Paper | Authors |
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Does house price co-movement facilitates labor migration? Evidence from China |
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Carbon Emissions, Mutual Fund Trading, and the Liquidity of Corporate Bonds |
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Monetary policy response or economic integration: what drives international monetary policy spillovers ? |
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Foreign bias in equity portfolios: Informational advantage or familiarity bias? |
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Intangible Investment, Displacement Risk, and the Value Discount |
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How do Independent Boards Affect Shareholder Value? Evidence from a Structural Estimation |
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The impact of risk cycles on business cycles: a historical view |
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Patents: ability or choice? |
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Asset Prices, Global Portfolios, and the International Financial System |
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Brand Values and Stock Returns, 2000-2020 |
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Time-variation, Multiple Testing, and the Factor Zoo |
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The Hidden Effects of EU Sanctions on European Exports to Russia: Winners and Losers |
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The Housing Market Impact of Immigrant Preferences for Homeownership |
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Deviations from Rational Expectations and the Uncovered Interest Rate Parity Puzzle |
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Subjective Risk Premia on Foreign Bonds |
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COVID-19 Puzzles: A Resolution |
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Innovations in Bankruptcy Financing: Rights Offerings in Chapter 11 |
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Speaking With One Voice: Shareholder Collaboration on Activism |
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The Unintended Consequences of Financial Sanctions |
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Monetary Transmission through Bond Funds |
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The channels of banks? response to negative interest rates |
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Working from Home and Corporate Real Estate |
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Ex-ante determinants of voluntary target delisting after a M&A |
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Do Anglo-Saxons affect corporate policies? |
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The Role of Institutional Investors in Financial Distress Resolution |
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Predicting Recessions Using VIX-Yield-Curve Cycles |
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Local Labor Market and the Cross Section of Stock Returns |
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Asset pricing with endogenous state-dependent risk aversion |
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Venturing into Unchartered Territories: An Extensible Parametric Implied Volatility Surface Model |
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Local Agglomeration and Household Mortgage Debt |
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Trading Activity and Fund Performance Evidence from Corporate Bond Mutual Funds |
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Accounting Transparency and the Implied Volatility Skew |
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Is Carbon Risk Priced in the Cross-Section of Corporate Bond Returns? |
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Co-opted Directors and Corporate Social Responsibility |
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Biased Judges? Judge Characteristics and Bankruptcy Outcomes |
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Banks Incentive Pay, Diversification and Systemic Risk |
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On the Role of CEO Incentives in the Allocation of Managerial Efforts to Macroeconomic Fluctuations |
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Consolidation Process in the Wealth Management Industry in the UK, US, and Switzerland: An Empirical Study on the Drivers of Change in the Asset Under Management post-M&A |
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Foreign Debt, Exchange Rate Exposure, and Corporate Distress |
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To treat or prevent pollution? |
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Persistence of bank profits and ownership in China |
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THE DIGITAL TRANSFORMATION IN THE ITALIAN BANKING SECTOR |
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On the Extent of Negative First Day IPO Returns |
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Red Tape, Greenleaf: Creditor Behavior Under Costly Collateral Enforcement |
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Bank Competition and Entrepreneurial Gaps: Evidence from Bank Deregulation |
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Let's Face It: Quantifying the Impact of Nonverbal Communication in FOMC Press Conferences |
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The Value Premium and Investors' Appetite for Risk |
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Quantitative Easing, Bank Lending, and Macro-Prudential Regulation |
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Polluters are Short-Lived: Climate Risk and the Timing of Cash Flows |
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Hedge Funds, Prime Brokers, and Corporate Bond Offerings |
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Determinants of the Family Firm Premium: Governance and Financial Constraints |
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Is there a stigma effect of publicly disclosed consumer complaints? The case of insurance |
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The Tail Wagging the Dog: How Do Meme Stocks Affect Market Efficiency? |
