Content
July 2020, Volume 56, Issue 9
- 2027-2038 Corporate Sustainability Performance of Chinese Firms: An Empirical Analysis from a Social Responsibility Perspective
by Xiaoling Wang & Haiying Lin & Maoxi Tian - 2039-2054 Impacts of Venture Capital on Online P2P Lending Platforms: Empirical Evidence from China
by Hufeng Yang & Han Li & Zhen Hu & Guotai Chi - 2055-2072 Synergistic Effects between Financial Development and Improvements in New-type Urbanization: Evidence from China
by Xu Han & Xianli Xia & Minjuan Zhao & Ke Xu & Xingguang Li - 2073-2092 Fluctuations in the Open Economy of China: Evidence from the ABNK Model
by Wei Zhao & Yi Lu & Minjuan Zhao & Peng Zhang - 2093-2112 Using the Improved CGE Model to Assess the Impact of Energy Structure Changes on Macroeconomics and the Carbon Market: An Application to China
by Yong Wang & Ying Dong & Jian Xu & Feng Liu
June 2020, Volume 56, Issue 8
- 1651-1676 How Did Free Trade Reshape the Transitional China? Evidence from Heterogeneous Exporters and Firm-Level Pollution Emissions
by Ling-Yun He & Xi Lin & Qiren Liu - 1677-1690 Effect of Labor Cost and Industrial Structure on the Development Mode Transformation of China’s Industrial Economy
by Yao Xiao & Dandan Ma & Yutai Cheng & Li Wang - 1691-1714 Price Break Points and Impact Process Evaluation in the EU ETS
by Junjun Jia & Huaqing Wu & Xiaoxuan Zhu & Jingwei Li & Ying Fan - 1715-1729 Market Demand for Electric Vehicles under Technology Improvements and Tax Relief
by Bengang Gong & Jiali Wang & Jinshi Cheng - 1730-1751 How Does Innovation Activity Affect Firm Export Behavior? Evidence from China
by Feifei Wu & Huaqing Wu & Xianfeng Zhang - 1752-1764 Location Analysis of Earthquake Relief Warehouses: Evaluating the Efficiency of Location Combinations by DEA
by Yuhong Wang & Guangcheng Xu & Wanting Zhang & Zhixiang Zhou - 1765-1780 Study on the Efficiency Measurements and Influence Factors of Development Financial Institutions
by Yuning Gao & Meichen Zhang & Xinran Liu - 1781-1803 Influence of CEO Characteristics on Accounting Information Disclosure Quality—Based on the Mediating Effect of Capital Structure
by Ping Lin & Boqiang Lin & Fu Lei - 1804-1816 Investor Sentiment, Market Competition, and Financial Crisis: Evidence from the Korean Stock Market
by Doowon Ryu & Doojin Ryu & Heejin Yang - 1817-1842 The Effects of Macro News on Exchange Rates Volatilities: Evidence from BRICS Countries
by Zhitao Lin & Ruolan Ouyang & Xuan Zhang - 1843-1872 Executive Succession Strategy of an Emerging-Market Company: An Investigation into the Spillover Effect
by Chermin Fong & Juichan Huang & Hsiaohui Ho & Mingching Huang & Huiwen Wang & Peichun Hsieh - 1873-1893 Economic Growth Effect of Nuclear Power Plants on Location Cities Based on Counterfactual Analysis with Prefecture-Level Panel Data of Mainland China
by Xiangyou Wu & Boqiang Lin
May 2020, Volume 56, Issue 7
- 1423-1446 Does Financial Constraint Impede the Innovative Investment? Micro Evidence from China
by Dongyang Zhang & Wenping Zheng - 1447-1461 Price Limits and Asymmetry of Price Dynamics—High Frequency Evidence from the Chinese Stock Market
by Keqiang Hou & Xing Li & Wei Zhong - 1462-1473 Importing and Firm Productivity in China: The Self-Selection Effect or the Learning Effect?
by Shimin Zhou & Yang Wang & Mianzhi Yang - 1474-1489 City Size Distribution, Export-Oriented Economies, and Regional Technical Efficiency: The Case of China
by Chao Xuan & Xin Chen - 1490-1503 Corporate Cash Holdings and Financial Constraints —An Analysis Based on Data on China at Company Level after the Global Financial Crisis
by Hong Zhang & Yuyao Zhang & Shimin Zhou & Yanmin He - 1504-1519 University Spillovers, Spatial Distance, and Firm Innovation: Evidence at Chinese Listed Firms
by Xiaoying Li & Jinling Li & Xinjie Wu - 1520-1531 Risk Preference of the Investors and the Risk of Peer-to-Peer Lending Platform
by Hua Cheng & Rui Guo - 1532-1546 OFDI and Home Country Structural Upgrading: Does Spatial Difference Exist in China?
