Paper | Authors |
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Endogenous Formation of Guaranteed Loan Networks |
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Green innovation and cross-border M&As: Evidence from China |
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Is financial regulation impairing the net zero carbon transition? |
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Sources of Return Predictability |
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The Resilience of Mental Trading Accounts |
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Rational inattention choices in firms and households |
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Market Instability from Option Flow |
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The Point of View of Bank Officers: COVID-19 and the Credit Market in the Early Stages of the Crisis |
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Sparse spanning portfolios and under-diversification with second-order stochastic dominance |
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Shedding Light on Director Trades During Blackout Periods |
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Spillover Effect of Private Firm Disclosures on Public Firms? Loan Spreads |
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Serial Entrepreneurs: Evidence from SPACs |
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Tokenization: a Potential Pathway for Bitcoin?s Future |
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Central banks sowing the seeds for a green financial sector? NGFS membership and market reactions |
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European financial systems recovery: A micro-level approach to understand institutional transformation |
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Forex interventions and their impact on the spot rate, the options market and covered interest parity when global banks have a limited risk-bearing capacity |
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Self-organization and Sustainable innovations in Microfinance institutions: Does Organizational Resilience Matter |
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Contribution of Behavioral Finance toward market volume and stock returns |
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Does Sovereign Debt Consolidation Shape Firms Credit Cost? |
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The US Yield Curve and Lending and Borrowing DeFi Tokens: Portfolio Implication. |
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Multiple large shareholder coalitions, institutional ownership and investment decisions: Evidence from cross-border deals in Latin America |
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How to model bank competition: the case for Cournot |
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Stock Picking with Machine Learning |
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The impact of founder?s retained control on funding costs in offshore economies |
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Cross-moment interaction in multivariate semi-nonparametric densities for risk forecasting |
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Does an agency problem impact corporate social responsibility (CSR) performance? Industry-wise empirical evidence from Indian firms |
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Impact of Acquisition Intensity on Long-term Stock Price Returns |
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Financing Constraints and Product Market Decisions: the Role of Production Cycles |
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Yardstick Approach in a Tullock Contest |
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Do firms buy back their securities to signal financial prowess? An empirical study |
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Monetary Policy and the Profitability Premium: The Role of Information Precision |
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Study of Systemic Risks to Indian stock markets from rising share of ETFs |
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Firm-specific investor sentiment and productivity |
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Public attention, sentiment and the default of Silicon Valley Bank |
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Intra-Day Risk-Neutral Densities and Macroeconomic Announcements |
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Feedback Effects, Market Valuations, and Real Efficiency |
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International reserves in Argentina in the last three decades. A review and analysis of its evolution |
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CEO Narcissism, Gender Diversity and Financial Disclosure |
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Gender Diversity Index and ESG Disclosure A Case from China |
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Target Hit? The Effects of Sanctions on Russian Banks in TARGET2 Transactions Data |
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Flood Insurance, Building Codes, and Public Adaptation: Implications for Airport Investment and Financial Constraints |
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It?s Turning Green in Banking ? Competing for Eco-minded Customers |
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Disconnecting Financial Misconduct: Social Connectedness and Misconduct in Financial Advising |
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The effects of membership expansion on credit union risk and returns |
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The impact of price uncertainty on carbon capture utilization and storage (CCUS) projects: an analysis based on real option method |
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Income and Balance Sheet Diversification Effects on Banks? Cost and Profit Efficiency: Evidence from the US |
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Can the World Uncertainty Index predict stock volatility? A Global Evidence |
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Do firms respond to commitments on climate change? Impact of COP21 on investment intensity |
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Green pressure, lean measures: Unveiling corporate downsizing within the EU ETS |
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The Impact of Corporate Social Responsibility (CSR) on Financial Performance and Distress Risk in a Highly Mobile Workforce |
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Bank Efficiency and Intangible Assets: Evidence from Multinational Analysis and a Meta-SFA Approach |
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Forecasting of S&P 500 ESG index by using CEEMDAN and LSTM approach |
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Stakeholder Perceptions of CSR and Organizational Innovation Capability: Role of ESG Rating Agencies as Information Intermediaries |