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Dissecting the Listing Gap: Mergers, Private Equity, or Regulation? |
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Economic policy uncertainty, insider trading, and accounting profits/losses |
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Flow-Driven ESG Returns |
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Climate Talk in Corporate Earnings Calls |
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Private Equity Investments and Innovation: Evidence from Europe |
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This Time is Different: Investing Preferences in the Age of Robinhood |
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Where Are the Sophisticated Investors? Evidence From Separate Accounts |
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Interbank Credit Exposures and Financial Stability |
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IPO Under-pricing Classification Using Machine Learning Techniques |
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The power of the business media Evidence from firm-level productivity |
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Retail Investor attention and IPO prices with a pre-IPO market |
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Measuring Common and Market-Specific Information Flows |
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The Impact of the IMF news on currency and stock markets during COVID19 |
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Ethics of Money Laundering in Banking |
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Firms? Cash Flow Information and Return on Equity |
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How quickly do investors react to analyst reports? Evidence from reports released outside trading hours |
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Who Knows Best? Evaluation of Social Media Skills |
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Fiscal Stimulus and Firms: Profitability during the Global Financial Crisis |
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Securities Lending Exclusive Valuations, Forecast Combinations and Auction Bids |
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The Asymmetric Volatility Spillover and Dynamic Correlation across Equity Markets in China and the United States |
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The U.S Monetary Policy Spillover Effect in China and Its Transmission Mechanism |
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Contactless Digital Financial Inclusion and Global Contagious COVID-19 Pandemic in Low Income Countries in sub-Saharan Africa |
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Corporate tax changes and bank lending |
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Time-Series Factor Modeling and Selection |
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Distributive Effects of Banking Sector Losses |
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The Equilibrium Value of Bitcoin |
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Geopolitical Risk and Analyst Behaviour |
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BANKRUPTCY ANALYSIS: AN APPLICATION OF THE ALTMAN MODEL IN EUROPEAN AIRLINE INDUSTRY |
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The explanatory power of Fama-French factors for industry returns: Evidence from the US |
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The effect of language on financial inclusion |
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Financial development effects upon economic growth over multiple horizons |
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Financial Crises and Inequality: New Evidence from a Panel of 17 Advanced Economies |
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Optimal Dynamic Contract with a Shock on the Benefit of Cash Flow Diversion |
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Using Social Media to Identify the Effects of Congressional Viewpoints on Asset Prices |
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Impact of Covid- 19 on the volatility and instability in the SME stock index.: Evidence from India |
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Disentangling sentiment from cyclicality in firm capital structure |
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The Impact of different Financial Intermediaries on Housing Market Cycles |
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Compounding Money and Nominal-price Illusions |
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Banks as "Anchors": The Role of Banks in Funding Innovation |
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Capital Structure and the Yield Curve |
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Liquidity pressure, ECB?s interventions, and sovereign creditworthiness: The last rise of the Black Swan |
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Pollution permits and firms? distress risk |
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The Effects of Money-financed Fiscal Stimulus in a Small Open Economy |
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The Organizational Forms of Insurance Firms in Market Equilibrium |
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Score-driven equity plus gold portfolios before and during the COVID-19 pandemic |
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Bank regulation, lending and patenting: Evidence from the EBA Capital Exercise |
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National culture `profiling' in machine-learning applications: The utility and ethics of applying value ascriptions in global alert models |
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A Commodity Investing Strategy to Modify the 60-40 Allocation Scheme |
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Implied Volatility Spread and Stock Mispricing |
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False Positives in Anomaly Discovery in Latin America |
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THE IMPACT OF COMMERCIAL REAL ESTATE HOLDINGS ON DEBT CAPACITY ENHANCING OF CREDIT-CONSTRAINED FIRMS. |
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Do former managers and board members care about firms they quit? Evidence from transfers to politics in Central European countries |