by Fengchun Li & Cheng Yu - 1547-1563 Technological Upgrading in Chinese Cities: The Role of FDI and Industrial Structure
by Le Tang & Yuyao Zhang & Jingyi Gao & Fan Wang - 1564-1580 Empirical Study of Factors Influencing Performance of Chinese Enterprises in Overseas Mergers and Acquisitions in Context of Belt and Road Initiative—A Perspective Based on Political Connections
by Ping Lin & Boqiang Lin & Mengting Lin & Chen Lin - 1581-1600 An Economic Model for Studying the Role of Cultural Industries on Social Development in Cross-border Contexts
by Yingyu Zhu - 1601-1614 Early-Warning Model of Financial Crisis: An Empirical Study Based on Listed Companies of Information Technology Industry in China
by Lu Xu & Qingzhu Qi & Peiding Sun - 1615-1629 Urban Cost Performance and Industrial Agglomeration: City-Level Evidence from China
by Lixia Zeng & Meilan Chen & Fangfang Zhang - 1630-1650 Why China’s Heating Industry High-input but Low-return?
by Jing Lin & Boqiang Lin
May 2020, Volume 56, Issue 6
- 1181-1195 Comovement between the Chinese Business Cycle and Financial Volatility: Based on a DCC-MIDAS Model
by Yuhang Zheng & Zhenzhen Wang & Zhehao Huang & Tianpei Jiang - 1196-1210 Linkages and Spillovers between Internet Finance and Traditional Finance: Evidence from China
by Rongda Chen & Huiwen Chen & Chenglu Jin & Bo Wei & Lean Yu - 1211-1223 The Spatial Effect of the Efficiency of Regional Financial Resource Allocation from the Perspective of Internet Finance: Evidence from Chinese Provinces
by Gaoke Liao & Dequan Yao & Zhihao Hu - 1224-1236 The BSS-FM Estimation of International Assets Allocation for China Mainland Investors
by Xuan Tang & Xing Gao & Qiuping Zhou & Jian Ma - 1237-1250 Potential Dependence of Financial Cycles between Emerging and Developed Countries: Based on ARIMA-GARCH Copula Model
by Tinghui Li & Junhao Zhong & Zimei Huang - 1251-1274 Analysis of the Impact of China’s GDP Data Revision on Monetary Policy from the Perspective of Uncertainty
by Xueting Yu & Yuhan Zhu & Guangming Lv - 1275-1292 The Factors that Influence Exchange-Rate Risk: Evidence in China
by Shuanglian Chen & Siming Liu & Rongjiao Cai & Yaya Zhang - 1293-1311 The Asymmetric Effect of Volatility Spillover in Global Virtual Financial Asset Markets: The Case of Bitcoin
by Hao Dong & Liming Chen & Xinyi Zhang & Pierre Failler & Sa Xu - 1312-1335 Measuring Systemic Risk Contagion Effect of the Banking Industry in China: A Directed Network Approach
by Zi-Sheng Ouyang & Ying Huang & Yun Jia & Chang-Qing Luo - 1336-1350 The Influential Factors of Financial Cycle Spillover: Evidence from China
by Yue Liu & Zhenghui Li & Manrui Xu - 1351-1376 Financing of Physical and Intangible Capital Investments in China
by Go Yano & Maho Shiraishi - 1377-1401 Emerging Market Contagion Under Geopolitical Uncertainty
by Axel Hedström & Nathalie Zelander & Juha Junttila & Gazi Salah Uddin - 1402-1422 Asymmetric Arbitrage Opportunities for Cross-Listed Stocks: Evidence from Russia
by Еvgenii Gorbatikov & Victoria Dobrynskaya
April 2020, Volume 56, Issue 5
- 961-962 Guest Editor’s Introduction
by Hung-Hsi Huang - 963-976 Price Discovery and Trading Activity in Taiwan Stock and Futures Markets
by Jui-Cheng Hung & Yu-Hong Liu & I-Ming Jiang & Shuh Liang - 977-1002 The Effects of Directors’ and Officers’ Liability Insurance on Key Auditing Matters
by Chaohsin Lin & Shuofen Hsu & Pai-Lung Chou & Ya-Yi Chao & Chao-Wei Li - 1003-1023 Determinants of Banking Efficiency and Survival in Taiwan with Consideration of the Real Management Cost
by Lien-Wen Liang & Cheng-Ping Cheng & Yipin Lin - 1024-1042 The Roots of Corporate Transparency: A Mediated Moderation Model to Predict Foreign Institutional Investment
by Chin-Jung Luan & Chengli Tien - 1043-1054 Corporate Social Responsibility and Firm Value: The Mediating Role of Investor Recognition
