Content
June 2022, Volume 58, Issue 8
- 2407-2422 Measuring the Time Series of High-Frequency Risk Attitude from Volatility Risk Premium: The Case of Emerging Markets
by Chao Zhu & Yuwei Zhang & Zhen Yi
May 2022, Volume 58, Issue 7
- 1807-1820 Time-varying Effects of U.S. Economic Policy Uncertainty on Exchange Rate Return and Volatility in China
by Panpan Wang & Yishi Li & Sixu Wu - 1821-1837 The Stock and CDS Market Consequences of Political Uncertainty: The Arab Spring
by Başak Tanyeri & Tanseli Savaser & Naime Usul - 1838-1847 Life Insurance Policy Loans, Technology Choices, and Strategic Asset-liability Matching Management
by Xuelian Li & Yuxin Xie & Jyh-Horng Lin - 1848-1859 Geographical Dispersion and Investment Efficiency
by Junjie Wang & Chen Liu & Yichen Pan & Siyi Liu - 1860-1870 Research on the Risk of the Online Lending Market in China: A New Perspective Based on MF-DCCA
by Suling Feng & Huimin Liu & Yang Yang - 1871-1882 Macro Factors and Bond Returns in China
by Xinting Li & Baochen Yang & Yunpeng Su & Yawei Qi & Yunbi An - 1883-1897 Majority Shareholders’ Stock Sales, Dual Agency Conflicts, and Management Earnings Forecasts
by Brian Yutao Wang & Chongluan Lu & Jing Zhang & Haishan Yu - 1898-1912 Military Political Connection and Firm Value—Empirical Evidence from a Natural Experiment in Thailand
by Jingjing Tang & Haijian Zeng & Fangying Pang & Lanke Huang - 1913-1924 Does Financialization of Non-Financial Corporations Promote or Prohibit Corporate Risk-Taking?
by Jinghua Wang & Ning Mao - 1925-1937 Uncertainties of Trade Environment, Market Economy Status, and Anti-Dumping Investigations—Evidence from China
by Li-Jun Liu & Jing-qi Zhang - 1938-1950 Human Capital, Radical Product Innovation, and Product Proliferation: Evidence from China
by Xiuli Sun - 1951-1960 Wage and Leverage : Worker-Level Evidence from Korea
by Jaeouk Kim - 1961-1974 The Impact of Domestic and Global Risk Factors on Turkish Stock Market: Evidence from the NARDL Approach
by Levent Erdoğan & Reşat Ceylan & Mutawakil Abdul-Rahman - 1975-1987 Does Mandatory Disclosure of CSR Reports Affect Accounting Conservatism? Evidence from China
by Yukun Pan & Rui Zhao - 1988-2003 When Regional Comprehensive Economic Partnership Agreement(RCEP) Meets Comprehensive and Progressive Trans-Pacific Partnership Agreement(CPTPP): Considering the “Spaghetti Bowl” Effect
by Chunding Li & Donglin Li - 2004-2016 A Study of Market Efficiency in Emerging Markets Using Improved Statistical Techniques
by James Nguyen & Richard Parsons - 2017-2035 Debt Buildup and Currency Vulnerability: Evidence from Global Markets
by Donghyun Park & Arief Ramayandi & Shu Tian - 2036-2049 How Does Analyst Coverage Affect Corporate Social Responsibility? Evidence from China
by Zheng Lei & Guo Xuemeng & Fu Xiangfei - 2050-2065 SHIBOR Fluctuations and Stock Market Liquidity: An MF-DCCA Approach
by Xuemei Yuan & Yihong Sun & Xinsheng Lu - 2066-2078 Impacts of a Gender Ratio Change on China’s Wage Income Distributions
by Zhi-fang Su & Yi-zheng Fu & Mei-Yuan Chen - 2079-2092 How Do Tax Incentives Lead to Investment Shifting? Evidence from China
by Tingting Ni & Xinyue Wang & Yuetang Wang - 2093-2107 Managerial Ability and Bond Rating: A Focus on Controlling Shareholders’ Ownership Structure
by Hyunjin Oh & Jinha Park & Bumjoon Kim
May 2022, Volume 58, Issue 6
- 1515-1524 Customer Information Disclosure and Collateral Loan: Evidence from Chinese Listed Companies
by Xiaohui He & Min Xiao - 1525-1536 Confucianism and Earnings Management: Evidence from China
by Liu Yang & Wanli Li & Jiaming Li - 1537-1549 The Herd Effect and Cross-Border Mergers and Acquisitions by Chinese Firms
by Haiyue Liu & Yile Wang & Lei Zhang - 1550-1565 Do Investors React to Terrorism and Peace in Colombia?