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On the time-varying relationship between coskewness and returns of banks |
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International transmission of interest rates: the role of international reserves and sovereign debt |
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Political uncertainty on a daily basis: how the stock market reacts |
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Spillovers of Senior Mutual Fund Managers? Capital Raising Ability |
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How Retail Investors Affect Stock Market? |
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Interconnection Between Market Volatility, Momentum and Reversal |
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Director Expertise and Compliance to Corporate Social Responsibility Regulations |
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Portfolio Allocation and Borrowing Constraints |
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Why do CEOs donate stock? - CEO stock gifts and voluntary disclosure |
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Coherent Portfolio Performance Ratios |
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EXPLORING THE RELATIONSHIP BETWEEN THE PERFORMANCE OF THE GLOBAL FINANCIAL MARKETS AND ART MARKET SENTIMENT |
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Do Related Party Transactions Influence Risk of Group Affiliated Firms in India |
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Benefits of Having a Female CFO |
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The Impact of Bank Lending Standards on Credit to Firms |
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Asymmetric risk transmissions between oil, gold and US equities: Recent evidence from the realized variance of the futures prices |
|
Forms Of Cooperation And Competition Between Banks And Non-Banking Entities |
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Banking Union Capital Requirements Regulation: does its current shape break the ?diabolic loop' between banks and sovereign debts? |
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Driving Value Through Corporate Social Responsibility: The Role of Foreign Institutional Investors |
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Re-examination of Post Stock Distribution Volatility in the Decimalization Era |
|
Options Trading Effects vs. FEARS Effects on Stock Market Returns and Volatility |
|
Behavioral Heuristics and the Predictability of Stock Returns |
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Does short-dated options introduction mitigate expiry day effects? Evidence from the Introduction of Weekly Index Options |
|
Forecasting Cryptocurrency Returns |
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Foreign capital flows, financial regulation and optimal credit development |
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After the storm: Natural disasters and bank solvency |
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Overnight Returns: Investor Sentiment or Investor Attention? |
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Board Responsibility for Irresponsibility: The Influence of Board Structure on Corporate Scandals. |
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FINANCIAL AND MACROECONOMIC EFFECTS ON BANK PROFITABILITY: EVIDENCE FOR BRAZIL |
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Macroprudential policies, bank risk and economic uncertainty: Evidence from emerging Asian economies |
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Risk in the cryptocurrency markets: The role of structural breaks and fat-tailed distributions in estimating value-at-risk and expected shortfall |
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Do exchange rate changes affect energy demand: An empirical evidence using Quantile ARDL model. |
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The main determinants of global portfolio flows dynamics |
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PAC-ing a Punch: Economic Effects of Corporate Political Statements |
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FINANCING RESPONSIBLE CLIMATE AND SOCIETAL ACTION THROUGH INNOVATION: LEADERS FOR TRANSFORMATION CASE STUDY OF INDIAN BANK |
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The Impact of Investor Sentiment on Bond ETF: Evidence from Taiwan |
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Public information impact on Cryptocurrency trading activity: Evidence from News Media |
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Research and Development Reduction, analysts forecast error and idiosyncratic volatility: The role of corporate governance |
|
Bankruptcy Prediction Model for the Banking Sector in Mozambique |
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Bond markets under pressure: the moderating role of E&S performance during the Covid crisis |
|
Enterprise Risk Management (ERM) Maturity: A Clinical Study of a U.S. Multinational Nonprofit Firm |
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Monetary policy and corporate investment in the aftermath of the Great Recession: a panel VAR approach |
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Fund Concentration, Motivations, and Performance |
|
An Accelerated Static Hedging Method for Pricing American Options |
|
Women in the banking system: The glass ceiling in Italy |
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The Performance of Venture Investments: Failure Risk, Valuation Uncertainty & Venture Characteristics |
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The Value of Control in Private Companies |
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A sophisticated measure of market depth |
|
Foreign Currency Borrowing and Risk Exposure of Firms: An Emerging Market Economy Viewpoint |
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The level of African Forex Markets Integration and Eurobond Issue |
|
Dancing to the Same Tune: Commonality in Securities Lending Fees |
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Does it Pay to Be Green? The Impact of Equator Principles on Project Loans |
|
A Very Fast Algorithm for Implied Step Barriers |
|
Asymmetric Pricing and Airline Performance |
|
Dynamic connectedness and spillovers between yield curve constituents and commodities |
|
Institutional Investor Cliques and Earnings Management |
|