by Chen-Hsun Lee & Roger C. Y. Chen & Shih-Wei Hung & Cheng-Xing Yang - 1055-1072 The Influences of Book-to-Price Ratio and Stock Capitalization on Value-at-Risk Estimation in Taiwan Stock Market
by Tsung-Che Wu & Hung-Hsi Huang & Ching-Ping Wang & Yi-Lin Zhong - 1073-1092 Earnings Management during the Fourth Quarter: Evidence from Taiwan
by Szu-Hsien Lin & Huei-Hwa Lai - 1093-1112 The Effects of Corporate Governance on Credit Ratings: The Role of Corporate Social Responsibility
by Cho-Min Lin & Clara Chia Sheng Chen & Sheng-Yung Yang & Wan-Ru Wang - 1113-1123 The January Effect and Prospect Theory in Taiwan
by Yujan Shen & Chienjen Hung & Jrjung Chiou & Kuanfu Shen - 1124-1145 Identifying IFDI and OFDI Productivity Spatial Spillovers: Evidence from China
by Youxing Huang & Huixin Yang - 1146-1165 Homeownership, Housing Demand, and Household Wealth Distribution in Turkey
by Evren Ceritoğlu - 1166-1180 A Language-Independent Measurement of Economic Policy Uncertainty in Eastern European Countries
by Alexander Kupfer & Josef Zorn
March 2020, Volume 56, Issue 4
- 731-749 Volatility Spillovers and Risk Contagion Paths with Capital Flows across Multiple Financial Markets in China
by Xuejin Zhao & Wei-Guo Zhang & Yong-Jun Liu - 750-770 Controlling Shareholder’s Share Pledging and Firm’s Auditor Choice
by Jingjing Xu & Yan Zhang & Yizhe Xie - 771-795 The Bilateral Effects of Platform-Sponsored Collateral in Peer-To-Peer (P2P) Lending: Evidence from China
by Xiaojun Shi & Qi Jin & Lin He - 796-819 Within-Firm Wage Inequality and Corporate Innovation: Evidence from China’s Listed Firms
by Miao Miao & Yan Zhang & Shilin Zheng - 820-839 Sentiment Dispersion and Asset Pricing Error: Evidence from the Chinese Stock Market
by Xiong Xiong & Jiatong Han & Xu Feng & Yahui An - 840-859 Stock Index Options Pricing under Jump Patterns Driven by Market States
by Chao-Yang Lin & Huimei Liu & Jia-Ching Lee & Shih-Kuei Lin - 860-893 Trade-Credit Financing under Financial Constraints: A Relational Perspective and Evidence from Listed Companies in China
by Xiaojun Shi & Aoran Wang & Songtao Tan - 894-912 Disputes over Corporate Control at Chinese Firms
by Danni Chen & Xue Chen & Xiaoling Pu & Hao Luo - 913-939 On the Asymmetric Effects of Exchange Rate Volatility on Trade Flows: Evidence from Africa
by Mohsen Bahmani-Oskooee & Augustine C. Arize - 940-959 Controlling Shareholders’ Preference in Business Groups: Evidence from Korea
by Yonghyun Kwon & Seung Hun Han
February 2020, Volume 56, Issue 3
- 485-507 How Can Government Support Affect Behaviors of Investors and Rating Agencies in a Corporate Bond Market? Evidence from China’s Corporate Bond Market
by Bo Huang & Liqing Chen & Lin He - 508-526 Comparing Hedging Effectiveness of Portfolios in the Greater Chinese Stock Exchanges: Evidence from a Modified Value-at-Risk Model
by Chung-Chu Chuang & Yi-Hsien Wang & Tsai-Jung Yeh - 527-542 Volatility Premium and Term Structure of China Blue-Chip Index Options
by Xinming Huang & Jie Liu & Xinjie Zhang & Yinglun Zhu - 543-561 The Effect of Home Equity on the Risky Financial Portfolio Choice of Chinese Households
by Xiuzhen Shi & Zekai He & Xiaomeng Lu - 562-575 Inequality and Social Capital: How Inequality in China’s Housing Assets Affects People’s Trust
by Tiantian Dai & Shenyi Jiang & Ang Sun & Sihong Wu - 576-592 Impact of US Uncertainty on Chinese Stock Market Volatility
by Renhai Hua & Pengfei Zhao & Honghai Yu & Libing Fang - 593-612 Forecasting Excess Returns and Abnormal Trading Volume using Investor Sentiment: Evidence from Chinese Stock Index Futures Market
by Bin Gao & Jun Xie - 613-625 Media Coverage and Decomposition of Stock Market Volatility:Based on the Generalized Dynamic Factor Model
by Haishu Qiao & Yaya Su - 626-640 Different Types of Investor Reactions to Annual Reports
by Zhuwei Li & Baolu Wang & Yuan Fu & Yongdong Shi & Xuexin Su - 641-658 How Does Shadow Bank Affect Bank Ranking in China?
