Digital Library
Close Browse articles from a journal
     Journal description
       All volumes of the corresponding journal
         All issues of the corresponding volume
                                       All articles of the corresponding issues
 
                             51 results found
no title author magazine year volume issue page(s) type
1 Academic workstations and corporate green innovation Yin, Hongying

83 C p. 571-590
article
2 An analytical GARCH valuation model for spread options with default risk Song, Shiyu

83 C p. 1-20
article
3 A novel hybrid strategy for crude oil future hedging based on the combination of three minimum-CVaR models Su, Kuangxi

83 C p. 35-50
article
4 Are categorical EPU indices predictable for carbon futures volatility? Evidence from the machine learning method Guo, Xiaozhu

83 C p. 672-693
article
5 Bank information monopolies and hold-up effects: International evidence Shi, Wei-Zhong

83 C p. 286-311
article
6 Can a house resale restriction policy curb speculation? Evidence from a quasi-natural experiment in China Lan, Hao

83 C p. 841-859
article
7 Can comment letters impact excess cash holdings? Evidence from China Yao, Youfu

83 C p. 900-922
article
8 Can importing improve the energy efficiency? Theory and evidence from Chinese industrial firms He, Ling-Yun

83 C p. 451-469
article
9 Climate risk disclosure and stock price crash risk: The case of China Lin, Boqiang

83 C p. 21-34
article
10 Comovement and instability in cryptocurrency markets De Pace, Pierangelo

83 C p. 173-200
article
11 COVID-19 and stock market performance: Evidence from the RCEP countries Zhang, Wenwen

83 C p. 717-735
article
12 Crisis stress for the diversity of financial portfolios — evidence from European households Schäfer, Dorothea

83 C p. 330-347
article
13 Currency basis term structure, cross-border investment flow, and central bank currency swap agreement Koyama, Kentaro

83 C p. 470-482
article
14 Designing the pricing mechanism of residents’ self-selection sales electricity based on household size Wang, Li

83 C p. 860-878
article
15 Destabilizing or passive? The impact of commodity index traders on equilibrium prices Sun, Hang

83 C p. 271-285
article
16 Digital finance, environmental regulation and emission reduction in manufacturing industry: New evidence incorporating dynamic spatial-temporal correlation and competition Yan, Bin

83 C p. 750-763
article
17 Does fear spur default risk? Thakerngkiat, Narongdech

83 C p. 879-899
article
18 Does government reduction of the corporate income tax rate increase employment? Evidence from China Zuo, Shengqiang

83 C p. 365-372
article
19 Dynamic connectedness among the implied volatilities of oil prices and financial assets: New evidence of the COVID-19 pandemic Antonakakis, Nikolaos

83 C p. 114-123
article
20 Dynamic risk spillover among crude oil, economic policy uncertainty and Chinese financial sectors Dai, Zhifeng

83 C p. 421-450
article
21 Editorial Board
83 C p. ii
article
22 Effect of ESG performance on the cost of equity capital: Evidence from China Chen, Yonghuai

83 C p. 348-364
article
23 FDI inflows and income inequality: A Schumpeterian economic growth Wang, Wenhao

83 C p. 805-820
article
24 Firms’ characteristics and their international location strategy: Micro-level evidence from European countries Alguacil, Maite

83 C p. 97-113
article
25 Forecasting exchange rate: A bibliometric and content analysis de Souza Vasconcelos, Camila

83 C p. 607-628
article
26 Global risk and market conditions Akbari, Amir

83 C p. 51-70
article
27 Housing property tax, economic growth, and intergenerational welfare: The case of China Li, Shiyu

83 C p. 233-251
article
28 How does adopting occupational health and safety management practices affect outcomes for employees? The case of Vietnamese SMEs Nguyen, Ngoc Thang

83 C p. 629-640
article
29 Internal pyramid structure, judicial efficiency, firm-level governance and dividend policy Shah, Muhammad Hashim

83 C p. 764-785
article
30 Investor sentiment based on scaled PCA method: A powerful predictor of realized volatility in the Chinese stock market Song, Ziyu

83 C p. 528-545
article
31 Labor protection and dynamic leverage adjustments in the OECD countries Bai, Min

83 C p. 502-527
article
32 Market efficiency of Asian stock markets during the financial crisis and non-financial crisis periods Chang, Hao-Wen

83 C p. 312-329
article
33 Mortgage loan and housing market Liu, Lu

83 C p. 736-749
article
34 Multidimensional attention to Fintech, trading behavior and stock returns Chen, Rongda

83 C p. 373-382
article
35 Networked FDI and third-country intra-firm trade Okubo, Toshihiro

83 C p. 591-606
article
36 OFDI and firms' sustainable productive capacity: Evidence from Chinese industrial firms Peng, Dan

83 C p. 641-652
article
37 Oil price uncertainty and enterprise total factor productivity: Evidence from China Ren, Xiaohang

83 C p. 201-218
article
38 Research on P2P product portfolio strategy based on term structure under risk reserve system Wang, Liang

83 C p. 124-138
article
39 Risk spillovers in global financial markets: Evidence from the COVID-19 crisis Fang, Yi

83 C p. 821-840
article
40 Social capital, independent director connectedness, and stock price crash risk Xing, Jieli

83 C p. 786-804
article
41 The consequences of bank loan growth: Evidence from Asia Vithessonthi, Chaiporn

83 C p. 252-270
article
42 The disciplinary role of product market competition on cash holding Lin, Xiaowei

83 C p. 653-671
article
43 The external effect of institutional cross-ownership on excessive managerial perks Liu, Huan

83 C p. 483-501
article
44 The impact of quality of institutions on firm performance: A global analysis Chang, Chong-Chuo

83 C p. 694-716
article
45 The peer effects of PIPEs Ye, Zhiqiang

83 C p. 156-172
article
46 The seasonality of lottery-like stock returns Gould, John

83 C p. 383-400
article
47 Time-frequency spillovers and connectedness between precious metals, oil futures and financial markets: Hedge and safe haven implications Mensi, Walid

83 C p. 219-232
article
48 Top 1% and inequality connectedness in the EMU and WB Bojaj, Martin M.

83 C p. 139-155
article
49 Variation in the competition − Efficiency nexus: Evidence from emerging markets Duc-Nguyen, Nguyen

83 C p. 401-420
article
50 Warm-glow investment and the underperformance of green stocks Kabderian Dreyer, Johannes

83 C p. 546-570
article
51 Why corporate political geography matters for stock returns Meng, Yun

83 C p. 71-96
article
                             51 results found
 
 Koninklijke Bibliotheek - National Library of the Netherlands