A quasi-optimal technique for rebalancing a cryptocurrency wallet |
|
Funding Female Entrepreneurs in MENA Countries (2013-2019): Self-selection and Discrimination |
|
To what extent corporate governance mitigates distress: evidence from Indian banking |
|
Assessing the expansion of Pan African and the institution quality on the African banking stability |
|
Asymmetric Garch-EVT-Copula Portfolio Optimization of Equity Factors |
|
Incentive Compensation in Multidivisional Firms to Solve Resource Allocation Inefficiency |
|
Application of IFRS 9 in the Portuguese Banking Sector |
|
Do Financial Markets Anticipate Corporate Related Decisions of the United States Supreme Court? |
|
The intertemporal relationship between working capital policies and dynamics of corporate cash holdings? Evidence from emerging and developed economies |
|
Asymmetric Cost Behavior and Non-Financial Firms? Risky Financial Investments |
|
Evaluation of various Public Policy Schemes & Microfinance initiatives on economic welfare of people in India |
|
Credit Ratings and Corporate ESG Policies: Evidence from Sovereign Downgrades |
|
Reading the Market ? - Experimental Evidence |
|
Carbon Beta - Carbon Transition Risks in Capital Markets |
|
Study of Systemic Risks to Indian stock markets from rising share of ETFs |
|
How do Equity Investors React to Green Bond Announcements? Exploring and Predicting Abnormal Returns using Artificial Neural Networks |
|
Do Mutual Funds beat the markets: A comprehensive study of Indian Equity Mutual Funds in Bull and Bear Phases |
|
Expected Randomness: A unifying picture on Believes, Efficiency and Meltdowns |
|
Prospective impression management: Do employees embody the visionary narratives of CEO letters? |
|
Financial distress and stock returns: A comparative analysis of the Alternative Investment Market and Main Market |
|
QE: Implications for bank risk-taking, profitability and systemic risk |
|
Tunneling Through Trademarks |
|
Call Me When You Grow Up: Firms Age, Size, and IPO Performance across Sectors |
|
The Heterogeneous Effects of Bank Mergers and Acquisitions on Credit to Firms: Evidence from Italian Macro-regions |
|
Is it a patent to show off ahead of IPO? |
|
Modelling CDS Volatility at Different Tenures: An Application for Latin-American Countries |
|
Can unlisted firms benefit from market information? A data-driven approach |
|
Bank Concentration, Urban Development Potential and Firms? Access to Credit in Latin America |
|
Accounting Information and Bank Deposit Rates |
|
Electronic Foreclosures |
|
Common Institutional Ownership, Hold-up Problems, and Supply Chain Innovation |
|
Green links: Corporate networks and environmental performance |
|
Geographic Matching Between Firm Internationalization and Board Foreignness |
|
Organizational Capital and Stock Price Crash Risk |
|
THE IMPACT OF CORRUPTION ON CORPORATE |
|
ESG activity and bank lending during financial crises |
|
Advisor- hedge fund connections and their role in M&A |
|
Bank lending during the COVID-19 pandemic: A comparison of Islamic and conventional banks |
|
Measuring the efficiency of conventional banks using two-stage network DEA model |
|
Determinants of Commodity Market Liquidity |
|
Female-dominated SMEs in the Covid-19 Pandemic: Do Government Policies Mitigate Gender Gap? |
|
Health insurance pricing based on machine learning methods: A comparison with standard GLM |
|
Diversity in the Workplace, Work-life Balance, and Organizational Productivity: Role of Innovation Capability |
|
The impact of wind and solar power generation on the level and volatility of wholesale electricity prices in Greece |
|
A Tale of Strength or Weakness: Why Startups Become Investors |
|
Natural disasters and firm leasing: alternative post-disaster financing |
|
Founder Exit and Ethnicity in Technology Entrepreneurship |
|
Does air pollution affect dividend policy |
|
Forecasting the climate change risk by sea-level rises using time-varying extreme value analysis |
|
The Voice of Retail Investors and Corporate Earnings Quality |
|
Extreme Severity Modeling using a GLM-GPD Combination: Application to an Excess of Loss Reinsurance Treaty |
|
Brazilian exchange rate forecasting in high frequency |
|
Drivers of Corporate Cash Holdings in MSMEs: Evidence from India |
|
QUANTIFYING CHINA?S FINANCIAL REACH UP THROUGH THE PANDEMIC: THE AFRICAN EXPERIENCE |
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Rational Factor Rotation |
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Changing Factor Exposures and the Mutual Funds? Performance |
|
Political Connection leverage & cost of capital- Evidence from listed firms in India |
|
The Impact of VC Financing: Evidence from VC-Backed vs. Non-VC-Backed Firms, and the Probability to Go Public |
|
Spillover effects between commodities and Australian currency |
|
Limited Memory, Time-varying Expectations and Asset Pricing |
|
The Carrot and the Stick: Bank Bailouts and the Disciplining Role of Board Appointments |
|
A Comprehensive Analysis of the Market-to-Book Ratio of EU Banks |
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Estimating shadow rate term structure models with unspanned macro risk by factor extraction |
|
INVESTOR ATTENTION CONNECTEDNESS: PORTFOLIO MANAGEMENT IMPLICATIONS |
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THE ROLE OF FINANCIAL DEVELOPMENT ON FOREIGN BANKS PRESENCE AND INCLUSIVE GROWTH NEXUS IN AFRICA |
|
The perception of Brexit uncertainty and how it affects markets |
|
Do Community Banks Play a Role in Housing Bubbles? |
|
Understanding Credit Risk of Chinese Companies using Machine Learning: A Default-Based Approach |
|
Does Common Ownership Influence Firms' Political Activities? Empirical Evidence from Lobbying in the U.S. Pharmaceutical Industry |
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The Paris Agreement, ESG factors, and US stock performance |
|
Firm Financial Structure in a Regulated Market: The case of Spanish Defence Industry |
|
Back to the Roots: Ancestral Origin and Mutual Fund Manager Portfolio Choice |
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Not Just a Seat at the Table? The Impact of Female Directors' Inclusion on Firm Performance |
|
Internal Capital Markets in Business Groups: Evidence from an Emerging Market |
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Ambidexterity as a strategy to potentiate firm-related environmental activities: evidence from Portuguese companies |