by Federico Mejía-Posada & Diana C. Restrepo-Ochoa & Juan E. Isaza - 1566-1577 Nexus of Interest Rate Liberalization and Loan Pricing: Evidence from Entrusted Loans in China
by Li Du & Xuesong Qian - 1578-1589 CFO Tenure and Classification Shifting: Evidence from China
by Xiaoxia Liu & Jinyun Yang & Ran Di & Minghui Li - 1590-1601 The Effects of a Structural Reform on Corporate Outcomes in China: A Generalized Propensity Score Matching Approach
by Fai Lim Loi & Zhuo Qiao - 1602-1614 Top Executives’ Multi-Background and M&A Decisions: Evidence from Chinese-Listed Firms
by Shuangyan Li & Anum Shahzadi & Genfu Feng - 1615-1628 Do Analysts’ Social Ties Affect the Textual Information in Their Reports? Evidence from China
by Yahui Liu & Kunhai Du & Yugang Yin - 1629-1638 The Impact of Deep Preferential Trade Agreements on (Global Value Chain) Trade: Who Signs Them Matters
by Seungho Lee & Chong-Sup Kim - 1639-1650 Information Transmission between China’s IH and SGX FTSE A50 Stock Index Futures Markets: The Role of Trading Restrictions
by Tian Wen & Ping Li & Yunbi an - 1651-1666 Can Trustees Be Trusted? Relation Between Corporate Bond Trustees and Credit Spreads
by Chengda Liu & Hui Liu - 1667-1676 Youth’s Overseas Employment and Entrepreneurship: The Case of Taiwan
by Ya-Chi Lin & Chan-Hui Lin & Shin-Hui Chen & Kuo-Chun Yeh - 1677-1687 The Role of Top Management Team in Oversea Location Choice: Evidence from Chinese Firms’ Investments in European Industrial Clusters
by Qiong Zhou & Yanling Lian & Tiancheng Hu - 1688-1701 Multi-layer and Parallel-connected Graph Convolutional Networks for Detecting Debt Default in P2P Networks
by Shan Lu & Yu Wang & Xueyong Liu & Cheng Jiang - 1702-1711 Corporate Tax Integrity and the Cost of Debt: Evidence from China
by Pin Wang & Ali Zhou & Yi Wang - 1712-1725 Local Bank, Digital Financial Inclusion and SME Financing Constraints: Empirical Evidence from China
by Zhiqiang Lu & Junjie Wu & Hongyu Li & Duc Khuong Nguyen - 1726-1739 The Effect of Strategic Corporate Social Responsibility on Financial Performance: Evidence from China
by Bofu Deng & Li Ji & Zhongmin Liu - 1740-1752 Trade Sustainability and Efficiency under the Belt and Road Initiative: A Stochastic Frontier Analysis of China’s Trade Potential at Industry Level
by Wenhui Jiang & Hai Zhang & Yuanyuan Lin - 1753-1770 The Impact of China’s FDI on Economic Growth: Evidence from Africa with a Long Memory Approach
by Gloria Claudio-Quiroga & Luis A. Gil-Alana & Andoni Maiza-Larrarte - 1771-1793 Information Shock and Dividend Policy in Family-controlled Firms: Evidence from Korea
by Seun Young Park & Soo Yeon Park - 1794-1805 The Optimal Patent Portfolio of The Technology Standards Alliances in Innovation Competition
by Zhaohui Lou & Shujie Yao & Xinwen Zhang
April 2022, Volume 58, Issue 5
- 1215-1232 What Drives Emerging Stock Market Returns? A Factor-Augmented VAR Approach
by Dohyoung Kwon - 1233-1261 Does Media Attention Lower Debt Financing? International Evidence
by Man Dang & Viet Anh Hoang & Khoi Nguyen Tran & Darren Henry & Xuan Vinh Vo - 1262-1275 Does Non-controlling Large Shareholder Monitoring Improve CEO Incentives?
