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                             75 results found
no title author magazine year volume issue page(s) type
1 An empirical investigation of ESG dimensions and bank performance: Evidence from the COVID-19 crisis Liu, An-Chi

93 C p.
article
2 A performance index consistent with fractional-order stochastic dominance Chen, Tzu-Ying

93 C p.
article
3 Artificial intelligence and financial fraud Sun, Guanglin

93 C p.
article
4 Artificial intelligence and stock price crash risk: Evidence from China: A pre-registered report Xiao, Bai

93 C p.
article
5 Automation and stock market participation Meng, Weilu

93 C p.
article
6 Bank loan availability and corporate cash holdings of unlisted firms Naiki, Eriko

93 C p.
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7 Boardroom gender diversity and dividend payouts in Japan's bank-based financial system: A pre-registered report Sakawa, Hideaki

93 C p.
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8 Can digital finance foster green innovation in short-term debt for long-term investment firms? Tang, Long

93 C p.
article
9 Can financial consumer protection promote residents' stock market participation? An investigation based on eastern China residents survey Li, Qinghai

93 C p.
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10 Collusive bidding: Evidence from China’s IPO bookbuilding mechanism reform Cao, Xiaping

93 C p.
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11 Corporate green transformation and bankruptcy risk: Empirical evidence from Chinese manufacturing firms Li, Yong

93 C p.
article
12 Corporate social responsibility disclosure quality and the agency problem: Evidence from a mandatory disclosure setting Nair, Rajiv

93 C p.
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13 Corporate unity culture and executives' pay-performance sensitivity: Evidence from China Yuan, Rongli

93 C p.
article
14 Corrigendum to “Mapping fear in financial markets: Insights from dynamic networks and centrality measures. Volume 85 (2024) 1–24, 102368” Naeem, Muhammad Abubakr

93 C p.
article
15 CSR and exposure to systemic risk: Building resilience in non-financial firms Chaudhry, Neeru

93 C p.
article
16 CVaR-based risk parity model with machine learning Sheng, Jiliang

93 C p.
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17 Digital transformation and corporate diversification Lv, Jin Roc

93 C p.
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18 Do corrupt practices lead to increased cash holdings in firms? International evidence Banerjee, Rajabrata

93 C p.
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19 Do creditors value board ownership representativeness? Evidence from trade credit: A pre-registered report Jiang, Fuxiu

93 C p.
article
20 Dual institutional shareholders and stock price volatility——Evidence from fund investors in China Ding, Ning

93 C p.
article
21 Economic uncertainty and innovation capability: Corruption as a barrier to innovation output Sun, Yunpeng

93 C p.
article
22 Editorial Board
93 C p.
article
23 Employee satisfaction, firm performance, and stock returns: Evidence from the Korean stock market Bae, Jaewan

93 C p.
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24 Enhancing stock market return predictability by using a novel autoencoder-based aggregate EPU index Li, Xiao-Xin

93 C p.
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25 ESG rating disagreement and dynamic capital structure adjustment Yang, Yifan

93 C p.
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26 Exceed your duty: The substitution effect of minority investor governance on institutional site visits Liao, Ke

93 C p.
article
27 Extreme high temperatures and corporate green innovation: Evidence from China Li, Meng

93 C p.
article
28 Financial constraints, cash flow timing patterns, and asset prices in the australian market Mo, Di

93 C p.
article
29 Foreign branch and bank lending decisions: Evidence from high-risk borrowers Wu, Xufeng

93 C p.
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30 Foreign investor trading, local investor mimicry and stock price volatility Zheng, Xingxin

93 C p.
article
31 From academia to the courtroom: Impact of academic executives on corporate litigation risk Liu, Ping

93 C p.
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32 From accountability to transparency: The role of collective litigation in enhancing corporate information disclosure Gao, Wangbo

93 C p.
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33 From connect to conquer: capital market liberalization and Chinese firms' cross-border mergers and acquisitions Jiang, Mobing

93 C p.
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34 From savings to investments: How retirement consumption expectations shape household risky financial asset allocation Jing, Peng

93 C p.
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35 Gender of loan officers and loan performance: A pre-registered report Chen, Mingwei

93 C p.
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36 Generative AI: The transformative impact of ChatGPT on systemic financial risk in Chinese banks Zhao, Yikai

93 C p.
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37 Global stock market forecasting: Insights from series and parallel combination of machine learning models Feng, Lingbing

93 C p.
article
38 Government procurement and stock price synchronicity Wang, Ning

93 C p.
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39 Greedy CEOs and IPO underpricing: Evidence from China Chen, Tao