|
Technological, healthcare and consumer funds efficiency: influence of Covid -19 |
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Financial crises, economic growth and Africa |
|
The Rise of Regional Financial Cycle and Domestic Credit Markets in Asia |
|
Managerial Overconfidence and M&A performance: Evidence from the UK |
|
Why do PE and VC Firms Retain Ownership after the Initial Public Offering? |
|
The Making of Zero Curves |
|
Production Complementarities in Asset Management |
|
Evaluating nonmonotonic effects of IT capital on sectoral efficiency: Parametric evidence from commercial banks in BRICS |
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The impact of machine learning and big data on credit markets |
|
Inflation Targeting Policy and Stock Price |
|
Housing asset pricing revisited: Dynamic exposures of MSA-level housing returns to housing risk factors |
|
The determinants of liquidity in Colombia: an analysis of the FX spot market |
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Political appointees and firm long-term capital market performance. Evidence from Central European countries |
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Biased Investors' Beliefs Cultivated by Media Innovation Perceptions |
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Women on board: Gender balance initiatives and their impact on board structure and firm performance |
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Impact of COVID-19 on the nexus of income, expenditure and output: Case of Nigeria |
|
Idiosyncratic Skewness Co-movement and Aggregate Stock Returns |
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An empirical analysis of the role of crowdfunding in entrepreneurial finance in Africa? |
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Algorithmic trading and investment-to-price sensitivity |
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Correlated Demand Shocks |
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Stimulus Packages and Firm Performance during COVID-19 |
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THE IMPACT OF FINANCIAL DEVELOPMENT ON BANK LIQUIDITY CREATION: EVIDENCE FROM THE ASIA-PACIFIC REGION |
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Trading Strategies and the Frequency of Time--Series |
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Do Energy Markets Drive Private Capital Flows? |
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Effect of CSR on innovation |
|
ENVIRONMENTAL PERFORMANCE RATINGS VERSUS CREDIT RATINGS IN ENVIRONMENTAL RISK MANAGEMENT |
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Oil price and the automobile industry: Dynamic connectedness and portfolio implications with downside risk |
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Stock Returns under Intermediary Investment and Shocks |
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Investor attention and dividend initiation announcements |
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Cash Holdings and Firm-Level Exposure to Epidemic Diseases: COVID-19, SARS, H1N1, Ebola, Zika |
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Your Land is My Land: Civil Conquest, Asset Protection, and Real Estate Value |
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The Changing Impact of Monetary Policy on Corporate Investment: Evidence from COVID-19 |
|
The Global Safe Asset Shortage: Why it Matters for Canada |
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Internal Control and Firm Value: Evidence from China |
|
Risk-scaled anomalies |
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Investor Sentiment Contagion under ?Informational Cycle Cascade? among Industries: Evidence from China |
|
Dominance of the US financial index and introduction to VCMA ? An expansion to interpretative property |
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Board reforms and earnings management |
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Forecasting Liquidity-Adjusted VaR: A conditional EVT-copula approach |
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Dynamic spillovers across precious metals and energy realized volatilities |
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Do Insiders Exploit Supply Chain Disruptions? |
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A Framework for Unleashing the Statement of Financial Position potential for Sustainable Assets in European Banks |
|
Acquisitions of private equity (PE) backed private companies |
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Corporate Venturing by Emerging Market Multinational Enterprises |
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Dollar and Exports |
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Economic policy uncertainty and IPO underpricing: Evidence from China |
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Competitive Threats from Foreign Rivals and Stock Price Crash Risk: Evidence from Antitrust Leniency Programs |
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The Covid pandemic in the market: infected, immune and cured bonds |
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Financial Statement Errors and Analysts: Obstacle or Opportunity? |
|
GDA Preferences and Heavy Tails in Portfolio Construction |
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Pre-opening Auctions and Price Discovery in Initial Public Offerings |
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Does Board Compensation Matter? |
|
Central Bank Digital Currency - economic or political project? |
|
A model of early stage finance |
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The effects of capital structure on investments and firm values under management overconfidence |
|
EVOLUTION OF INVESTOR SENTIMENT: A SYSTEMATIC LITERATURE REVIEW AND BIBLIOMETRIC ANALYSIS |
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Correlations, Growth Options, and Value Factor Returns |
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CEO PERSONALITY AND EXECUTIVES PERSONALITY DIFFERENCES EFFECT ON CASH HOLDINGS: EVIDENCE FROM TEXTUAL ANALYSIS |
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SCR for non-life insurance premium and reserves risk: results based on non-parametric methods for estimating the quantiles of the sum of dependent random variables |
|
Costs of corporate governance failures: South African evidence. |
|