by Chung-Hua Shen & Meng-Wen Wu & Ting-Hsuan Chen & Jiahua Wang - 659-672 Does Gold Serve as a Hedge for the Stock Market in China? Evidence from a Time-Frequency Analysis
by Lei Ming & Yao Shen & Shenggang Yang & Sangzhi Zhu & Hong Zhu - 673-692 Financial versus Non-Financial Information for Default Prediction: Evidence from Sri Lanka and the USA
by Jayasuriya Mahapatabendige Ruwani Fernando & Leon Li & Greg Hou - 693-729 Properly Estimating Risk in Emerging Markets: A Comparison of Beta Adjustment Techniques
by Antonie Katscher & Alejandro Mac Cawley & Tomas Reyes - 730-730 Statement of Retraction: Incomplete Exchange Rate Pass-Through: Evidence from Exchange Rate Reform in China
by The Editors
January 2020, Volume 56, Issue 2
- 243-244 Introduction to Symposium: Recent Development in Finance and Banking in Emerging Markets
by Irwan Trinugroho & Siong Hook Law & Doddy Setiawan & Muhammad Agung Prabowo - 245-259 Micro-Foundation Investigation of Price Manipulation in Indonesian Capital Market
by Aurelius Aaron & Deddy P. Koesrindartoto & Ryuta Takashima - 260-274 Foreign Portfolio Investment Flows and Exchange Rate: Evidence in Indonesia
by Dyah Anggitawati & Irwan Adi Ekaputra - 275-285 What Drives Private Savings in Malaysia?
by Chor Foon Tang & Eu Chye Tan & Soo Y. Chua - 286-304 Bank Risk and Financial Development: Evidence From Dual Banking Countries
by Baharom Abdul Hamid & Wajahat Azmi & Mohsin Ali - 305-313 Funding Liquidity and Risk Taking Behavior in Southeast Asian Banks
by Rofikoh Rokhim & In Min - 314-328 Equity Financing at Islamic Banks: Do Competition and Bank Fundamentals Matter?
by Tastaftiyan Risfandy & Burhanudin Harahap & Arif Rahman Hakim & Sutaryo Sutaryo & Linggar Ikhsan Nugroho & Irwan Trinugroho - 329-337 Market Structure, Spin-Off, and Efficiency: Evidence from Indonesian Islamic Banking Industry
by M Nur Rianto Al Arif & M. Arief Mufraini & M. Agung Prabowo - 338-350 Contingent Claim Approach for Pricing of Sovereign Sukuk for R&D Financing in Indonesia
by Lindawati Wardani & Viverita Viverita & Zaäfri Ananto Husodo & Sinto Sunaryo - 351-369 What Determine Loan Rate and Default Status in Financial Technology Online Direct Lending? Evidence from Indonesia
by Wimboh Santoso & Irwan Trinugroho & Tastaftiyan Risfandy - 370-391 Institutional Distance, Organizational Learning, and Innovation Performance: Outward Foreign Direct Investment by Chinese Multinational Enterprises
by Changjun Yi & Xueyu Xu & Chusheng Chen & Yenchun Jim Wu - 392-408 Modeling and Forecasting the Multivariate Realized Volatility of Financial Markets with Time-Varying Sparsity
by Jiawen Luo & Langnan Chen - 409-426 Can Consumption Drive Industrial Upgrades? Evidence from Chinese Household and Firm Matching Data
by Dongyang Zhang & Xinxin Ma & Jun Zhang & Quheng Deng - 427-456 Economic Policy Uncertainty and the Distribution of Business Operations between Parent Companies and Their Subsidiaries
by Qinhe Shi & Wenfeng Qiu & Yuling Fan - 457-471 Financial Inclusion and Urban–Rural Income Inequality: Long-Run and Short-Run Relationships
by Youxing Huang & Yan Zhang - 472-483 Balance-of-Payments-Constrained Approach: Convergence Sustainability in the Region of Central and Eastern Europe
by Peter Leško & Eva Muchová
January 2020, Volume 56, Issue 1
- 1-9 Meta-Analysis of Emerging Markets and Economies: An Introductory Note for the Special Issue
by Ichiro Iwasaki - 10-31 Meta-Analysis of the New Keynesian Phillips Curve in Developed and Emerging Economies
by Jarko Fidrmuc & Katarína Danišková - 32-67 Ownership Concentration and Firm Performance in European Emerging Economies: A Meta-Analysis
by Ichiro Iwasaki & Satoshi Mizobata - 68-85 Output Effects of Monetary Policy in Emerging and Developing Countries: Evidence from a Meta-Analysis
by Thi Mai Lan Nguyen - 86-105 FDI Backward Spillovers in China: What a Meta-Analysis Tells Us?