by Zhiyang Hui & Hongyan Fang - 1276-1287 Representativeness Heuristic in Stock Market: Measurement and Its Predictive Ability
by Jun Xie & Nan Hu & Bin Gao & ChunZhi Tan - 1288-1307 The Ownership Concentration − Innovation Nexus: Evidence From SMEs Around The World
by Duc Nguyen Nguyen & Quynh-Nhu Tran & Quang-Thai Truong - 1308-1319 The Cost of Poor Institutions: Estimations Based on Chinese Firm Flows
by Xiaolu Liu & Jidong Yang - 1320-1338 Re-examining Bitcoin Volatility: A CAViaR-based Approach
by Zhenghui Li & Hao Dong & Christos Floros & Athanasios Charemis & Pierre Failler - 1339-1358 Term Structure of Risk Factor Premiums Used for Pricing Asset: Emerging vs. Developed Markets
by Mariano González-Sánchez - 1359-1389 Measuring Economic Uncertainty in China†
by Wei-Fong Pan & Xinjie Wang & Shixuan Wang - 1390-1414 How does the business cycle affect firm innovation? Evidence from China’s listed companies
by Qun Zhang & Jingde Chen & Peihui Zhang & Hao Liu - 1415-1429 Board Interlocks and Stock Liquidity: New Evidence from an Emerging Market
by William Mbanyele & Fengrong Wang - 1430-1440 The Green Incentives and Green Bonds Financing under the Belt and Road Initiative
by Jianhui Jian & Xiaojie Fan & Shiyong Zhao - 1441-1455 Corruption and Corporate Cash Holdings
by Dong Wook Seo & Seung Hun Han - 1456-1473 Does the Leadership of the Board of Directors Affect Corporate Performance? Based on the Empirical Research of China’s SMEs
by Shufeng Li & Rui Huang & Wenjie Huo & Qijing Li - 1474-1490 Household Debt, Corporate Debt, and the Real Economy: Some Empirical Evidence
by Donghyun Park & Kwanho Shin & Shu Tian - 1491-1501 The Network Structure Characteristics and Determinants of the Belt & Road Industrial Robot Trade
by Yaya Li & Yongli Li & An Pan & Xue Pan & Eleonora Veglianti - 1502-1514 Stock Market Linkages between the Asean Countries, China and the US: A Fractional Integration/cointegration Approach
by Guglielmo Maria Caporale & Luis A. Gil-Alana & Kefei You
March 2022, Volume 58, Issue 4
- 907-920 The Value of Customers’ Geographic Information in Chinese Corporate Bond Issuance
by Yi He & Shengdao Gan & Liang Xiao - 921-938 More Stable, More Sustainable: Does TMT Stability Affect Sustainable Corporate Social Responsibility?
by Jun Huang & Zhixin Duan & Mingsheng Hu & Yun Li - 939-951 Real Earnings Management, Manipulation Incentives and Accounting Conservatism:Evidence from China
by Kun Yuan & Detao Zeng & Xiangyi Yuan & Fei Lan - 952-964 Corporate Social Responsibility and Carbon Emission Intensity: Is There a Marketization Threshold Effect?
by Jie Zhang & Kaiqi Wang & Weidong Zhao & Yun Han & Xiao Miao - 965-996 Financial Literacy and the Perceived Value of Stress Testing: An Experiment Using Students in Brazil
by Thiago Christiano Silva & Tércio Braz & Diego Raphael Amancio & Benjamin Miranda Tabak - 997-1007 The Impact of Capital Structure and Institutional Environment on Bank Competition: A Cross-Country Analysis
by Shaofang Li - 1008-1026 The Role of Economic Policy Uncertainty in Predicting Output Growth in Emerging Markets: A Mixed-Frequency Granger Causality Approach
by Mehmet Balcilar & George Ike & Rangan Gupta - 1027-1041 How Does Cultural Distance Matter in Long-term Value Creation of Cross-border Acquisitions?