93 C p.
article
40 Greenwashing and ESG: Bibliometric analysis and future research agenda Bhullar, Pritpal Singh

93 C p.
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41 How air pollution influences corporate credit spreads: A pre-registered report Ma, Yunbiao

93 C p.
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42 How do investors trust mutual funds in cliques: Case in China Liu, Xiaojun

93 C p.
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43 Impacts of China's social credit reform on firm investment efficiency: Evidence from a quasi-natural experiment in China Wang, Xuecheng

93 C p.
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44 Index-tracking rigidity and arbitrage opportunities in MSCI index reconstitutions Chang, Xin

93 C p.
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45 It is a marathon, not a sprint: The impact of supply chain finance on firms’ short-term debt for long-term investments Bu, Jun

93 C p.
article
46 Latent factor models for the Chinese commodity futures markets Liu, Yanchu

93 C p.
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47 Lost in excess capital: Labor market consequences of IPO oversubscription in China Li, Ruitao

93 C p.
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48 Mainland Chinese investor attention influences on international markets: The impact of Game of Hunting on the stock returns of head-hunting companies in Hong Kong Zhang, Hejie

93 C p.
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49 Managerial ability and R&D spending stickiness: Evidence from China Wang, Fangjun

93 C p.
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50 Managerial ownership pays off: Controlling shareholders' share pledging and corporate innovation quality in China Liu, Bei

93 C p.
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51 Measuring the association between short selling and price efficiency: A new stock-level analysis Park, Yumi

93 C p.
article
52 Moderating effect of the capital structure on the idiosyncratic risk and market performance of listed firms Leandro de Lima, Samuel Lyncon

93 C p.
article
53 Navigating competitive pressures: The impact of banking competition on corporate short-term borrowing for long-term investment Xu, Shaokang

93 C p.
article
54 Nonlinear effects of shadow banking on banks' systemic risk Huang, Min

93 C p.
article
55 Ownership acceleration and the volume volatility-return link: Evidence from China Lei, Xiaoyan

93 C p.
article
56 Patents as loan collateral: Evidence from China Yu, Lisheng

93 C p.
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57 Power of decomposition in volatility forecasting for Bitcoins Raj, Prakash

93 C p.
article
58 Predicting bond risk premiums with machine learning: Evidence from China Chai, Bailin

93 C p.
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59 Price formation around historical highs in retail-dominated stock markets: Evidence from Taiwan Lee, ShaoChen

93 C p.
article
60 Relocating innovation within firms: The impact of real estate booms on innovation transfer Dong, Zhanyu

93 C p.
article
61 Riding the storm: AI-driven spillover effects across technology, commodities, and conventional markets Naeem, Muhammad Abubakr

93 C p.
article
62 Safe-haven currencies under rare disaster risk: A pre-registered report Huang, Xiaowei

93 C p.
article
63 Southbound capital flows and stock return predictability Ding, Tian

93 C p.
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64 Taming the factor zoo in China’s equity market: A Bayesian approach Mao, Jie

93 C p.
article
65 Targeted fiscal policy and corporate investment: Evidence from the special bonds in China Liu, Qiang

93 C p.
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66 The dark side of investor protection: The case of innovation Duan, Huiqin

93 C p.
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67 The effect of mutual fund herding on stock mispricing Xue, Wenjun

93 C p.
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68 The green governance effect of retail investor attention: Evidence from China's investor interactive platforms Yang, Zhenyi

93 C p.
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69 The influence of stock market liberalization on labor investment decisions: Evidence from China Li, Hanying

93 C p.
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70 The liquidity effect of media coverage: International evidence 1 1 We would like to thank the members of the UE-UD Teaching and Research Team in Corporate Finance and Asset pricing (TRT-CFAP) for their helpful comments. We thank Bohui Zhang for sharing some of the data. Part of this research was conducted while Tung Lam Dang was a visiting scholar at the Kelley School of Business, Indiana University. This research is funded by Vietnam National Foundation for Science and Technology Development (NAFOSTED) under grant number 502.02–2020.313. Huynh, Thi Hong Hanh

93 C p.
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71 The spillover effect of dishonesty across markets: PEP fund reallocation and bond rating Huang, Yong

93 C p.
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72 The unintended cost of financial regulation in China: The impact of the new regulation on asset management on private firms' credit spreads Lu, Chuang

93 C p.
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73 To break or not to break: price discovery in morning and afternoon call auctions Likitapiwat, Tanakorn

93 C p.
article
74 To fix or not to fix, the Fix: Reassessing the effectiveness of the 4 pm Fix. A pre-registered study Benenchia, Matteo

93 C p.
article
75 Who knows more? The role of structural hole spanners in accurate information identification on social media Guo, Man

93 C p.
article
                             75 results found
 
 Koninklijke Bibliotheek - National Library of the Netherlands