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                             72 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 A critical assessment of the partial leverage adjustment model: Target-overshooting behavior Choi, Heejung

71 C p.
artikel
2 Administrative audit regulation and the quality of accounting information: Evidence from China securities regulatory commission’s random inspection system Chen, Hui

71 C p.
artikel
3 A greater crisis? Investigating MSA-level housing markets during the COVID-19 pandemic Huang, MeiChi

71 C p.
artikel
4 Analyst tracking and innovation inconsistency in companies Qiu, Jing

71 C p.
artikel
5 Anatomy of sovereign yield behaviour using textual news Banerjee, Ameet Kumar

71 C p.
artikel
6 Assessing dynamic co-movement of news based uncertainty indices and distance-to -default of global FinTech firms Anwer, Zaheer

71 C p.
artikel
7 Banking FinTech and stock market volatility? The BIZUM case Arenas, Laura

71 C p.
artikel
8 Board gender diversity, nonmarket strategy and firm performance: Evidence from emerging markets MNCs Saeed, Abubakr

71 C p.
artikel
9 Business environment optimization and labor income share of enterprises: Evidence from China Lai, Jinming

71 C p.
artikel
10 CEO duality and corporate social responsibility: A moderation effect of founder CEO Bhaskar, Ratikant

71 C p.
artikel
11 Combination of antecedent conditions affecting the development of Chinese new energy market based on fuzzy sets Wu, Yuan

71 C p.
artikel
12 Connectedness with commodities in emerging markets: ESG leaders vs. conventional indexes de Boyrie, Maria E.

71 C p.
artikel
13 Corporate misconduct and innovation: Evidence from the pharmaceutical industry Unsal, Omer

71 C p.
artikel
14 Cryptocurrency volatility: A review, synthesis, and research agenda Ahmed, Mohamed Shaker

71 C p.
artikel
15 Dispersion in news sentiment and M&As outcomes Chen, Yugang

71 C p.
artikel
16 Distribution of export size, Pareto exponent and financial crisis Huang, Jinchao

71 C p.
artikel
17 Diversification and idiosyncratic volatility puzzle: Evidence from ETFs Duanmu, Jun

71 C p.
artikel
18 Dividend payout and corporate transparency: Do CSR governance mechanisms matter? Uyar, Ali

71 C p.
artikel
19 Doing good in good times only? Uncertainty as contingency factor of warm-glow investment Dreyer, Johannes K.

71 C p.
artikel
20 Do online attention and sentiment affect cryptocurrencies’ correlations? Aslanidis, Nektarios

71 C p.
artikel
21 Economic vulnerabilities and sustainability in energy utilities: Managing climate change in the face of geopolitical turmoil Du, Qunyang

71 C p.
artikel
22 Editorial Board
71 C p.
artikel
23 Employment protection and stock price crash risk: Evidence from China’s introduction of the labor contract law Zhuo, Qianru

71 C p.
artikel
24 ESG performance and green innovation in new energy enterprises: Does institutional environment matter? Wang, Miao

71 C p.
artikel
25 ESG resilience in conflictual times Ricci, Ornella

71 C p.
artikel
26 Exploring the impact of religious diversity on market performance and financial growth in developed economies Sun, Weikang

71 C p.
artikel
27 Finance Research and the UN Sustainable Development Goals – An analysis and forward look Su, Yang

71 C p.
artikel
28 Financial literacy and the household participation in commercial insurance: Evidence from China Guo, Minjia

71 C p.
artikel
29 Financial stress and realized volatility: The case of agricultural commodities Bonato, Matteo

71 C p.
artikel
30 Financial technology and ESG market: A wavelet-DCC GARCH approach Naysary, Babak

71 C p.
artikel
31 Futures markets and the baltic dry index: A prediction study based on deep learning Su, Miao

71 C p.
artikel
32 Global macroeconomic factors and the connectedness among NFTs and (un)conventional assets Urom, Christian

71 C p.
artikel
33 Golden ratio-based leverage targeting and the ESG performance of US and European listed firms Csapi, Vivien

71 C p.
artikel
34 Hedge fund activism, R&D efficiency and firm value Watson, Justin

71 C p.
artikel
35 How does internet finance affect firm exports? Evidence from China Fang, Yuxia

71 C p.
artikel
36 How ESG performance affects maturity mismatches between investment and financing: Evidence from Chinese A-share listed companies Wen, Huwei

71 C p.
artikel
37 How socially sustainable multinational banks promote financial inclusion in developing countries Ubeda, Fernando