by Wenjun Tu & Yongmin Zhang - 1042-1060 Innovation Spillovers between Domestic Firms in China
by Go Yano & Maho Shiraishi - 1061-1077 Vertical Interlock and Firm Value: The Role of Corporate Innovation
by Shaopeng Cao & Zhenming Fang & Wenyan Pu & Yi-Yin Ruan - 1078-1088 Innovation Input on Enterprise Value: Based on the Moderating Effect of Ownership Structure
by Yujuan Zhang & Lu Zhang - 1089-1102 CEO Military Background and Investment Efficiency
by Irfan Ullah & Hong-Xing Fang & Mohib Ur Rahman & Amjad Iqbal - 1103-1124 The Impact of Fiscal and Monetary Policies on the Real Sector under Globalization
by Feriansyah Feriansyah & Noer Azam Achsani & Tony Irawan & Lukytawati Anggraeni - 1125-1136 Transportation Infrastructure and Analyst Earnings Forecasts: Evidence from High-Speed Rails in China
by Manning Gong & Jin-hui Luo - 1137-1146 Do Independent Directors Matter? Evidence from Regulatory Change in an Emerging Market
by Hsu-Huei Huang - 1147-1162 Environmental Regulations and Industrial Enterprises Innovation Strategy: Evidence from China
by Yuchen Li & Wenhao Ma - 1163-1175 Geographic Proximity and Information Efficiency of Capital Market: Evidence from China
by Chao Li & Zhao Zhao & Han Li - 1176-1190 Absence of Controlling Shareholders and Litigation Risk: Evidence from China
by Honghui Zhang & Ying Zou & Linyi Zhang & Haojun Xiong & Ziqin Xie - 1191-1205 Earnings management, Ownership concentration and Capitalization of Research & Development expenditure
by Di Yang & Jun Wen & Renai Jiang & Sen Zhang - 1206-1213 Ultimate Control Rights and Corporate Fraud: Evidence from China
by Min Wang & Jie He & Peng Xu
February 2022, Volume 58, Issue 3
- 601-613 Does the Deleveraging Policy Increase the Risk of Corporate Debt Default: Evidence from China
by Kejing Chen & Wenqi Guo & Yanling Kang & Jing Wang - 614-624 Tunnelling, Fraudulent Financial Statements and Regulation Effects: Chinese Evidence
by Yi Wei & Jianguo Chen & Carolyn Wirth - 625-637 Financial Transparency, Media Coverage, and Momentum in China
by Shu-Heng Chen & Xia-Ping Cao & Kun-Ben Lin & Jing-Bo Huang & Yubing Zhang & Hung-Wen Lin - 638-654 Beyond Linear: The Relationship between Corporate Social Responsibility and Market Reactions to Cross-Border Mergers and Acquisitions
by Jinyan Shi & Conghui Yu & Yanxi Li - 655-667 Does Teacher-Turned Businessmen Curb Accrual-Based Earning Management and Real Activity Manipulation
by Huayu Shen & Man Zhang & Meisha Wang & Jun Zhang & Zilin Guo - 668-680 Green Growth Effects of High-Speed Rail in China: The Role of Industrial Transformation
by Yantuan Yu & Lulu Han & Jie Wu & Weidong Zhao & Yun Zhang - 681-691 Measurement of Individual Investor Sentiment and Its Application: Evidence from Chinese Stock Message Board
by Chuangxia Huang & Shigang Wen & Xin Yang & Jinde Cao & Xiaoguang Yang - 692-709 The Dynamic Correlation between China’s Policy Uncertainty and the Crude Oil Market: A Time-varying Analysis
by En-Ze Wang & Chien-Chiang Lee - 710-726 Determinants of Bilateral FDI Positions: Empirical Insights from ECs Using Model Averaging Techniques
by Pragyanrani Behera & Bikash Ranjan Mishra - 727-738 Do CEO Attributes Create Value in IPO Price Revision? Evidence from China
by Haifeng Guo & Ying Wang & Xiaotuo Qiao & Yuanjing Ge - 739-753 Is Supplementary Pension Beneficial to Human Capital Investment? Evidence from China
by Yalin Gong & Li Lai & Kam C. Chan & Xiaolan Xia - 754-775 Does Entrepreneur Invest More in Environmental Protection When Joining the Communist Party? Evidence from Chinese Private Firms
by Youliang Yan & Xixiong Xu - 776-789 Spatial Effects of Participation in Global Value Chains on CO2 Emissions: A Global Spillover Perspective
