chang Liu & Yinglan Zhao - 1062-1073 Local Attention to Environment and Green Innovation: Evidence from Listed Manufacturing Companies in 120 Cities in China
by Jianling Xu & Jiao Hong & Zhiyuan Zhou - 1074-1088 Former CEO Director and Audit Fees
by Yongbin Cai & Mengzhe Li & Siyuan Guo & Xingheng Nan - 1089-1103 Revival Duration and Determinants of ASEAN Machinery Trade During COVID-19 Pandemic and the Global Financial Crisis
by Chia-Lin Chang & Yu-Hui Wang & Kuo-I Chang - 1104-1114 How Does a Firm’s Earnings Response Coefficient Vary with Managerial Ability? Evidence from Korea
by Yewon Kim & Sera Choi & Bum-Joon Kim - 1115-1128 How Does Carbon Market Affect Corporate Risk-Taking? — Evidence from China
by Chun Tang & Xiaoxing Liu & Guangyi Yang - 1129-1139 Mixed Ownership Reform, Government Intervention, and Earnings Quality: Empirical Evidence from Pilot Enterprises in China
by Zuguang Wu & Xiaoxuan Hou & Xianglong Meng & Meng Wang - 1140-1160 Exchange Comment Letters and Corporate Social Responsibility: Evidence from China
by Jingru Hou & Xin Shi & Ran Tao - 1161-1178 Measuring the Level of Regional Economic Synergistic Development and Its Driving Factors
by Longfang Chen & Hao Wu - 1179-1204 Risk Perception and Audit Fees: How Do Auditors Respond When Working with Hometown CEOs?
by Jun Huang & Yun Li & Ming Dai & Feifei Han - 1205-1218 Nexus between Green Finance and Renewable Energy Development in China
by Mingbo Zheng & Qiang Du & Quan-Jing Wang - 1219-1231 Examining the Coupling Coordination Relationship between Digital Inclusive Finance and Technological Innovation from a Spatial Spillover Perspective: Evidence from China
by Zisong Sun & Changshuai Cao & Zhengxia He & Chao Feng - 1232-1246 CCTV News’ Asymmetric Impact on the Chinese Stock Market during COVID-19: A Combination Analysis Based on the SVAR and NARDL Models
by Chao Deng & Congcong Liang & Yun Hong & Yanhui Jiang - 1247-1261 How Does FDI Affect Cities’ Low-Carbon Innovation? The Moderation Effect of Smart City Development
by An Pan & Wenna Zhang & Zhangqi Zhong - 1262-1280 Innovation, Profit-Seeking, and the Formation of High Value-Added Companies: An Empirical Study on China’s Listed Manufacturing Companies
by Donghui Shi & Hua Zhuang & Ang Yang
February 2023, Volume 59, Issue 3
- 605-622 Pension Fund Trading Behavior and the Index Inclusion: Evidence from the Korean Stock Market
by Junho Hwang & Eunyoung Cho - 623-640 Heterogeneity in the Effect of Environmental Protection Expenditure in China: Causal Inference from Machine Learning
by Zunguo Hu & Lijie Deng & Jun Mao & Jiahao Xie - 641-655 Can Mixed-Ownership Reform of State-Owned Enterprises Restrain Excessive Perquisite Consumption by Executives?
by Xu Li & Xiuling Li & Zhitao Wang - 656-675 The Relationship between Physical Financing and Formal Financing from the Perspective of Contractual Arrangements in Rural China
by Lingyun Liu & Ching-Ter Chang & Hong Zhou & Binqing Xiao & Xin Zhang - 676-687 Forecasting Volatilities of Asian Markets Using U.S. Macroeconomic Variables
by Kae-Yih Tzeng - 688-697 The Role of Different Fiscal Policies in Inducing Environmental Innovation and Enhancing Firm Competitiveness
by Zhongju Liao & Xiang Zhu - 698-721 Dose Regulatory Uncertainty Affect Corporate Financialization? Based on the Perspective of the Changes of CSRC’s Chairman
by Jun Huang & Feifei Han & Yun Li - 722-736 Regional Inequality in ASEAN Countries: Evidence from an Outer Space Perspective
by Guohui Chen & Jie Zhang - 737-753 Analysis on the Motivation and Welfare of International Conflicts in Trade Dependence
by Jiaomei Tang & Yayun Ren & Yongliang Zhao & Xiaotong Zhang - 754-771 Executives’ Foreign Work Experience and International Knowledge Spillovers: Evidence from China
by Guo Feng & Xinjie Hu & Kai Wang & Shuo Yan - 772-785 Do Shareholder Networks Influence Insider Trading? Evidence from China
by Chunyang Lu - 786-799 The Realistic Way to the Decoupling of Carbon Dioxide Emissions from Economic Growth in China’s Service Sector
by Lu-Xuan Sun & Miao Wang & Yin-Shuang Xia & Chao Feng - 800-817 Is “Well-Paid Employment” Worth It? Evidence from Corporate Investment in China
by Hong Hong & Zhichao Wang & Yi Xiong - 818-835 Why Firms in Concentrated Industries are Overpriced in China?