by Hongzhong Fan & Shi He & Yum K. Kwan - 106-125 Quality Imports and Quality Exports: Micro Evidence from China
by Hongbing Li & Hongbo Cai & Xuedong Lin & Junyi Gu - 126-148 Puzzling Premiums on FX Markets: Carry Trade, Momentum, and Value Alone and Strategy Diversification
by Evgeniya Mikova & Tamara Teplova & Qaiser Munir - 149-163 National Culture, Firm Characteristics, and Dividend Policy
by Mei Chang & Bin Chang & Shantanu Dutta - 164-187 Too Small to Succeed versus Too Big to Fail: How Much Does Size Matter in Banking?
by Marjan Naseri & Obiyathulla Ismath Bacha & Mansur Masih - 188-207 Intellectual Property Rights and the Margins of Firm Imports in China
by Hao Wei & Huijun Lian - 208-227 Does the Quality of Institutions in Host Countries Affect the Location Choice of Chinese OFDI: Evidence from Asia and Africa
by Muhammad Abdul Kamal & Syed Hasanat Shah & Wang Jing & Hafsa Hasnat - 228-242 Rural Homesteads Withdrawal and Urban Housing Market: A Pilot Study in China
by Lifang Zhang & Wen Fan
July 2020, Volume 55, Issue 8
- 1671-1680 The Impacts of Trade and Financial Developments on Economic Growth in Turkey: ARDL Approach with Structural Break
by Mouyad Alsamara & Zouhair Mrabet & Karim Barkat & Mohamed Elafif - 1681-1693 Paradox of Austerity: Multi-Country Evidence
by Surajit Das & Israa A. El Husseiny - 1694-1708 What Drives Non-Performing Loans? Evidence from Emerging and Advanced Economies during Pre- and Post-Global Financial Crisis
by Narman Kuzucu & Serpil Kuzucu - 1709-1721 Explaining Recent Investment Weakness: Causes and Implications
by Ergys Islamaj & M. Ayhan Kose & Franziska L. Ohnsorge & Lei Sandy Ye - 1722-1736 Private Information, Investor Sentiment, and IPO Pricing: Which Institutional Investors Are Better Informed?
by Kenta Funaoka & Yusaku Nishimura - 1737-1753 Exchange Rate Risk and Corporate Hedging: Evidence from Turkey
by Goknur Buyukkara & Mehmet Baha Karan & Huseyin Temiz & Yilmaz Yildiz - 1754-1775 Institutional Quality, Resource Endowment, and Economic Growth: Evidence from Cross-Country Data
by Helian Xu & Moga Tano Jilenga & Yuping Deng - 1776-1802 Revisiting the Impact of Stock Market Liquidity on Bank Liquidity Creation: Evidence from Malaysia
by Moau Yong Toh & Christopher Gan & Zhaohua Li - 1803-1820 Board Gender Diversity and Organizational Determinants: Empirical Evidence from a Major Developing Country
by Abubakr Saeed & Muhammad Sameer & Muhammad Mustafa Raziq & Aneel Salman & Shawkat Hammoudeh - 1821-1840 Effects of Transparency on Herding Behavior: Evidence from the Taiwanese Stock Market
by Kuei-Yuan Wang & Yu-Sin Huang - 1841-1856 Geopolitical Risks, Returns, and Volatility in Emerging Stock Markets: Evidence from a Panel GARCH Model
by Christos Bouras & Christina Christou & Rangan Gupta & Tahir Suleman - 1857-1879 Is It Liquidity or Quality that Matters More in Foreign Exchange Markets?
by Ehab Yamani - 1880-1892 Intra-Regional vs. Extra-Regional Trade Liberalization in Central America
by Adolfo Cristóbal Campoamor & Manuel Alejandro Cardenete Flores & Pedro Caldentey Del Pozo & Olexandr Nekhay - 1893-1906 Heterogeneous Impact of Monetary Policy on Regional Economic Activity: Empirical Evidence for Poland
by Ageliki Anagnostou & Paweł Gajewski
December 2019, Volume 55, Issue 15
- 3371-3385 The Rise of the Chinese Unicorn: An Exploratory Study of Unicorn Companies in China
by Zhai Jinzhi & Jon Carrick - 3386-3403 Does Outward Foreign Direct Investment Boost Employment in the Home Country? Evidence from China’s Microlevel Data
by Ni-Sha Jia & Yong-Hui Han & Ke-Ming Peng & Hong-Zhen Lei - 3404-3416 Does Matching with Foreign-Invested Enterprises Improve the Productivity of Chinese Enterprises?