Board gender diversity, industry concentration, and dividends: Empirical evidence from India |
|
Towards a Single Currency in Asia |
|
Information content when real estate funds deviate from benchmarks |
|
Relationship between R&D intensity and the value, operating performance and systematic risk of businesses |
|
Home?host distance in governance quality, foreign banks? lending, and emerging host markets? resilience |
|
The determinants of tax base erosion: Evidence from the banking sector in Poland |
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Auditor litigation risk and capital structure dynamics |
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Financial Intermediaries in Periods of Stress: HFTs vs. Manual Electronic & Floor Traders |
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Macroeconomic Extrapolation, Machine Learning, and Equity Risk Premium Forecast |
|
The Bond Market responses to Female CEOs Appointments |
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The Risk-Return Tradeoff: Evidence from a Broad Sample of Developed Markets |
|
International Diversification through Emerging Stock Markets |
|
Herding in Australian financial market: The roles of stock liquidity, public information and mood contagion |
|
M&A and Cybersecurity Risk: Empirical Evidence |
|
Ownership Structure and Stock Prices Informativeness of Banks: Does Economic Policy Uncertainty Matter? |
|
Competition and profit efficiency in Indian banks: A frontier-based parametric analysis |
|
The heterogeneity of stock prices responses to policy shocks: Evidence from International Data |
|
Exploring the Interrelationship Among Asset Accumulation, Financial Inclusion and, Subjective Well-Being: Evidence from South Africa |
|
Some (Simple) Economics of Social Impact Bonds |
|
Consumer Preferences and Regulations in Credit Card Markets: Evidence from Turkey |
|
The Credit Channel of Monetary Policy Before and After the Zero Lower Bound: Evidence from the US Equity Market |
|
World Uncertainty and Crude and Gold volatility - A global perspective |
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Is it really not about the money? Individual Investors' Beliefs, Ambiguity Perceptions, and Norm-following Propensities in ESG Investing |
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The role of investor behavior in the context of crowdfunding campaigns |
|
Taking Money Off the Table: Suboptimal Early Exercises, Risky Arbitrage, and American Put Returns |
|
Macro or Firm-Level, Which Political Risk Matters |
|
Monetary policy and inequality interactions: Should central banks be concerned? |
|
Business Model Contributions to Bank Profit Performance: A Machine Learning Approach |
|
Connectedness between stock exchanges: VAR and Spillover approach |
|
A Generalized Nash Equilibrium Problem arising in banking regulation: An existence result with Tarski's theorem |
|
Fossil Fuel Divestment and Portfolio Exposure to Movements in Fossil Fuel Prices |
|
Post-default recoveries: who matters the most, the firm or the judges? |
|
Revisiting analyst coverage and corporate innovation- Prospective of patent value |
|
Decomposing Momentum: Eliminating its Crash Component |
|
Adoption Determinants of Sustainable investing Exchange-Traded Funds in Europe |
|
The Heterogeneity of Foreign Investors' Expertise: The Real Effects of Foreign Bias |
|
Make Take Fees with Dark Trading: Market Quality, Trading Gains and Regulation |
|
ESG news, stock volatility and tactical disclosure |
|
Gender diversity in corporate boards: Evidence from quota-implied discontinuities |
|
The effect of investment inefficiency on the implied cost of equity capital: Evidence from Indian firms |
|
Practice of Islamic Banking from its Principal and Challenges of Sustainable Development Goals |
|
Climate Risks, Commodity Currencies, and FX Volatility |
|
Forecasting Real Economic Activity using the Financial Stress Index: Evidence from Developed and Developing Countries |
|
Confirmation of T+35 Fails-To-Deliver Cycles |
|
Annual report readability and stock return synchronicity: Evidence from India |
|
Preemptive negotiations and postponed shareholders? meetings |
|
The Counter-Performativity of Corporate Social Responsibility: financial investors reaction to ESG-linked CEO pay incentives |
|
Collateral choice |
|
Adaptive Market Hypothesis and A Research on Borsa Istanbul |
|
Mutual Fund Shareholder Letter Tone and Investors? Response ? Does Gender Matter? |
|
Incorporating sustainability performance in the process of going public |
|
Sovereign capital, external balance, and the investment-based Balassa-Samuelson effect in a global dynamic equilibrium |
|
Climate Change Social Norms and Corporate Cash Holdings |
|
On the cross-city growth drivers of the most vulnerable region of Brazil |
|
ECB's Extraordinary Monetary Policies from 2011 to 2018 and banks' investment choices |
|
Economic Policy Uncertainties and Institutional Investing in India |
|
Diligence and Objectivity, Moral Hazard and Adverse Selection |
|
Three Hundred Years of Monthly Return Predictability: A Comprehensive Examination and Transfer Learning |
|
Following the Crowd: Anomalies and Crowding by Institutional Investors |
|
Rating measurement of micro enterprises and the collapse of Probability of Default status |
|
Does financial development matter for economic globalization in Africa? |
|
Corporate Governance, Favoritism and Careers |
|
How has ESG disclosure scores affected Stock Returns: Evidence from an Emerging Economy |
|
Stock Price Crash Risk and the Managerial Rhetoric Channel: Evidence from Narrative R&D Disclosure |
|
The Effects of Trade War on Corporate Debt Structures and Costs |
|
Long run equity risk premium in international markets |
|
Does cross-listing in the US markets affect the maturity structure of corporate debt? International evidence |
|
Corporate social responsibility and insider horizon |
|
Risk measures based on behavioral certainty equivalents |
|
National culture of secrecy and access to credit |
|
Double Agent: Analyst-Induced Information Asymmetry and Announcement Return Reversal |
|
How would European firms fund themselves in the United States? |
|
Generalized Benchmarking: Is Blind Index-Tracking Optimal? |
|
What Drives International Consumption Risk Sharing? Economic or Financial Integration? |
|
Evaluation of changes occurring in ALM models of banks in Poland after the outbreak of the COVID-19 pandemic |