by Guosheng He & Jiang Hu & Yugang Yin & Yahui Liu - 836-847 CEO Power and Corporate Green Governance from the Perspective of Input-output Efficiency
by Liqi Yi & Tao Li & Xinyu Zhang & Qiyu Huang & Yuze Ma & Peng Wang - 848-862 Does China’s Aid Promote Recipient Countries to be Embedded in Global Value Chains
by Jinqiang Xu & Churen Sun - 863-879 Effect of the COVID-19 Pandemic on World Trade Networks and Exposure to Shocks: A Cross-Country Examination
by C. T. Vidya & Srividhya Mummidi & Bandi Adarsh - 880-894 Impact of Investor Sentiment on Portfolio
by Xiaodong Liu & Bing Han & Luanfeng Li - 895-905 On the Monotonically Increasing Effect of Trust on Chinese Household Wealth
by Wei Cui & Yongli Zhang - 906-920 Corporate Tax Integrity and Financial Constraints: Evidence from China
by Pin Wang & Linlin Xie & Gege Zhu & Yu Guan - 921-936 From an Emerging to a Consolidated European REIT Market. The Case of the Underpricing of Spanish Direct Listing REITs
by Leticia Castaño & José E. Farinós & Ana M. Ibáñez
January 2023, Volume 59, Issue 2
- 281-295 Environmental, Social, and Governance Performance and Enterprise Dynamic Financial Behavior: Evidence from Panel Vector Autoregression
by Chao Li & Mian Wu & Wenli Huang - 296-311 Regional Digital Finance and Corporate Financial Risk: Based on Chinese Listed Companies
by Dai Yuhui & Lu Zhang - 312-323 Carbon Emissions and Clean Energy Investment: Global Evidence
by Dan Zhang & Yunpeng Wang & Xinyu Peng - 324-337 Is China’s Environmental Governance Model a win-win for Energy Conservation and Economic Development?
by Xiaodong Xiao & Yaobin Liu - 338-362 Flights-to-quality from EM Bonds to safe-haven US Treasury Securities: A time-frequency Analysis
by Mariya Gubareva & Zaghum Umar & Tamara Teplova & Xuan Vinh Vo - 363-375 Impact of Environmental Regulation on Firm Exports: Evidence from a Quasi-Natural Experiment in China
by Guanglai Zhang & Wenmei Liao & Yayun Ren & Yantuan Yu - 376-390 Political Party System and Enterprise Innovation: Is China Different?