by Yu Zhang & Xiang Dai & Yuchen Shao - 3417-3432 Do Bubbles Alter Contributions to Price Discovery? Evidence from the Chinese Soybean Futures and Spot Markets
by Miao Li & Tao Xiong - 3433-3451 Factors Affecting Carbon Emission Trading Price: Evidence from China
by Yingkai Yin & Zhihui Jiang & Yazhou Liu & Zheng Yu - 3452-3471 Do Female Board Directors Promote Corporate Social Responsibility? An Empirical Study Based on the Critical Mass Theory
by Weiliu Yang & Jinlei Yang & Zhitong Gao - 3472-3489 A Systematic Review of China’s Food Safety Management since Reform and Opening Up
by Li Yang & Junqi Zhu & Zhihui Huang & Jichao Geng - 3490-3512 Does Industrial Policy Play an Important Role in Enterprise Innovation?
by Feipeng Feng - 3513-3538 How Does the Implementation of the New Environmental Protection Law Affect the Stock Price of Heavily Polluting Enterprises? Evidence from China’s Capital Market
by Genwen Zhang & Chaoyang Fang & Wangfei Zhang & Qiong Wang & Donglan Hu - 3539-3552 The Effect of International Strategic Alliances on Firm Performance before and after the Global Financial Crisis
by Doowon Ryu & Maria H. Kim & Doojin Ryu - 3553-3574 Dynamic Dependence Structure between Chinese Stock Market Returns and RMB Exchange Rates
by Rong Li & Zongyi Hu & Sufang Li & Keming Yu - 3575-3590 Urbanization, Air Quality, and the Panel Threshold Effect in China Based on Kernel Density Estimation
by Shijin Wang & Guihong Hua & Cunfang Li - 3591-3614 How Does the Heterogeneity of Internal Control Weakness Affect R&D Investment?
by Wanfu Li & Yuling Han & Jiangang He - 3615-3630 Influence of Investor and Advisor Big Five Personality Congruence on Futures Trading Behavior
by Muhammad Zubair Tauni & Zulfiqar Ali Memon & Hong-Xing Fang & Khalil Jebran & Tanveer Ahsan - 3631-3652 Factors Influencing Cambodian Rice Exports: An Application of the Dynamic Panel Gravity Model
by Sokvibol Kea & Hua Li & Saleh Shahriar & Nazir Muhammad Abdullahi & Samnang Phoak & Tharo Touch - 3653-3666 Ownership Concentration, Identity and Firm Performance: Evidence from China’s Listed Firms
by Hongmei Wang & Jun Wu & Yuhong Yang & Ruihai Li & Yuping Liu - 3667-3681 Non-Dividend Payout Behavior of Companies: Research on the Effect of Large Shareholders’ “Voting with Their Feet”
by Jianxiong Hu & Fangzhi Liang & Cunhai Ji - 3682-3707 The Impact of Remittances on Exchange Rate and Money Supply: Does “Openness” Matter in Developing Countries?
by Jounghyeon Kim
November 2019, Volume 55, Issue 14
- 3131-3133 On the Way to the Silk Road: Trade, Investment, and Finance in Emerging Economies
by Jianjun Li & Zhigang Huang - 3134-3150 Social Trust, Rule of Law, and Economic Exchange: Evidence from China and Its Major Trading Partners
by Changyun Wang & Zonglong Li & Teng Zhong - 3151-3165 Complex Network of Aviation E-Services in the Belt and Road Initiative: A Heuristic Study of Small Data based on Block Modeling
by Da Huo & Rihui Ouyang & Baowen Sun & Liping Wei & Ken Hung & Haibo Wang - 3166-3177 The Evolution of the Belt and Road Trade Network and Its Determinant Factors
by Zhaohui Chong & Chenglin Qin & Su Pan - 3178-3210 Quantifying Financing Needs in the Belt and Road Countries
by Hongyi Chen & Tianjiao Jiang & Chen Lin & Hui Zhao - 3211-3226 The Influential Factors on Outward Foreign Direct Investment: Evidence from the “The Belt and Road”
by Zhenghui Li & Zhehao Huang & Hao Dong - 3227-3240 Does the Connectivity of the Belt and Road Initiative Contribute to the Economic Growth of the Belt and Road Countries?