by Shujin Zhu & Yiding Tang & Xingzhi Qiao & Wanhai You & Cheng Peng - 790-811 A Survey of Literature on Measurement of Financial Integration: Need, Challenges, and Classification
by Rakesh Padhan & K. P. Prabheesh - 812-822 The Relationship between the Airport Economy and Regional Development in China
by Kai Tang & Hai-Jie Wang & Ning Wang - 823-836 Manager Sentiment Bias and Stock Returns: Evidence from China
by Shaoling Chen & Tianjue Liu & Qing Peng & Yu Zhao - 837-851 China’s Carbon Emission Trading Scheme and Firm Performance
by Rongting Sun & Kaiqi Wang & Xiangjin Wang & Jie Zhang - 852-862 Financial Mismatch and Default Risk: Evidence from Chinese Nonfinancial Listed Private Enterprises
by Xuemei Liu & Zi Nie & Bingcheng Li - 863-882 Bankruptcy Exemption and Peer-to-Peer Lending
by Luxiu Zhang & Ruirui Zhao & Bo Wang & Haizhi Wang & Tianyu Zhao - 883-895 The Role of Smog in Firm Valuation
by Muze Peng & Yating Zeng & David C. Yang & Bin Li - 896-906 Officials’ Turnover, Facial Appearance and FDI: Evidence from China
by Yun Liu & Xianhang Qian & Qian Wu
January 2022, Volume 58, Issue 2
- 301-310 “Business Tax to Value-added Tax” and Enterprise Innovation Output: Evidence from Listed Companies in China
by Qingzi Cao & Hua Wang & Lifang Cao - 311-328 Internal Control, Political Connection, and Executive Corruption
by Bing Wang & Yuedong Li & Wenshuang Xuan & Yihan Wang - 329-341 The Effects of Terrorism and Economic Indicators on Bank Loans to the Private Sector: Evidence from Developing Countries
by Kenan Ilarslan & Munevvere Yildiz - 342-364 Does Managerial Foreign Experience Deter Corporate Fraud
by Jia Luo & Li Wang - 365-380 Third Party Environmental Disclosure and Firm’s Green Innovation: Evidence from a Natural Experiment in China
by Chuanjian Luo & Ying Luo & Wenhao Ma & Jie Gao - 381-397 How Property Rights Affect Firm’s Labor Investment Efficiency? Evidence from a Property Law Enactment in China
by Rui Fan & Ruoyu Weng & Jianping Pan - 398-416 Pricing of Liquidity Risk: New Evidence from the Latin American Emerging Stock Markets
by Gabriel Augusto de Carvalho & Hudson Fernandes Amaral & Juliano Lima Pinheiro & Laíse Ferraz Correia - 417-427 Tone of Textual Information in Annual Reports and Regulatory Inquiry Letters: Data from China
by Fan Yang & Jiayu Huang & Yongbin Cai - 428-440 The 52-week High Momentum Strategy and Economic Policy Uncertainty: Evidence from China
by Xuemei Zhou & Qiang Liu & Shuxin Guo - 441-471 Trade Policy Uncertainty, Firm Heterogeneity and Export Mode
by Qing Liu & Fei Pei & Huaqing Wu & Xianfeng Zhang - 472-482 Missing Data Preprocessing in Credit Classification: One-Hot Encoding or Imputation?
by Lean Yu & Rongtian Zhou & Rongda Chen & Kin Keung Lai - 483-511 The Comparison Study of Liquidity Measurements on the Chinese Stock Markets
by Yang Gao & Wandi Zhao & Mingjin Wang - 512-524 Does Share Pledging Affect Management Earnings Forecasts?
by Xin Wang & Jiacai Xiong & Jitao Ou - 525-543 Banking Competition and Households’ Informal Financing: Evidence from China Household Finance Survey
by Pengcheng Du & Hua Cheng - 544-569 Cost Stickiness and Stock Price Crash Risk: Evidence from China
by Liang Tang & Yiyang Huang & Jiali Liu & Xiangyu Wan - 570-583 Credit Constraints and Rural Households’ Entrepreneurial Performance in China
by Chen Weng & Hui Wang & Nico Heerink & Marrit van den Berg - 584-600 Systemic Risk Measures and Macroeconomy Forecasting: Based on FQGLS Estimation with Structural Break
by Guojin Chen & Yanzhen Liu & Yu Zhang
January 2022, Volume 58, Issue 1
- 1-10 Does a Government Response to COVID-19 Hurt the Stock Price of an Energy Enterprise?