by Yuanfang Wang & Chunfang Cao & Dan Liu - 391-403 The Impact of Interfirm Cooperative R&D on Firm Performance: Evidence from Chinese Publicly Listed Companies
by Kai Lisa Lo & Huizhu Liu & Fei Xia & Jackson Jinhong Mi - 404-419 Can Passive Investors Improve Corporate Social Responsibility? Evidence from Chinese Listed Firms
by Lili Fu & Liyuan Pan & Jingmei Zhao - 420-435 To Fight or Not to Fight: A Study on the Likelihood of Investor-State Disputes between Two Countries
by Pankaj Kumar Maskara & Emre Kuvvet - 436-450 Optimal Debt and Risk Balancing Behavior of Rural Households in China: Evidence from a Discrete Choice Experiment
by Yanling Peng & Li Zhou & Qinwen Wang & Rong Kong & Hong Fu & Yuehua Zhang & Calum G. Turvey - 451-462 The Impact of Urbanization on CO2 Emissions in China: The Key Role of Foreign Direct Investment
by Chi-Chuan Lee & Boxu Zhou & Tsung-Yu Yang & Chin-Hsien Yu & Jinsong Zhao - 463-478 The Impact of Enterprise Annuity on Stock Price Crash Risk
by Huan Dou & Jiangrong Hou & Xu Chuan Xu & Gege Zhu - 479-497 Goodwill Impairment, Loss Avoidance Effects and Subsequent Corporate M&A Decisions
by JuXian Wang & Tianyi Dong & Jinbu Zhai - 498-514 Economic Policy Uncertainty, Industrial Intelligence, and Firms’ Labour Productivity: Empirical Evidence from China
by Yi Li & Jingjing Deng & Zongyi Hu & Bibang Gong - 515-527 The Interconnectedness between COVID-19 Uncertainty and Stock Market Returns in Selected ASEAN Countries
by Chinmaya Behera & Badri Narayan Rath - 528-541 Implicit Government Guarantee and Corporate Investment: Evidence from China’s Belt and Road Initiative
by Xiaoqian Zhang & Zhiwei Wang - 542-560 Tax Enforcement and Corporate Social Responsibility: Evidence from a Natural Experiment in China
by Jiangyuan Wang & Da Ke & Xingjian Lai - 561-588 Economic Policy Uncertainty and Industrial Linkage in Japan: A Granger Causality in Quantile Test
by Trinh Q. Long & Peter Morgan - 589-604 Firm Innovation and Employment in South Africa: Examining the Role of Export Participation and Innovation Novelty
by Karmen Naidoo & Marta Bengoa & Erika Kraemer-Mbula & Fiona Tregenna
January 2023, Volume 59, Issue 1
- 1-14 Market Reactions to the Announcement of China’s Resource Tax Law
by Yu He & Huan Zheng - 15-26 Impact of Low-Carbon City Construction Policy on Green Innovation Performance in China
by Chun He & Yun-Peng Wang & Kai Tang - 27-38 Urban Land Expansion, Interior Spatial Population Distribution, and Urban Economic Growth: Evidence from China
by Jian Chen & Di Zhao & Man-Lin Kang - 39-59 Non-Controlling Shareholders and Innovation: Evidence from Chinese State-Owned Enterprises
by Dan Huang & Dong Lu & Xiaofeng Quan & Cunyu Xing - 60-77 The Macroeconomic Impact on Bank’s Portfolio Credit Risk: The Colombian Case
by Juan Camilo Galvis-Ciro & Claudio Oliveira de Moraes & Jaime García-Lopera - 78-89 Sentiment Beta and Asset Prices: Evidence from China
by Fengjiao Lin & Zhigang Qiu - 90-112 Ownership Structure, Diversification, and Bank Performance: International Evidence
by Meng-Fen Hsieh & Chien-Chiang Lee & Meng-Fen Shen - 113-128 Can Digital Transformation Facilitate Firms’ M&A: Empirical Discovery Based on Machine Learning
by Wei Tu & Juan He - 129-155 Do Private Strategic Investors Improve Capital Allocation Efficiency of SOEs? Evidence from China
by Weiwei Yang & Huobao Xie - 156-169 Political Promotion Incentives and Firm Risk: Evidence from State-owned Enterprises in China
by Yiming Hu & Wen Li & Aiping Zhang - 170-191 State Common Ownership and Bank Governance: Evidence from CEO Turnovers in China
by Qing He & Dongxu Li - 192-217 Anti-corruption Campaigns and Pay-performance Sensitivity: Evidence from Chinese Listed Companies
by Maoyong Cheng & Yu Meng - 218-237 Are Academic Leaders Less Aggressive? Evidence from Corporate Expansion
by Qingfeng Cai & Dongxu Li & Shaowen Shu - 238-264 Academic Independent Director Abnormal Resignations and R&D Investment: Evidence from China
by Shaopeng Cao & Ji (George) Wu & Chunfeng Wang & Zhenming Fang & Xin Cui - 265-280 The Effect of Mandatory Clawback Provisions on Corporate Innovation: Quasi-Experimental Evidence from China
by Nan Lin & Ruoyu Weng & Rui Fan
December 2022, Volume 58, Issue 15
- 4191-4194 Prevention of Financial Risk, the International Conference on Preventing Major Finance Risk and Fostering High-Quality Growth Special Issue
by Yezhou Sha & Kung-Cheng Ho & Cheng Yan - 4195-4206 Does Financial Constraint Hinder Firm Growth?