by Yaowen Chen & Zuojun Fan & Jie Zhang & Min Mo - 3241-3257 The Dynamic Extreme Co-Movement between Chinese Stock Market and Global Stock Markets
by Naijing Huang & Zhigang Huang & Weijia Wang - 3258-3274 The Impact of Enterprises’ Shadow Banking Activities on Business Performance: A Test Based on Mediator Effect of Investment Scale and Investment Efficiency
by Xun Han & Sara Hus & Jianjun Li - 3275-3294 Foreign Direct Investment, Institutional Quality, and Financial Development along the Belt and Road: An Empirical Investigation
by Abuduwali Aibai & Xianjing Huang & Yu Luo & Yuchao Peng - 3295-3310 Financial Cooperative Potential Between China and Belt and Road Countries
by Shuyu Wu & Qingzhong Pan - 3311-3331 Volatility Spillovers of Stock Markets between China and the Countries along the Belt and Road
by Wanbo Lu & Yuxuan Gao & Xiaoyi Huang - 3332-3348 How Does Infrastructure Construction Affect Economic Development along the “Belt and Road”: By Promoting Growth or Improving Distribution?
by Guangning Tian & Juncheng Li - 3349-3369 Financial Competitiveness, Financial Openness and Bilateral Foreign Direct Investment
by Na Tan & Wei Wang & Jiaohui Yang & Liang Chang
October 2019, Volume 55, Issue 13
- 2929-2948 Option Pricing for TGARCH-M with GED Based on Improved EEMD
by Tingfeng Jiang & Qiuling Hua - 2949-2969 Chinese Stock Returns and the Role of News-Based Uncertainty
by Zhi Su & Man Lu & Libo Yin - 2970-2981 An Empirical Analysis of the Impact of Credit Risk Mitigation Warrants on Bonds: Evidence in Chinese Markets
by Ping Li & Hui Meng & Zengpeng Li - 2982-2996 Price Discovery in the Chinese Stock Index Futures Market
by Jing Hao & Xiong Xiong & Feng He & Feng Ma - 2997-3022 The Term Structure of Option-Implied Volatility and Future Realized Volatility
by Yukun Shi & Hao Zhang & Yaofei Xu & Yang Zhao - 3023-3038 Monetary Policy Adjustment, Corporate Investment, and Stock Liquidity—Empirical Evidence from Chinese Stock Market
by Huaping Zhang & Jianhua Ye & Feifei Wei & Rafique Kashif & Ceyuan Cao - 3039-3057 Research on Balance Strategy of Supervision and Incentive of P2P Lending Platform
by Ning Zhang & Wuyu Wang - 3058-3068 Time-Varying Comovement of Chinese Stock and Government Bond Markets: Flight to Safe Haven
by Hyunchul Lee & Kyungtag Lee & Xinrong Zhang - 3069-3093 Banking Sector Reform, Competition, and Bank Stability: An Empirical Analysis of Transition Countries
by Shaofang Li - 3094-3111 Determinants of Low Inflation in an Emerging, Small Open Economy through the Lens of Aggregated and Disaggregated Approach
by Karol Szafranek & Aleksandra Hałka - 3112-3130 The Effect of Monetary and Fiscal Policy on Bond Mutual Funds and Stock Market: An International Comparison
by Fiza Qureshi & Habib Hussain Khan & Ijaz ur Rehman & Saba Qureshi & Abdul Ghafoor
September 2019, Volume 55, Issue 12
- 2669-2672 New Challenge and Research Development in Global Energy Financialization
by Qiang Ji & Jianping Li & Xiaolei Sun - 2673-2688 Stranded Coal Power Assets in China: A Case Study of Jilin Province
by Jiahai Yuan & Xiaoxuan Guo & Weirong Zhang & Jinghong Zhou & Chengju Qin - 2689-2702 The Impacts of an Energy Price Decline Associated with a Carbon Tax on the Energy-Economy-Environment System in China
by Zhengquan Guo & Xingping Zhang & Daojuan Wang & Xiaonan Zhao - 2703-2717 Dynamic Spillover Effect Between Oil Prices and Economic Policy Uncertainty in BRIC Countries: A Wavelet-Based Approach
by Xiuwen Chen & Xiaolei Sun & Jun Wang - 2718-2737 Measurement of the Price Distortion Degree for Exhaustible Energy Resources in China: A Discount Rate Perspective
by Keyi Ju & Qunwei Wang & Lifan Liu & Dequn Zhou - 2738-2755 Inferring Energy Stock Returns Based on Financial Indicators from the Network Perspective
by Xian Xi & Xiangyun Gao & Qing Guan & Nairong Liu & Sida Feng & Xueyong Liu & Pengli An - 2756-2773 Interaction between Oil Price and Investor Sentiment: Nonlinear Causality, Time- Varying Influence, and Asymmetric Effect
by Zhifang He & Fangzhao Zhou & Xiaohua Xia & Fenghua Wen & Yiyuan Huang - 2774-2795 Knowledge Transfer from Multinationals through Labour Mobility: Are There Effects on Productivity, Product Sophistication and Exporting?