by Haiqing Hu & Di Chen & Qiang Fu - 11-23 Who Obtained More Bank Loans after the Outbreak of COVID-19? Evidence from Chinese Listed Companies
by Yao Zhang & Jing Zhang & Zefeng Xu & Wenyun Yao - 24-34 Corporate Tax Integrity and the Market Reactions to Covid-19: Evidence from China
by Pin Wang & Linlin Xie & Di Wang - 35-55 Determinants and Consequences of Risk Disclosure: Evidence from Chinese Stock Markets during the COVID-19 Pandemic
by Yarong Hao & Bin Dong - 56-69 Systemic Risk of China’s Financial Industry during the Spread of the COVID-19 Epidemic and the Breakdown of Crude Oil Negotiation
by Xiaoming Zhang & Hegang Zhou & Chien-Chiang Lee - 70-81 The Impact of COVID-19 Pandemic on Emerging Country Stock Markets: Evidence of the Value Effect
by Yang Yang & Lingyi Li & Jialing Jiang - 82-92 Financial Constraints with the Outbreak of COVID-19 and the Equity Guarantee Swap
by Zhixin Wang & Qin Zhao & Xiangyu Zong - 93-101 A Note on the COVID-19 Shock and Real GDP in Emerging Economies
by Afees A. Salisu & Idris A. Adediran & Rangan Gupta - 102-115 Scenario Analysis on the Macroeconomic Impact of COVID-19: A Computable General Equilibrium Approach
by Xinxin Ma & Ximing Chen - 116-133 The Impacts of Quality System Integration and Relationship Quality on Quality Performance in Supply Chains: An Empirical Investigation in China
by Yibin Zhang & Jiangtao Hong & Xue Li & Victor Shi - 134-144 Research on the Influence of Innovation Ability on the Level of University Scientific Research: A Case Study of the Nine-University Alliance in China
by Ting Wang & Shi-Cheng Pan & Xiang-Yan Zhu & Bin Liao - 145-163 Money Demand in China: A Meta Study
by Makram El-Shagi & Yizhuang Zheng - 164-179 How Valuable Is Market-and Firm-Specific Information for Calculating Bond Spreads in an Emerging Market?
by Gonzalo Cortazar & Hector Ortega & Rodrigo Romero - 180-194 VAT Rebate Policy and Export Performance: A Case Study of China’s Mechanical Goods Industry
by Litan Wang & Sajid Anwar - 195-213 On the Advantages and Feasibility of Weather Index-Based Crop Insurance Schemes in Bolivia
by Ricardo Nogales & Pamela Cordova - 214-243 Dependence and Risk Spillover Effect of China’s Exchange Market
by Chao Liu & Ruixue Zhang - 244-266 Analyzing the Reaction of Mining Stocks to the Development of Copper Prices
by Alfredo Mendiola & Luis Chavez-Bedoya & Thilo Wallenstein - 267-289 The Impact of the Nutrition Improvement Program on Children’s Health in Rural Areas: Evidence from China
by Jingxi Wang & Lei Zhou & Shurong Yao - 290-299 Political Connections, Industry Entry Choice and Performance Volatility: Evidence from China
by Bao Wu & Haiyan Liang & Shifen Chan
December 2021, Volume 57, Issue 15
- 4167-4184 The Effects of Trust on Policyholders’ Purchase Intentions in an Online Insurance Platform
by Chuan Luo & Qi Chen & Yun Zhang & Yun Xu - 4185-4210 Quantifying the Effect of Real Estate News on Chinese Stock Movements
by Yan Chen & Zhilong Xie & Wenjie Zhang & Rong Xing & Qing Li - 4211-4236 Media-based Corporate Network and Its Effects on Stock Market
by Rong Xing & Qing Li & Jingmei Zhao & Xiaoqing Xu - 4237-4260 An Intelligent Learning and Ensembling Framework for Predicting Option Prices
by Xiangyu Wei & Zhilong Xie & Rui Cheng & Di Zhang & Qing Li - 4261-4271 The Impact of Corruption Investigations on Stock Price Crash Risk: Evidence from the Crackdown on “Tigers” in China
by Chao Yang & Qizhi Tao & Jiangze Du & Stephen X. Gong - 4272-4285 Efficiency and Effect of Regulatory Policies on the Online Peer-to-peer (P2P) Lending Industry
by Yu Wang & Xin Han & Yixuan Li & Furui Liu - 4286-4311 How Do Housing Returns in Emerging Countries Respond to Oil Shocks? A MIDAS Touch
by Afees A. Salisu & Rangan Gupta - 4312-4329 Forecasting the Term Structure of Interest Rates of the BRICS: Evidence from a Nonparametric Functional Data Analysis
by João Frois Caldeira & Rangan Gupta & Muhammad Tahir Suleman & Hudson S. Torrent - 4330-4349 Local Economic Performance, Political Promotion, and Stock Price Crash Risk: Evidence from China
by Qian Li & Mengting Guo - 4350-4360 Oil Prices and Stock Returns in the MENA Countries: A Firm-level Data Analysis
by Atilla Cifter & Gokhan H. Akay & F. İrem Doğan - 4361-4379 Official Visit, Bank Credit and Maturity Mismatch: Evidence from Chinese Listed Firms
by Bai Yunxia & Muqing Qiu - 4380-4397 Monitoring Financial Stress in South Africa
by Theshne Kisten - 4398-4407 Executive Political Connections, Information Disclosure Incentives, and Stock Price Crash Risk: Evidence from Chinese Non-State-Owned Enterprises
by Sifei Li & Feng Cao & Jian Sun & Qianqian Hu - 4408-4423 Investment Board Committee and Investment Efficiency in a Unique Environment
by Baban Eulaiwi & Ahmed Al-Hadi & Khamis Hamed Al-Yahyaee & Grantley Taylor - 4424-4435 Heterogeneous Beliefs and the Beta Anomaly in the Chinese A-share Stock Market
by Shu Chen & Zhuo Huang & Zhimin Qiu - 4436-4447 Does China’s Environmental Protection Tax Law Effectively Influence Firms? Evidence from Stock Markets
by Yu He & Chuanhao Wen & Huan Zheng - 4448-4460 Family Management and Corporate Bond Spreads: Do Foreign and Government Ownerships Matter?