by Chunyang Wang & Sujuan Zhao & Haitao Zheng & Yiyi Bai - 4207-4217 Time-Frequency Spillover Effect of Domestic and Foreign Commodity Markets on China’s Price Levels
by Wenwei Guo & Jing Tang & Hongjin Zhu & Xiaowen Ma - 4218-4230 Effects of Country and Geopolitical Risks on Income Inequality: Evidence from Emerging Economies
by Wanshan Wu & Lijun Wang & Yaman Omer Erzurumlu & Giray Gozgor & Gaoju Yang - 4231-4246 Measuring Uncertainty in Export Destinations And Its Impact on Economic Growth: Evidence from Turkey
by Guoliang Chen & Jianchun Fang & Giray Gozgor & Sercan Pekel - 4247-4260 How to Prevent Time Preference Risk: Evidence from Tax Avoidance
by Jing-Wen Chang & Huang-Ping Yen & Sijia Luo - 4261-4270 Is Financial Risk A Stumbling Block to the Development of Digital Economy? A Global Case
by Jianda Wang & Jun Zhao & Kangyin Dong & Xiucheng Dong - 4271-4285 Blessing in Disguise: Policy Uncertainty and Bank Systemic Risk
by Keyi Lan & Sichao Ma & Yuchao Peng & Fanzhi Wang - 4286-4299 Empirical Pricing Kernel and Option-Implied Risk Aversion in China 50 ETF
by Hao-Chang Sung & Lisi Shi - 4300-4308 Does the Listing of Options Improve Forecasting Power? Evidence from the Shanghai Stock Exchange
by Biao Guo & Zhen Wang & Shuyu Fan - 4309-4320 Risk Spillover of Global Treasury Bond Markets in the Time of COVID-19 Pandemic
by Yi Fang & Yanru Wang & Yingyu Zhao - 4321-4337 The Risk Spillover Effect of COVID-19 Breaking News on the Stock Market
by Zhenzhen Long & Yang Zhao - 4338-4349 Pandemic, Precautionary Saving, and Household Portfolio Choice: Evidence from China
by Yixing Zhang & Xiaomeng Lu & Qiu Zhong - 4350-4360 How Can FinTech Reduce Corporate Zombification Risk?
by Long Jin & Changchun Pan & Yan Li & Xinmiao Liu - 4361-4374 Low-Carbon Transition of Enterprises and Financial Market Stability: From the Perspective of Stock Price Crash Risk
by Yuhang Zheng & Jiaying Peng & Xiangzhong Wei & Jing Zhang - 4375-4388 Does Economic Policy Uncertainty Affect Green Bond Markets? Evidence from Wavelet-Based Quantile Analysis
by Ping Wei & Yinshu Qi & Xiaohang Ren & Kun Duan - 4389-4398 Corporate Social Responsibility Disclosure, Market Supervision, and Green Investment
by Jason Z. Ma & Hung-Yi Huang & Qi Zhu & Xixi Shen - 4399-4411 Effects of Digital Finance on Green Innovation considering Information Asymmetry: An Empirical Study Based on Chinese Listed Firms
by Tao Kong & RenJi Sun & Guanglin Sun & Youtao Song
November 2022, Volume 58, Issue 14
- 3899-3912 Early Experience Within Tizhi System, Policy Perception and Corporate Innovation: Evidence from Chinese Private Firms
by Xixiong Xu & Lingling Duan & Cuiliang Lin - 3913-3927 Accounting Comparability and Earnings Management Strategies: Evidence from Southeast Asian Countries
by Yeni Januarsi & Tsung-Ming Yeh - 3928-3938 Differential Assessment for the Effect of Government Epidemic Prevention Policies on Controlling the COVID-19: The Experience of Taiwan
by Jun Wen & Xin-Xin Zhao & Chyi-Lu Jang & Ya-Hui Huang & Chun-Ping Chang - 3939-3952 Media Attention, Environmental Information Disclosure and Corporate Green Technology Innovations in China’s Heavily Polluting Industries
by Zhengxia He & Changshuai Cao & Chao Feng - 3953-3975 The Impact of early-life Natural Disaster Experiences on the Corporate Innovation by CEOs
by Chong Chen & Yongsi He & Kai Wang & Shuo Yan - 3976-3984 Market-based Environmental Policy Instrument Mixes and Firms’ Environmental Innovation: A Fuzzy-set Qualitative Comparative Analysis
by Zhongju Liao & Ping Liu - 3985-4000 Investor Limited Attention, Opinion Divergence, and Post-earnings-announcement Drift: Evidence from China
by Hao Shu & Weiqiang Tan - 4001-4013 The Effects of Nonstate Shareholder on the Excess Perquisites: Evidence from Chinese Mixed Ownership Reform
by Duo Shang & Dongliang Yuan & Dehui Li & Libo Fan - 4014-4032 Do Political Connections Matter for Firm Trade Credit?
