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                             68 results found
no title author magazine year volume issue page(s) type
1 An on-line machine learning return prediction Lu, Yueliang (Jacques)

79 C p.
article
2 Anti-corruption and within-firm pay gap: Evidence from China Kong, Gaowen

79 C p.
article
3 Asset pricing models in the presence of higher moments: Theory and evidence from the U.S. and China stock market Hu, Debao

79 C p.
article
4 Bank funding costs during the COVID-19 pandemic: Evidence from China Gao, Haoyu

79 C p.
article
5 Bank stability in the Indian subcontinent region: Evolution and determinants Gulati, Rachita

79 C p.
article
6 Board diversity and the marginal value of corporate cash holdings Yang, Hanping

79 C p.
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7 Can convertible bond trading predict stock returns? Evidence from China Chen, Zhiyu

79 C p.
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8 Can financial literacy be a substitute for financial advisers? Evidence from China Liu, Bofan

79 C p.
article
9 Can military executives improve corporate performance? Evidence from industrial competitive pressure Hao, Ying

79 C p.
article
10 Confucianism and D&O insurance demand of Chinese listed companies Kong, Xiaoran

79 C p.
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11 Corporate cash holdings through economic policy uncertainty: An Australian study Heeney, Luke

79 C p.
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12 Corporate culture and firm resilience in China: Evidence from the Sino-US trade war Cheng, Sirui

79 C p.
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13 Corporate ESG and resilience of stock prices in the context of the COVID-19 pandemic in China Xu, Nana

79 C p.
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14 Corporate financialization and investment efficiency: Evidence from China Gong, Cynthia M.

79 C p.
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15 Corporate payouts in Australia Cheema, Muhammad A.

79 C p.
article
16 COVID caused a negative bubble. Who profited? Who lost? How stock markets changed? Ülkü, Numan

79 C p.
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17 COVID-19 vaccinations and risk spillovers: Evidence from Asia-Pacific stock markets Li, Yanshuang

79 C p.
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18 Cultural barriers in China's corporate loans Jin, Ming

79 C p.
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19 Digital finance and corporate ESG performance: Empirical evidence from listed companies in China Ren, Xiaohang

79 C p.
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20 Dividend taxes and corporate choice: Evidence from 2015 tax cut in South Korea Lee, Seung Chul

79 C p.
article
21 Does digital transformation speed up dynamic capital structure adjustment? Evidence from China Niu, Yuhao

79 C p.
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22 Does firm financialization affect optimal real investment decisions? Evidence from China Leng, Tiecheng

79 C p.
article
23 Does social insurance stimulate business creation? Evidence from China Liu, Chen

79 C p.
article
24 Does the investment-profitability correlation affect the factor premiums? Evidence from China Chen, Shan

79 C p.
article
25 Does the market differentiate between investor-paid and issuer-paid ratings in the pricing of asset-backed securities? Liu, Xiaojian

79 C p.
article
26 Do insider investment horizons contain information? Evidence from Australia Hoang, Lai T.

79 C p.
article
27 Do M&A funds create value in Chinese listed firms? Huang, Ying Sophie

79 C p.
article
28 Earnings announcement premium and return volatility: Is it consistent with risk-return trade-off? Tsafack, Georges

79 C p.
article
29 Editorial Board
79 C p.
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30 Elucidating Directed Statistical Dependencies: Investigating Global Financial Market Indices' Influence on Korean Short Selling Activities Choi, Insu

79 C p.
article
31 ETF ownership and informational efficiency of underlying stocks: Evidence from China Wu, Weili

79 C p.
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32 Financial literacy and retirees' resource allocation decisions in New Zealand Noviarini, Jelita

79 C p.
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33 Former CEO advisors and firm performance Ogoe, Satoshi

79 C p.
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34 Founder ownership and value relevance of IFRS convergence: Role of institutional investors Shruti, R.

79 C p.
article
35 Geopolitical risk and corporate investment in the metals and mining industry: Evidence from Australia Rumokoy, Lawren J.