|
Momentum and 52-Week High Investing |
|
Which institutional investor is driving the low-risk anomaly? |
|
Covid-19 as an exogenous shock and economic resilience: a case study in Uruguay |
|
Golden Eye: How Traders Screen Information |
|
Impact of Trading Hours Extensions on Foreign Exchange Volatility: Intraday Evidence from the Moscow Exchange |
|
Socially Responsible Investments: Doing Good while Doing Well in Emerging versus Developed countries? |
|
Decoupling between the energy and semiconductor sectors during the pandemic: new evidence from wavelet analysis |
|
Spatial Proximity in Venture Capital Investments and Assets Intangibility |
|
Climate Risk and Bank Loan Contracting: International Evidence |
|
What Do Employees Know |
|
Institutional Investment and International Risk-sharing |
|
Determinants of Overseas Related Party Transactions: Evidence Surrounding the Global Financial Crisis |
|
The interaction effect of text-based corporate innovation and economic policy uncertainty on firm performance |
|
Uncertain times, managerial myopia, and asset redeployability: Evidence from economic policy uncertainty |
|
Issuance and Valuation of Corporate Bonds with Quantitative Easing |
|
Firm Investment in Marketable Securities and Corporate Governance: Evidence From a Quasi-Natural Experiment |
|
Biased Beliefs and Credit Risk in the Municipal Bond Market |
|
Time Variation in Cash Flows and Discount Rates |
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International Trades, Capital Regulations, and Efficiency: The Case of the Chinese Banking Sector during the Pre-Trade War Era |
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Demonetisation : A 5 year journey of Reforms and Progress in India |
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Fiscal Origins of International Factor Structures |
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What Determines Firm Growth ? Empirical Evidence for Switzerland |
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The Impact of Banks Engaging in Corporate Social Responsibility Activities on Their Performance: Are Characteristics of Decision-makers Important? |
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Impact of Market State on Momentum Portfolio Risk and Performance: A Risk-based Explanation |
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A mixed-method study of proposed parametric reform to the South African pension system |
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Money Talks: Information and Seignorage |
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Tweeting within and outside of market hours and price discovery |
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Liquidity, market discipline, moral hazard and banking crises: The role of deposit insurance |
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Quantitative Easing of Fear during Rare Disasters |
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The Effect of Debt Heterogeneity on Firm Performance and Value |
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FIRMS? LEVERAGE ACROSS BUSINESS CYCLES |
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The effect of ESG performance and R&D on dividend payout policy: Evidence from South Korea |
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Efficiency and bank performance in the MENA before and during the COVID-19 pandemic |
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The effect of Ratings on performance, risk and net flows, and on the performance persistence of mutual funds in Global Emerging Markets |
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Determinants of CSR driving Social Performance - Study of Indian Public Sector Undertakings |
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Hurricane Risk and Asset Prices |
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The effect of carbon intensity on debt fundraisings in the emerging markets |
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What Do Market Participants Learn from Share Repurchases? Evidence From a Return Decomposition |
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Survivorship and Delisting Bias in Cryptocurrency Markets |
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Environmental Tweeting Activity of Car Manufacturers |
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ESG performance and bank deposits |
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Appying Value at Risk for Central Banks: |
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Measuring Skills in European Actively Management Funds |
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Feeling the Heat: Climate Shocks and Credit Ratings |
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Contagion between Islamic and Conventional Indices: Sectoral Level Evidence |
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Does informative risk disclosure matter in IPO underpricing? The impact of the European evolving normative context |
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Eurozone GDP forecasting with micro-data: The role of conditional conservatism |
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THE MOOD BEHIND ICOs CRYPTOMARKETS |
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The relationship between zero leverage on SMEs and sustainable development |
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Anti-corruption and Corporate Investment: Evidence from Financial Disclosure Laws |
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Market segmentation, intraday price disparity and efficiency: The case of Chinese A- and H-shares |
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The potential use of robo-advisors among the young generation |
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The witchcraft belief and financial development |
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Corporate Risk Management around the World |
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International Evidence on Government Debt and Corporate Cash Holdings |
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Corporate governance, guidance on strategic information, and the ?disclosure bonus? |
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Impact of the COVID-19 crisis on the Italian enterprises |
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Social Media and Bitcoin Price Dynamics |