by Sohail Mansha & Aamir Inam Bhutta & Gianluca Antonucci & Chee-Wooi Hooy - 4033-4049 The Evolution of Intergenerational Educational Mobility in Turkey
by Oğuz Öztunalı & Orhan Torul - 4050-4064 Technological Knowledge Spillover in Business Groups: Evidence from China
by Xiaoyun Gong & Shenwei Mo & Xiaofeng Quan & Cheng Xue - 4065-4078 Does Short Selling Affect Corporate Payout Policy Evidence from China
by Danyun Tang & Yukun Pan & Dawei Liang & Rui Zhao - 4079-4090 Does the Audit Committee Moderate the Effects of non-interest Activities on Bank Risks in China?
by Maoyong Cheng & Yu Meng & Hongyan Geng & Jincheng Zhang - 4091-4102 Revisit the Nexus between Saving and Inequality in Labor Intensive Economies: Evidence from China
by Xiao Chang & Jingya Li & Zongyuan Li - 4103-4119 Measuring Heterogeneity in Banks’ Interest Rate Setting in Russia
by Anna Burova & Alexey Ponomarenko & Svetlana Popova & Andrey Sinyakov & Yulia Ushakova - 4120-4135 Nineteen Years of Emerging Markets Finance and Trade: A Bibliometric Analysis
by Ratikant Bhaskar & Shashank Bansal - 4136-4148 Do Labor Unions Affect Income Smoothing Through R&D Management?
by Ilhang Shin & Sorah Park - 4149-4161 Family Power and Corporate Investment Efficiency
by Ahmed Al-Hadi & Baban Eulaiwi & Lien Duong & Grantley Taylor & Saurav Dutta - 4162-4171 Research on the Influence of Constructing National Innovation Demonstration Zone on Urban Innovation Level in China
by Fei Lan & Tao Liu & Minghuan Li - 4172-4188 The Effect of Organizers on Analysts’ Forecasts: Evidence from Conference Calls in China
by Lin Xiao & Yong Ye & Keyu Luo - 4189-4189 Correction
by The Editors
October 2022, Volume 58, Issue 13
- 3609-3621 Legal, Financial, and Strategic Forces in Cross-border Delivery Terms
by Veysel Avsar & Oguzhan Batmaz - 3622-3638 Volatility Level Dependence and Linear-Rational Term Structure Models
by Alex Backwell & Kalind Ramnarayan - 3639-3650 Forecasting the Chinese Stock Market Volatility with G7 Stock Market Volatilities: A Scaled PCA Approach
by Yongsheng Yi & Yaojie Zhang & Jihong Xiao & Xunxiao Wang - 3651-3663 Mandatory Resignation of Politician-Directors and Company Violations: Evidence from China
by Chuan Zhang & Jie Liu - 3664-3688 The Impact of Green Development on Modernization in China: Evidence from 108 Cities in the Yangtze River Economic Belt
by Chien-Chiang Lee & Mingli Zeng & Kang Luo - 3689-3710 Influence of Economic and Financial Openness in Urban Agglomerations of Major Bay Areas
by Qiannan Zhang & Xiaowen Huang & Miraj Ahmed Bhuiyan & Zekai Huang - 3711-3725 Impact of Managerial Discretion “Stranglehold” on Enterprises Investment Efficiency: Based on Heterogeneous Stochastic Frontier Model
by Weitao Shen & Chen Yang & Binyun Huang - 3726-3738 The Financial Market in China under the COVID-19
by Bingyu Zhao & Wanping Yang & Jun Wen & Wei Zhang - 3739-3750 Out-of- Sample Stock Return Predictability of Alternative COVID-19 Indices
by Afees A. Salisu & Jean Paul Tchankam & Idris A. Adediran - 3751-3769 Foreign Experienced CEOs’ and Financial Statement Comparability
by Ning Ding & Irfan Ullah & Khalil Jebran - 3770-3780 Does Professional Management of a Family Business Affect Its Financing Channels? Evidence from China
by Lianjun Li & Tingting Ni & Jian Ma & Mengheng Li - 3781-3812 Mandatory CSR Disclosure and Pay Gap: Evidence from China
by Haoyue Huang & Li Yu & Jian Zhang - 3813-3823 Exchange Inquiry Letters and Stock Price Informativeness: Evidence from China
by Zhanchi Wu & Yu Yuan - 3824-3839 Independent Director Networks and Executive Perquisite Consumption——“Collusion” or “Coordination” in Governance?