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Factors Affecting the Intention to Use Digital Banking : An Empirical Study from an Emerging Economy |
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Social Media Sentiment, Investor Herding and Informational Efficiency |
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Can uncertainty predict high inflation? |
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Explaining the Forward Premium Puzzle: The Role of Ambiguity |
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Examining the efficacy of cumulative prospect theory in explaining the fund flow of emerging market funds |
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ESG Matters: Why Prioritizing Sustainability Can Reduce the Risk of Bankruptcy |
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The Impact of Currency Carry Trade Activity on the Transmission of Monetary Policy |
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What Determines the Loss Given Default in Sovereign Debt Crises |
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Advisors for micro-entrepreneurs: is one as good as another in accessing alternative finance? |
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Improving Bargaining Power or Putting Safety First? Ownership Structure and the Effect of Labor Market Regulation on Leverage |
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Impact of Investors? Sentiment on ESG Investing in India |
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Good Risk Measures, Bad Statistical Assumptions, Ugly Risk Forecasts |
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Disentangling the genuine effect of CRAs? rating announcements from investigator bias on stock markets: a meta-analysis |
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CEO Neuroticism and Corporate Cash Holdings: Evidence from CEOs? Tweets |
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The impact of firm-level weather exposure on trade credit |
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Do firms prepare financial flexibility for recession? An investigation on Japanese firms |
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Optimal Forward Guidance in Monetary Policy: Can Central Banks Sway the Public with Projections? |
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Dynamics of Bank Specific Factors on Performance of Indian Scheduled Commercial banks: A Panel Model Approach |
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Festivals and proxy-VARs: how foreign news drive stock markets in India |
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Sustainable exchange-traded funds: development on European markets. |
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Intangible liabilities |
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Financial Leverage Determinants: The case of the Health Sector in a small civil law country |
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Examining the moderating role of firms characteristics in the corporate governance-financial reporting quality nexus: evidence from developing country |
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World ESG Performance and Economic Activity |
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IFRS ADOPTION, ENFORCEMENT, AND THE VALUE RELEVANT OF ACCOUNTING AMOUNTS: THE PARTICULAR CASE OF SOUTH AFRICA |
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Income Inequality Increases Financial Overconfidence and Risk-Taking |
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Comment on the variance in the paper entitled ?Credit risk measures and the estimation error in the ASRF model under the Basel II IRB approach? |
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Spillover effects of geopolitical risk on banking sectors: evidence from a sample of CIS countries |
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The Changing Relevance of Dual-Class Shares in Europe: A Corporate Governance and Performance Perspective |
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The Impact of Corporate Environmental Misconduct on Bond Issues and Seasoned Equity Offerings |
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Bankruptcy of listed companies and ESG scores |
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Insider Pledging: Its Information Content and Forced Sale |
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Overstaying Their Welcome: Unevictable Tenants, Rents, and Home Prices |
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Informative Covariates, Data Snooping,and Profitability of Technical Analysis in Currency Trading |
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The threshold effect and the moderating role of state-ownership on firm performance: evidence from India |
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Unloading NPLs, unlocking credit? Evidence from the ECB provisioning guidelines |
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Are Subsidized Financial Institutions Valuable to Society? A Remediableness Criterion Issue |
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Do global disruptive events induce herding behaviour? The evidence from Nordic and Baltic stock markets. |
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Spillovers in Global Corporate Bond Markets: International Evidence |
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Labor Shortage, Hiring and Asset Returns |
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The impact of CSR expenditure on dividend policy and firm value: Examining the role of ownership as the intervening variable |
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Corporate Social Responsibility Expenditure and Firm Performance: The Role of CSR Committee Characteristics |
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THE IDIOSYNCRASIES OF THE EUROPEAN MARKET OF CORPORATE CONTROL |
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A lifecycle view of international currencies |
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Credit Risk and Dividend Irrelevance |
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Funds Transfer Pricing and its impact on interest rates offered to banks? corporate customers |
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BACKTESTING MEASURES OF RISK FOR DEVELOPED AND EMERGING REAL ESTATE INVESTMENT TRUSTS: IS MARKOV SWITCHING REGIME BETTER THAN SINGLE REGIME MODELS? |
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More Active Better Performance? Mutual Fund Managers Strategy Shifting and Performance |
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Rethinking governance: The nexus between non financial and financial performance for GCC countries |
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Monetary centrality in Colombia, in a historical perspective. |