71 C p.
artikel
38 Innovative or complacent: The impact of financial conditions on firms’ strategic innovation activities—A game-theoretical approach Moon, Byunggeor

71 C p.
artikel
39 Interconnectedness in the FOREX market during the high inflation regime: A network analysis Ahmed, Shamima

71 C p.
artikel
40 Internal information asymmetry and power distance Ni, Yingzhao

71 C p.
artikel
41 Internal monitoring mechanisms and corporate environmental and social performance: Evidence from Korea Lee, Nam Gyoung

71 C p.
artikel
42 Investigating the varying relevance of CSR dimensions on firm leverage: The implications for internationalized firms Saeed, Asif

71 C p.
artikel
43 Mutual fund flows and returns dynamics: Investor preferences and performance persistence Galloppo, Giuseppe

71 C p.
artikel
44 Narrative innovation disclosure and stock price crash risk: Evidence from Chinese listed firms Yuan, Li

71 C p.
artikel
45 National legislatures and corporate transparency Carney, Richard W.

71 C p.
artikel
46 Navigating greenwashing in the G8: Insights into family-owned firms, technology innovation, and economic policy uncertainty Kiran, Madiha

71 C p.
artikel
47 New roles for energy and financial markets in spillover connections: context under COVID-19 and the Russia–Ukraine conflict Guo, Xiaozhu

71 C p.
artikel
48 Partisan conflict, trade policy uncertainty, and the energy market Yang, Cai

71 C p.
artikel
49 Platform economy deconstructed: intellectual bases and emerging ethical issues Zainuddin, Mohammad

71 C p.
artikel
50 Predicting consumption-wealth ratio changes and stock market returns Wang, Jingya

71 C p.
artikel
51 Preferences for ethical intermediaries and sustainable investment decisions in micro-firms: The role of financial literacy and digital financial capability Aristei, David

71 C p.
artikel
52 Price deregulation and investors’ IPO speculation: Evidence from Chinese registration system reform Tang, Siyuan

71 C p.
artikel
53 Price limits, informed trading, and information consumption Luo, Yan

71 C p.
artikel
54 Risk-adjusted performance of new economy indices and thematic sectors Grau-Vera, David

71 C p.
artikel
55 Socio-economic issues and bank stability: The moderating role of competition Akbar, Syed Waqar

71 C p.
artikel
56 Split bond ratings: Evidence from Japanese credit rating agencies Tanaka, Takanori

71 C p.
artikel
57 Staggered boards, agency costs and stock price crash risk: Evidence from China Mbanyele, William

71 C p.
artikel
58 Stewardship code adoption and firms’ decisions on treasury shares: Evidence from South Korea Bark, Jaehyung

71 C p.
artikel
59 Technology and automation in financial trading: A bibliometric review Carè, Rosella

71 C p.
artikel
60 The Democratization of Wealth Management: Hedged Mutual Fund Blockchain Protocol Kashyap, Ravi

71 C p.
artikel
61 The digital economy and entrepreneurial dynamics: An empirical analysis of urban regions in China Wang, Shucui

71 C p.
artikel
62 The effect of executive green human capital on greenwashing Shi, Daqian

71 C p.
artikel
63 The football world upside down: Traditional equities as an alternative for the new fan tokens? A portfolio optimization study Esparcia, Carlos

71 C p.
artikel
64 The impact of cyber enforcement actions on stock returns Carboni, Marika

71 C p.
artikel
65 The impact of ESG scores on the value relevance of fair value hierarchy of financial instruments: Evidence from European Banks Di Martino, G.

71 C p.
artikel
66 The information environment and ecological environment perspectives: Capital market openness and firm ESG rating divergence Sun, Zhennan

71 C p.
artikel
67 The relationship between heterogeneous institutional investors’ shareholdings and corporate ESG performance: Evidence from China Liu, Yang

71 C p.
artikel
68 The relationship between renewable energy attention and volatility: A HAR model with markov time-varying transition probability Duan, Huayou

71 C p.
artikel
69 Unleashing stock volatility and its implications for stock crash risk: Evidence from China’s price limit policies Liang, Haoye

71 C p.
artikel
70 Volatility spillover across spot and futures markets: Evidence from dual financial system Elsayed, Ahmed H.

71 C p.
artikel
71 Wisdom of crowds or awkward squad? Social interaction and the information efficiency of the Chinese capital market Wu, Yanran

71 C p.
artikel
72 Women directors’ attributes and demographics: New insights into bank risk Elnahass, Marwa

71 C p.
artikel
                             72 gevonden resultaten
 
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