by Yuwei Liu & Sheng Ma & Xuesong Tang - 3840-3852 Return and Volatility Spillovers among Sector Indexes in Shanghai-Shenzhen-Hong Kong Stock Markets: Evidence from the Time and Frequency Domains
by Wei Chen & Rui Li & Yinhong Yao - 3853-3867 Identifying the Impact of Exchange Rate Volatility on Corporate Credit Risk: Firm-level Evidence from China
by Chen-Kai Zhou - 3868-3880 Forecasting Performance of Different Betas: Mexican Stocks before and during the COVID-19 Pandemic
by Francisco López Herrera & Jaime González Maiz Jiménez & Adán Reyes Santiago - 3881-3897 How Does Analyst Coverage Influence Corporate Leverage Adjustment: Evidence from China
by Renji Sun & Kung-Cheng Ho & Chiu-Lan Chang & Sijia Luo
September 2022, Volume 58, Issue 12
- 3309-3323 Influence of Foreign Investors on Corporate Real Activities Manipulation in Emerging Markets: Evidence from China
by Liuyun Pan & Wei Mao & Xiaoping Pan & Quanxi Liang - 3324-3339 Controlling Shareholder Characteristics and Corporate Debt Default Risk: Evidence Based on Machine Learning
by Di Wang & Zhanchi Wu & Bangzhu Zhu - 3340-3354 Will the Narrowing Pay Gap in Chinese State-owned Enterprises Improve Internal Control Quality?
by Xiaofang Han & Hanwen Xu & Cheng Zhang & Yuxin Shen & Xiaoxi Lu - 3355-3376 How Firms and Experts View The Phillips Curve: Evidence from Individual and Aggregate Data from South Africa
by Monique B. Reid & Pierre L. Siklos - 3377-3394 The Nexus between Bank Foreign Expansion and Efficiency: The Moderating Effects of Host Country Regulation and Competition
by Yijia Song & Xingda Chen & Xitao Li & Mingyue Zhang - 3395-3415 Does a Stronger Business Environment Increase Export Variety?
by Hua Yin & Qing Xie & Dinggen Zhou - 3416-3424 Environmental Protection Tax and Corporate Capital Structure
by Rongbing Xiao & Guangzhong Li & Yulan Wu - 3425-3438 Will Gold Always Shine amid World Uncertainty?
by Chi-Wei Su & Lidong Pang & Muhammad Umar & Oana-Ramona Lobonţ - 3439-3453 Mandatory internal control and earnings management
by Zilong Song & Ying Liu & Jiaxin Wang - 3454-3472 The Coverage of Investor-paid Rating Agency and Audit Pricing
by Yue Xu & Rubin Hao & Qiankun Gu & Kang Wang - 3473-3486 Learning by Consuming: Human Capital Consumption as an Approach to Compensating Economic Efficiency
by Zhaochen Li & Fuhua Yuan & Jinghai Zheng & Angang Hu - 3487-3503 Multiple large shareholders and leverage adjustment: New evidence from Chinese listed firms
by Zhixiao Wang & Qin Wang - 3504-3515 Influencing Mechanism of Human Resource Management Strength on Creative Self-Efficacy: A Dual-Moderation Model
by Meili Tang & Fan Zhang & Ning Zhang - 3516-3525 The Effects of Industry Growth and Government Efficiency on Environmental Quality: The Global Perspective
by Min Cui & Ning Wang - 3526-3540 CEO Duality and Bank Loan Contracting: Evidence from China
by Chong Chen & Huijie Cui & Yanan Zhang - 3541-3553 How Does Organization Capital Alleviate SMEs’ Financial Constraints? Evidence from China
by Mian Cheng & Li Ji & Zijian Xu - 3554-3566 CEO-CFO Tenure Consistency and Cash Holdings
by Yongbin Cai & Mengzhe Li - 3567-3588 The Dimension of Bank Liquidity Creation: Culture Viewpoint
by Chien-Chiang Lee & Chih-Wei Wang & Pei-Chin Hong - 3589-3607 The Effect of Corporate Social Responsibility on Productivity: Firm-Level Evidence from Chinese Listed Companies