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The impact of heterogenous fiscal policy stance of euro area member states on the ECB monetary policy |
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The Role of Sustainable Development in Emerging Economies: An Examination of Environmental and Economic Indicators |
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ESG Practices and Financial Performance: Internal Audit's Key Insights for Resilience and Sustainability |
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Does Gender Diversity on Board Impacts Innovation: Moderating Role of Concentrated Ownership |
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Operational Creditor Rights and Trade Credit- Evidence from Policy Interventions |
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The Evolving Landscape of SME Financing |
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ESG and Financial Performance: Evidence from Developed and Emerging Markets |
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The Fed Information Shocks and the Market for Corporate Control: Predictive and Causal Effects |
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Exploring Financial Literacy and Decision-Making Among Post-millennial Z Generation: A Small-Scale Experimental Study |
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India?s Agricultural Finance: Its importance and Transition |
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Stock Price Crash Risk: A Systematic Review |
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THE IMPACT OF THE INTERPLAY BETWEEN THE RISK MANAGEMENT PROCESS AND CREDIT APPROVAL PROCESS ON BANK PERFORMANCE: An overview of scientific literature and research methodology |
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Chaos, granularity, and instability in economic systems of countries with emerging market economies: relationships between GDP growth rate and increasing internal inequality |
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Determinants of Pricing of Small and Medium Size Enterprises (SMEs) IPOs: An Empirical Investigation |
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Resolving Market Uncertainty: Cross-sectional Estimates of Asset Returns |
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THE EFFECT OF BANK CONSOLIDATION ON FINANCIAL STABILITY: EVIDENCE FROM THE MENA REGION |
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Stealth-trading in Odd Lots: Do Algorithmic Traders Move Prices? |
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Emotions drive actions: Sentiment and cryptocurrency market reactions to macroeconomic news announcements |
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ECB communication sentiments: how do they relate to the economic environment and financial markets? |
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The Efficacy of Regulations in Managing the Risk-Taking Behaviour of Systemically Important Non-Banking Finance Companies in India |
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Unpacking the Impact of CRR Regulation on NPL Dynamics in European Banking |
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Politeness Matters: The Role of Polite Languages in Online Peer-to-peer Lending |
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Cash holdings and corporate culture in Japan |
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What Drives Defaults in Australian FinTech Credit Market? |
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Do Chinese Government Controlled Firms Have Greater Tendency to Harm and Cheat American Investors? |
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The Nonsense of Bitcoin in Portfolio Analysis |
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Conditional Conservatism of European Banks under IFRS 9 |
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Is Zero-Leverage policy a persistent phenomenon? More empirical evidence |
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Innovation in controlled settings: Evidence from trademark registrations |
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How does ESG disclosures affect corporate financial outcomes? An investigation into the emerging market firms |
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Analyzing the market reaction to reverse stock splits in India |
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Decoding significance of EVA over the business lifecycle of firms? Evidence from India |
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Investor Reaction and Market contagion to Liquidity Crisis in Indian Shadow Banking Sector |
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Localization Trends and Dynamics within U.S. Manufacturing |
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Changes in Risk-based Capital and Reaching for Yield |
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Peer Effect in Capital structure of Geographically Agglomerated Firms |
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The relationship between investor's sentiment and stock volatility: Evidence on the Stock Exchange of Mauritius |
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Financial assets against inflation. A fractional cointegration approach to capture the hedging properties of gold, housing prices and equity. |
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The Impact of Fractional Trading on Order Book Dynamics |
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The wedge between ownership and control, shareholder identity and corporate disclosure |
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The model of credit risk assessment in loan comparison platforms under conditions of economic uncertainty |
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A structural model for ESG linked bank debt financing |
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Common patterns in the Euro area: In search for a nexus between economic growth, fiscal sustainability and monetary policies. |
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Institutional investors? identity and working capital efficiency: Cross-country evidence |
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Gender corporate leadership and ESG performance: global insights |
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Sentimental Leverage |
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Employment and occupational statuses of war immigrants - What drives their labour market success in the host country? |
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The Bitcoin Yield Gap in Colombia: Unraveling the Influence of FX and Bitcoin Convenience Yields. |
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Do Differences in CFO Background Matter to Financial Statement Quality? A Canadian Perspective |
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Maximizing Business Returns to Corporate Social Responsibility (CSR): The Role of CSR Communication |