by Chien-Chiang Lee & Chih-Wei Wang & Shan-Ju Ho - 4461-4472 “Who Should Be the Next CEO?” Desirable Successor Characteristics in Recovery from Financial Distress
by Shanshan Yao - 4473-4493 Can Mixed-Frequency Data Improve the Higher-Order Moments Portfolio Performance?
by Shuang Zhao & Wanbo Lu & Muhammad Wajid Raza & Dong Yang
November 2021, Volume 57, Issue 14
- 3891-3912 Combining Private and Public Resources: Captive Power Plants and Electricity Sector Development in Bangladesh
by Sakib Amin & Tooraj Jamasb & Manuel Llorca & Laura Marsiliani & Thomas I. Renström - 3913-3928 Performance Differential between Private and State-owned Enterprises: An Analysis of Profitability and Solvency
by Nguyet Thi Minh Phi & Farhad Taghizadeh-Hesary & Chuc Anh Tu & Naoyuki Yoshino & Chul Ju Kim - 3929-3943 State Media, Institutional Environment, and Analyst Forecast Quality: Evidence from China
by Yanhui Jiang & Yun Hong - 3944-3959 Asymmetric and Time-Varying Behavior of Exchange Rate and Interest Rate Differential in Emerging Markets
by Afees A. Salisu & Ibrahim Adeleke & Lateef O. Akanni - 3960-3983 Multiple Credit Rating: Triple Rating under the Requirement of Dual Rating in Korea
by Juyoun Ryoo & Cheolwoo Lee & Jin Q. Jeon - 3984-4003 Marketization, Competition, and Insurance Pricing: The Comprehensive Evidence from China
by Yunpeng Wang & Jingxin Sun & Chun-Ping Chang - 4004-4019 How Does Capital Intensity Affect the Relationship between Outward FDI and Productivity? Micro-evidence from Chinese Manufacturing Firms
by Chao Zhou - 4020-4035 How Do Mutual Funds in China Exploit Investor Sentiment?
by Jian Wang & Shangkun Yi & Xiaoting Wang & Jun Yang & Zhongzhong Jiang - 4036-4053 The Differential Effect of Corruption on Growth: Does Firm Origin Matter?