by Yinfeng Liang & Chenyan Cai & Yangchen Huang
September 2022, Volume 58, Issue 11
- 3023-3033 Economic Policy Uncertainty and Corporate Bank Credits: Evidence from China
by Haishan Yu & Wendai Lv & Huan Liu & Jingda Wang - 3034-3047 Investment Lag, Financially Constraints and Company Value—Evidence from China
by Liurui Deng & Yiwen Zhao - 3048-3075 Does It Pay to Be Responsible? The Performance of ESG Investing in China
by Xiaoke Zhang & Xuankai Zhao & Yu He - 3076-3089 Guaranteed Rate-setting Behavior, Life Insurance Premium, and Policyholder Protection
by Jyh-Horng Lin & Jyh-Jiuan Lin & Xuelian Li & Zehe Song - 3090-3102 Blockchain Development and Corporate Performance in China: The Role of Ownership
by Shuangyan Li & Dan Wang & Hao Dong & Qiang Fu - 3103-3118 Market Concentration, Bank’s Pricing Power, and Deposit Rates: Evidence from Dual Banking System
by Mudeer A Khattak & Noureen Khan & Mohsin Ali & Syed Aun R. Rizvi - 3119-3135 Asymmetric effect of FEARS Sentiment on Stock Returns: Short-sale constraints, limits to arbitrage, and behavioural biases
by Garima Goel & Saumya Ranjan Dash & Robert Brooks & Sowmya Subramaniam - 3136-3151 Does Government Decentralization Shape Firms’ Pollution Emissions? Evidence from a Natural Experiment in China
by Dongmin Kong & Wenzhe Zhang & Gaowen Kong - 3152-3163 The Impact of Financialization on Mergers and acquisitions:Evidence from Chinese Manufacturing Listed Firms
by Shuangyan Li & Chang Liu & Xinyu Peng - 3164-3176 Does Local Governments’ Environmental Information Disclosure Promote Corporate Green Innovations?
by Xue Tan & Miaowei Peng & Jingwei Yin & Zongfeng Xiu - 3177-3190 The Momentum Strategies and Salience: Evidence from the Korean Stock Market
by Myounghwa Sim & Jangkoo Kang & Hee-Eun Kim & Eunmee Lee - 3191-3214 Corporate Social Responsibility and High-quality Development: Do Green Innovation, Environmental Investment and Corporate Governance Matter?
by Yan Xue & Caidong Jiang & Yunxia Guo & Jianmin Liu & Haitao Wu & Yu Hao - 3215-3232 Corporate Private Information and Credit Ratings: Evidence from Corporate Geographic Distance
by Qiankun Gu & Wanfa Lin & Yan Sheng & Haoyu Wang - 3233-3247 Is Goodwill Attritional? Survival Analysis of the M&A Goodwill of A-Share Listed Company from 2007 to 2017
by Kai Peng & Qiankun Gu & Yi Hu & Shuchang Jin & Juan Ni - 3248-3264 Directors’ Foreign Experience and Firm Innovation
by Xueman Xiang & Biao Yi - 3265-3283 The Impact of CEOs’ Social Capital on China’s Qualified Foreign Institutional Investors’ Holdings
by Xiaoyin Wei & Ellie Chapple & Natalie Elms & Yanyan Huang - 3284-3296 Government Intervention and Debt Financing Costs: Evidence from Government-Guided Funds
by Kegui Wang & Juxian Wang & Nan Dong - 3297-3308 The Impact of Financial Literacy on Rural Household Self-Employment: The Mediating Role of Financial Ability
by Dongni Chang & Wanming Chen & Xiujun Tai & Yanwu Si
August 2022, Volume 58, Issue 10
- 2711-2735 Production Suspension, Corporate Governance, and Firm Value
by Yonghyun Kwon & Seung Hun Han & Young Woo Koh - 2736-2750 Home Bias of Korean Resident Bond Investors: The Role of FX Hedging
by Daejung Yang & Kyongwook Choi - 2751-2763 Exchange Rate Fluctuations and the Quality of Products Imported by Chinese Manufacturing Firms
by Wei Jiang & Churen Sun - 2764-2782 Executives with Economic Management Education Backgrounds and Stock Price Crash Risk: Evidence from Chinese A-share Markets