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Public interest in resolution of small and medium-sized banks in the European Union |
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Reputational Spillovers between Board Directors |
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INTERNAL CAPITAL MARKET, INVESTMENTS AND FIRM PERFORMANCE: SURVIVAL OF GROUP FIRMS IN INDIA |
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Financing Foreign Trade |
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Insights into inflation: Evidence from a Buenos Aires café |
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Family Firms and Tax Avoidance Preferences: Evidence from India |
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CAPITAL ADEQUACY RATIO OF INDIAN PUBLIC SECTOR BANKS: AN ANALYSIS OF SHOCK ABSORBING CAPACITY |
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Post global financial crisis multiplex financial network structure longevity: a pattern of re-globalization? |
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Returns and Determinants of Green Investments |
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Social Preference and a Venture Capitalist's Portfolio Strategy |
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DETERMINANTS OF SECTORAL HERDING IN EMERGING ECONOMIES: EVIDENCE FROM INDIA |
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Monetary Interventions, Equity Markets and Sectoral Price Distortions |
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Stock Market reaction to COVID-19: A moderating role of culture; Global Study |
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Financial Market Uncertainty in the US: Measurement, Trends, and Effects |
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The Dollar Squeeze and Economic Growth |
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Towards Financial Independence in the Host Country: What Determines Immigrants' Achievements? |
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Trade and Firm Productivity: Does Ownership Structure Matter? |
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Carbon emissions, stock returns and portfolio performance |
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Dynamic CoVaR |
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Bibliometric Analysis of Research Trends in Divestment: A Comprehensive overview |
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The role of large shareholders in corporate risk and its impact on value in times of crisis |
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Institutional investors and corporate risk at the origin of the international financial crisis |
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Corporate social responsibility, social impact, and market return: a case study in an emerging market?s oil industry |
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Performance of Indian Equity Funds Using Alternative Benchmark Asset Pricing Models in Augmented Versions. |
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The twin objectives of bank regulation and the design of capital requirements |
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A changepoint analysis of exchange rate and commodity price risks for Latin American stock markets |
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Impact of Monetary Policy Shocks in the Peruvian Economy Over Time |
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A portfolio selection approach for Behavioural Portfolio Theory |
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Testing the Environmental Brundtland Curve Hypothesis for Air Pollution and Economic growth nexus |
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Time Zone Difference and Equity Market Price Efficiency Post Announcements |
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Transformation of European International Banks |
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Innovation Quality, Manager Foresight, and Insider Trading |
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The Efficacy of SEC Rules as Instruments of Foreign Affairs |
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Does energy efficiency impact the cost of debt? ? the role of investments in research and development! |
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The impact of the adoption of IFRS on accounting quality of financial reporting: A review |
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Is Pradhan Mantri Jandhan Yojana having an impact on the Financial Literacy of slum dwellers of Bengaluru? |
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Did Negative Interest Rates Change the Cointegration Between Lending and Deposit Rates of Banks? |
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Imitative tendencies of same-benchmark mutual funds |
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The Cross-Predictive Ability of Crowding: Does Beta Arbitrage Predict Momentum Profits? |
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Sustainability Concerns in a Behavioural Finance Framework |
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Investment Completion Risk and Stock Returns |
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Are better ESG companies involved in more controversies? |
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Tail risk and cross-section of average stock price returns in the Indian equity market |
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Nonlife Insurance Penetration and GDP in OECD Countries and the Effect of the 2020-2021 Pandemic |
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Machine Learning Enhancements to the CAMELS Framework: A New Paradigm for Global Banking Stability Predictions |
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Changes in the frequency of e-commerce use by consumers in Poland during the Covid-19 pandemic |
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Readiness to use the digital euro (CBDC) by consumers based on the example of France and Germany |
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Financial inclusion and remittances nexus: A system GMM approach |
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Market Efficiency of NSE Nifty and Equity Futures |
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Green Bonds and External Reviews |
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The effect of Managerial Abilities on Corporate Sustainability - Cost of bank loans link |
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MAPPING CENTRAL BANK DIGITAL CURRENCIES: A BIBLIOMETRIC ANALYSIS |
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Effect of the presidential pre-election periods on the speed of corporate capital structure adjustment |
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Relative CEO Pay and Employee Productivity |
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