79 C p.
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36 Great Chinese famine, corporate social responsibility and firm value Xu, Cheng

79 C p.
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37 Green development, climate risks, and cash flow: International evidence Lee, Chien-Chiang

79 C p.
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38 Herding in Chinese stock markets: Evidence from the dual-investor-group Liu, Tengdong

79 C p.
article
39 Household net saving positions and unconventional monetary policy transmission: Evidence from Japan Renzhi, Nuobu

79 C p.
article
40 Institutional ownership and momentum in the Chinese A-share market Xiong, Tao

79 C p.
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41 Intellectual property rights enforcement and mergers and acquisitions: Evidence from China Shi, Xiaoxuan

79 C p.
article
42 Involuntary political connections and private firms' tax avoidance Xiang, Junyi

79 C p.
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43 Is there the maturity premium in Taiwan? Lin, Chaonan

79 C p.
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44 Mispricing and anomalies in China Shi, Yongdong

79 C p.
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45 Modernising operational risk management in financial institutions via data-driven causal factors analysis: A pre-registered study Cornwell, Nikki

79 C p.
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46 Multiple directorships and firm performance: Evidence from independent director effort allocation in Hong Kong Liu, Julia Junxia

79 C p.
article
47 “Only children” and entrepreneurship in China: Spillover effects and mechanisms Yang, Xiaolan

79 C p.
article
48 Operating performance during the COVID-19 pandemic: Is there a business group advantage? Banerjee, Pradip

79 C p.
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49 Overnight versus intraday returns of anomalies in China Lin, Chaonan

79 C p.
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50 PBFJ Editorial … Engaging with responsible science. “OPEN FOR BUSINESS” – Launching the PBFJ pre-registration publication initiative Faff, Robert

79 C p.
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51 Public attention and analyst visits: Evidence from China Zhang, Jian

79 C p.
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52 Social insurance contributions and firms' debt concentration choice: A quasi-natural experiment based on the implementation of China's social insurance law Yao, Wenyun

79 C p.
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53 Spillover effects between internet financial industry and traditional financial industry: Evidence from the Chinese stock market Zheng, Yingfei

79 C p.
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54 Spillovers between positively and negatively affected service sectors from the COVID-19 health crisis: Implications for portfolio management Al-Nassar, Nassar S.

79 C p.
article
55 Stock market liberalization and pay for market-based performance: Evidence from a quasi-natural experiment in China Chen, Yuyang

79 C p.
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56 Stock market liquidity and bank stability Samarasinghe, Ama

79 C p.
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57 Stock price reactions to corporate cash holdings in mitigating predictable and unpredictable negative shocks Aono, Kohei

79 C p.
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58 Strength in numbers: Minority shareholders' participation and executives' pay-performance sensitivity Wang, Qiong

79 C p.
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59 The evolution of capital structure and debt governance: Evidence from private equity-backed companies in Japan Iioka, Yasutake

79 C p.
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60 The flight to safety during credit recovery: The role of implicit government guarantees Liu, Tianming

79 C p.
article
61 The impact of COVID-19 on the crash risk of registered new shares in China Duan, Jiangjiao

79 C p.
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62 The impact of displaced commercial risk on the performance of Islamic banks Rouetbi, Marwene

79 C p.
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63 The impact of green credit on firms' green investment efficiency: Evidence from China Li, Lifang

79 C p.
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64 The impact of the Russia-Ukraine crisis on the stock market: Evidence from Australia Kamal, Md Rajib

79 C p.
article
65 Voluntary disclosure in P2P lending: Information or hyperbole? Wang, Chao

79 C p.
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66 Voting with their feet: Controlling shareholders' share pledging and other major shareholders' strategic response Wang, Xiaoqiong

79 C p.
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67 Were CEO pay cuts during the COVID-19 pandemic merely symbolic? Shareholders' reaction and outrage Bedford, Anna

79 C p.
article
68 Why is the Amihud (2002) measure priced in Taiwan: Illiquidity or mispricing? Lin, Chaonan

79 C p.
article
                             68 results found
 
 Koninklijke Bibliotheek - National Library of the Netherlands