by Barkat Ullah - 4054-4069 Equity Misvaluation and SEO Initiation in China
by Jihong Liu & Chao Yan & Yong Huang - 4070-4088 Stock Price Reaction to Debt Offerings: The Turkish Evidence
by Evrim Akdoğu & S. Burcu Avci & Serif Aziz Simsir - 4089-4104 Financial Market Friction and Corporate Restructuring Activities in China
by Shuangyan Li & Chang Liu & Mingbo Zheng & Chun-Ping Chang & Qiang Fu - 4105-4120 Marketization Level, Fiscal Input, and Rural Commercial Bank Performance
by Wenli Wang & Qian Sun & Mingbo Zheng - 4121-4142 Specifying Dividend Provisions in Response to Dividend Regulation: Evidence from China
by Qian Jia & Chao Kevin Li & Yi Si - 4143-4165 Household Financial Decision-Making and Macroeconomic Fluctuations
by Xiang Deng & Xiang Cheng & Zhiming Fu
October 2021, Volume 57, Issue 13
- 3587-3603 Central and Eastern European States from an International Perspective: Economic Potential and Paths of Participation in Global Value Chains
by Ewa Cieślik & Jadwiga Biegańska & Stefania Środa-Murawska - 3604-3633 Explaining Equity Anomalies in Frontier Markets: A Horserace of Factor Pricing Models
by Adam Zaremba & Alina Maydybura & Anna Czapkiewicz & Marina Arnaut - 3634-3648 Can Fiscal Paths Be Sustainable? Evidence from Poland
by Tomasz Uryszek - 3649-3676 Are Analysts Really Optimistic in Their Stock Recommendations? The Case of the Polish Capital Market
by Bogumiła Brycz & Tadeusz Dudycz & Katarzyna Włodarczyk - 3677-3706 What Do We Know about Dividend Smoothing in This Millennium? Evidence from Asian Markets
by Sabina Nowak & Urszula Mrzygłód & Magdalena Mosionek-Schweda & Jakub M. Kwiatkowski - 3707-3720 Estimating the Required Amount of a Bank’s Loss-Absorbing Capacity
by Andrzej R. Stopczyński - 3721-3738 Predicting Equity Returns in Emerging Markets
by Yigit Atilgan & K. Ozgur Demirtas & A. Doruk Gunaydin - 3739-3765 Even in Emerging Markets, Technical Trading is Hazardous to Your Wealth
by Bader S. Alhashel & Fahad W. Almudhaf - 3766-3791 Shariah Compliance and Investment Behavior: Evidence from GCC Countries
by Serkan Akguc & Naseem Al Rahahleh - 3792-3817 Sukuk and Bond Puzzle: An Analysis with Characteristics Matched Portfolios
by Mohammed Sawkat Hossain & Md Hamid Uddin & Sarkar Humayun Kabir - 3818-3834 The Transmission of Euro Area Interest Rate Shocks to Asia -- Do Effects Differ When Nominal Interest Rates are Negative?
by Martin Feldkircher & Florian Huber & Maria Teresa Punzi & Pornpinun Chantapacdepong - 3835-3854 Purchasing Power Parity in Pakistan: Evidence from Fourier Unit Root Tests
by Fang She & Muhammad Zakaria & Mahmood Khan & Jun Wen - 3855-3877 Time-Varying Beta—The Case Study of the Largest Companies from the Polish, Czech, and Hungarian Stock Exchange
by Wiesław Dębski & Ewa Feder-Sempach & Piotr Szczepocki - 3878-3890 Ultimate Ownership, Corporate Diversification, and Cash Dividends: Evidence from China
by Xingquan Yang & Wencong Li & Yumei Fu
September 2021, Volume 57, Issue 12
- 3301-3319 Heterogeneous credit constraints and smallholder farming productivity in the Senegal River Valley
by Abdoulaye Seck - 3320-3336 Agricultural Credit and Its Impact on the Productivity of Certain Cereals in Togo
by Akoété Ega Agbodji & Ablamba Ahoefavi Johnson - 3337-3366 The Influence of Social Insurance on Wages in China: An Empirical Study Based on Chinese Employee-Employer Matching Data
by Xinxin Ma & Jie Cheng - 3367-3386 Migrant Entrepreneurship: The Family as Emotional Support, Social Capital and Human Capital
by Mingzhi Hu & Yinxin Su & Haiyong Zhang - 3387-3410 Trade Liberalization and Investment in Foreign Capital Goods: A Look at the Intensive Margin
by Ivan T. Kandilov & Aslı Leblebicioğlu & Ruchita Manghnani - 3411-3434 The Effects of Different Types of Oil Price Shocks on Industrial PPI: Evidence from 36 Sub-industries in China
by Jinyu Chen & Xuehong Zhu - 3435-3454 The Effect of Green Finance on Energy Sustainable Development: A Case Study in China
by Bufan Zhang & Yifeng Wang - 3455-3488 Quality of Bank Capital, Competition, and Risk-Taking: Some International Evidence
by Shaofang Li - 3489-3507 Asymmetric Loss of Macroeconomic Forecasts in South Asia: Evidence from the SPF Survey of India, Indonesia, and Singapore
by Young Bin Ahn & Yoichi Tsuchiya - 3508-3537 Phillips Curve for the Asian Economies: A Nonlinear Perspective
by Ahmad Zubaidi Baharumshah & Siew-Voon Soon & Mark E. Wohar - 3538-3564 Joint Analysis of Corporate Decisions on Timing and Medium of Earnings Announcements: Evidence from Korea
by Joonhyun Kim