by Jaan Masso & Priit Vahter - 2796-2808 Do Stringent Environmental Regulations Attract Foreign Direct Investment in Developing Countries? Evidence on the “Race to the Top” from Cross-Country Panel Data
by Yeseul Kim & Dong-Eun Rhee - 2809-2833 (Ab)Normal Returns in an Emerging Stock Market: International Investor Perspective
by Paulina Roszkowska & Lukasz K. Langer - 2834-2850 Does Real Activities Management Influence Earnings Quality and Stock Returns in Emerging Markets? Evidence from Korea
by Kwang Hwa Jeong & Seung Uk Choi - 2851-2870 The Role of Private Equity When Portfolio Firms Go Public: Evidence from ChiNext Board
by Yao Li & Mike Wright & Louise Scholes & Ziwei Zhang - 2871-2885 Comparison of Business Environments in Oil-Rich MENA Countries: A Clustering Analysis of Economic Diversification and Performance
by Şule L. Aker & Iman Aghaei - 2886-2903 Individual Stock Cash Inflow–Outflow Imbalance, Individual Stock Investor Sentiment and Excess Returns
by Chunpeng Yang & Jianlei Yang - 2904-2927 On the Mystery of Financial Conservatism: Insights from Pakistan
by Ammara Yasmin & Abdul Rashid
September 2019, Volume 55, Issue 11
- 2389-2408 Inflation Targeting and Inflation Risk in Latin America
by Bruno Ferreira Frascaroli & Wellington Charles Lacerda Nobrega - 2409-2424 Banks’ Governance and Innovation: Evidence from the Listed Firms in China
by Yanjian Zhu - 2425-2436 Do Loan Loss Provisions Affect the Credit Fluctuations in China’s Banking System?
by Zongrun Wang & Nan Xie & Yanbo Jin - 2437-2447 Excessive Financial Support, Real Estate Development and Macroeconomic Growth: Evidence from China
by Feiyan Wang & Guanghe Ran - 2448-2472 Boardroom Diversity and Operating Performance: The Moderating Effect of Strategic Change
by Chih-shun Hsu & Wei-hung Lai & Sin-hui Yen - 2473-2496 Government and Financial Institutional Determinants of Development in MENA Countries
by Mahmoud Arayssi & Ali Fakih & Mohamad Kassem - 2497-2522 How Does Information Disclosure Affect Bank Systemic Risk in the Presence of a Deposit Insurance System?
by Bo Zhu & Li Li & Yao Zhou & Wenhua Yang - 2523-2543 A Multicriteria Approach for Modeling Small Enterprise Credit Rating: Evidence from China
by Nana Chai & Bi Wu & Weiwei Yang & Baofeng Shi - 2544-2565 Determinants of Exports in China’s Meat Industry: A Gravity Model Analysis
by Saleh Shahriar & Lu Qian & Sokvibol Kea - 2566-2588 R&D Efforts, Total Factor Productivity, and the Energy Intensity in China
by Xiaobo Shen & Boqiang Lin & Wei Wu - 2589-2608 The Impact of Environmental Regulation on Productivity and Exports: A Firm-Level Evidence from China
by Xiaobing Huang & Xiaolian Liu - 2609-2627 Monetary and Financial Cooperation Between China and the One Belt One Road Countries
by Jin Sun & Jack W. Hou - 2628-2651 Does Government Subsidy Affect Firm Survival? Evidence from Chinese Manufacturing Firms
by Dongyang Zhang & Gang Xu - 2652-2667 Financial Constraints, Institutions, and Firm Productivity: Evidence from China
by Yang Wang & Qunxi Kong
August 2019, Volume 55, Issue 10
- 2147-2148 Guest Editors’ Introduction: Structural Transformation, Foreign Direct Investment, and Institutional Development
by Ali M. Kutan & Marcello Signorelli - 2149-2163 Currency Shifts as a Market Discipline Device: The Case of the Russian Market for Personal Deposits
by Maria Semenova & Andrey Shapkin - 2164-2184 Building the Index of Efficiency of FDI Transformation: Economic Development and Intellectual Capital
by Tamara V. Teplova & Tatiana V. Sokolova