by Zhaolan Wang & Ziqin Xie & Chen Chen - 2783-2802 Macroeconomic News and Risk Exposure to Foreign Exchange Rate Evidence from Chinese Listed Firms
by Dongxu Li & Erzhuo Liu & Yunwei Li - 2803-2819 Short Selling and Information Quality: Evidence from Natural Experiments in an Emerging Market
by Huan Lin & Yu Chen & Chao He - 2820-2836 Identifying Sovereign Risk Spillover Channels: A Spatial Econometric Approach
by Wei-Qiang Huang & Peipei Liu - 2837-2850 Coronation Day of Financial Market, Investor Attention, and Stock Return: A Perspective of Local and Global Media
by Yin-Siang Huang & You-Xun Lu - 2851-2866 Internet Finance, Financing of Small and Micro Enterprises and the Macroeconomy
by Bing Ye & Jinjian Yuan & Yonghao Guan - 2867-2879 The Impact of Mobile Finance Use on Livelihoods of Farmers in Rural China
by Jing Wang & Xiaohua Yu & Kaiyu Lyu & Jan-Henning Feil - 2880-2894 Air Pollution and Media Slant: Evidence from Chinese Corporate News
by Xinjie Wang & Ge Wu & Zhiqiang Xiang & Jianyu Zhang - 2895-2909 Digital Finance and the Efficiency of Household Investment Portfolios
by Ce Guo & Xijian Wang & Gecheng Yuan - 2910-2926 Corporate Disclosures in Pandemic Times. The Annual and Interim Reports Case
by Ionel Bostan & Ovidiu-Constantin Bunget & Alin-Constantin Dumitrescu & Valentin Burca & Aura Domil & Dorel Mates & Oana Bogdan - 2927-2941 Does ESG Screening Enhance or Destroy Stock Portfolio Value? Evidence from China
by Zhihao Wang & Kezhi Liao & Yu Zhang - 2942-2956 Effectiveness of Tax Policies in Corporate Restructuring: Evidence from China
by Lei Yin & Di Wang & Yanyan Li - 2957-2975 Social Insurances and Risky Financial Market Participation: Evidence from China
by Xinxin Ma - 2976-2991 Why a Firm Hires Former Regulators: Governance Improvement or Regulation Circumvention?
by Fan Jiang & Huan Liu & Qiankun Gu & Ling Zhu - 2992-3005 China’s Aid to Africa and Dual Marginal of Recipient Countries’ Exports
by Jinqiang Xu & Churen Sun - 3006-3022 Corporate Misconduct and Analyst Forecasting Accuracy: Evidence from China
by Yuehua Zuo & Yuwei Hu & Xiaojun Liu & Huixian Zhao
July 2022, Volume 58, Issue 9
- 2423-2437 Impact of Chinese Renminbi on Korean Exports: Does Quality Matter?
by Jihyun Eum - 2438-2452 Which Trades of Institutional Investors are More Informed in the Post-IPO Market? Evidence from China
by Jingbin He & Jingchi Liao & Xinru Ma & Fei Wu - 2453-2473 Short Debt Maturity and Corporate Investment: New Evidence from Chinese Listed Firms
by Zhixiao Wang & Qin Wang & Mingli Xu - 2474-2492 The Effects of Zombie Firms on the Financial Information Transparency of Other Firms
by Haishan Yu & Xiaowen Liu & Yisihong Zhou - 2493-2504 Commonalities in the Movements of Inflation Rates among Countries in the East African Community
by R. Scott Hacker & Yvonne Umulisa - 2505-2521 Is the Development of Inclusive Finance Truly Able to Alleviate Poverty?——an Empirical Study Based on Spatial Effect and Threshold Effect
by Hui Peng & Jingjing Wang & Ling Wen & Pan Ding & Yangjin Zhu - 2522-2537 A Comparison between Parametric and Nonparametric Volatility Forecasting of Stock Index Futures in China
by Rui Jiang & Conghua Wen - 2538-2552 Does Social Trust Affect Analysts’ Forecast? Evidence from China
by Lin Pan & Meixiang Guo & Chengai Li & Huichao Xu