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Related Party Transactions in South Africa: Abusive or efficient? |
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Bankruptcy law, creditors rights, and trade credit: Evidence from a quasi-natural experiment in India |
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Integrated Reporting on the Warsaw Stock Exchange ? advanced textual analysis |
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Inflated ESG ratings through socially responsible investing: An inverse relation to sustainable performance |
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Tax Avoidance: Tax Saving or Rent Extraction |
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DOES MORE INFORMATION LEAD TO LOWER MODEL RISK IN CREDIT MODELS? |
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Connecting the dots: An integrative framework of CSR antecedents, heterogeneous CSR approaches, and societal and financial performance |
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The impact of credit risk management on the financial performance of Ethiopian commercial banks |
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The impact of credit reforms on bank loans and firm leverage around the world |
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Regression models and Machine Learning approaches for long term Bitcoin price forecast |
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Disagreement in mutual fund sustainability labelling |
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Risk disclosure in IPO Advertisement and the Quality of Firm |
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External imbalances in the euro periphery: new evidence from non-linear models |
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The Insurance-Like Effects of Engaging Corporate Social Responsibility in Shipping Companies |
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Bank loan and financing diversification, market structure, and stability in a dual-banking system |
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Integration of Stock Markets and Currency Markets in Emerging Asian Economies |
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Retired bureaucrats on the Board of Directors :Do they Improve Firm performance |
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The Geography of Investor Attention |
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Corporate social responsibility and dividends: Indian perspective |
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Not everyone gets sick: Differences in bank performance during the Covid-19 shock. |
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Using Financial Options Workshops to Improve Financial Literacy at Colleges |
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Institutional Investors and Asset Pricing |
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Business groups and herding behavior during the COVID-19 pandemic |
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Pension Plan Systems and Asset Prices |
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Islamic Agricultural Finance Contracts: A Nexus for Innovation and Risk Management |
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Daily Growth at Risk: financial or real drivers? The answer is not always the same |
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JAQ of All Trades: Job Mismatch and Firm Productivity |
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May board committees reduce the probability of financial distress? A survival analysis on Italian listed companies |
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The Network Structure of the China Bond Market: Characteristics and Explanations from Trading Factors |
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Municipal Bankruptcies and Crime |
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The Effect of Working Capital Investment on Firm Value and Long Term Investment: Evidence from Indian Manufacturing Sector |
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My Multinational Corporation: What does it mean for companies to do business internationally? Risks and Opportunities |
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Beware of Extreme Investor Sentiments! Performance of Neuro Specific Options Volatility Trading Strategies: Indian Evidence on the facets of COVID 19 |
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Questions, Answers, or Sentiments? What Drives Perceived Volatility in Earnings Conference Calls? |
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Multiscale Carhart Four-Factor Pricing Model: Application to the Islamic Equity (Shari?ah Compliant) Market of Malaysia |
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The impact of financial literacy and personality traits on financial behaviour |
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Impact of ESG Ratings on Stock Returns: Evidence from the Covid-19 Crisis |
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On the Redundancy of the Value Factor |
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Evidence on capital structure theories from the firm?s lifecycle |
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The Real Effects of Dark Trading |
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Corporate ESG Performance and Information Asymmetry: The Moderating Role of Country-Level Institutional Differences |
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Corruption and Stock Price Volatility: Firm-Level Evidence |
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The 2020s, the Decade of ESG Crises: Is Crisis Resilience Associated with ESG Performance? |
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Diversity in Finance Literature Revealed through the Lens of Machine Learning: A Topic Modeling Approach on Academic Papers |
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Stress-tested Banks in the U.S.: Becoming similar? |
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Can Corporate Culture Increase Women Board Representation and Enhance Firm Value? |
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Credit Rating, Reputation Spill-Overs, and Debt Contract Structure: A New Rationale for Limited-Recourse Project Financing |
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Gender Differences in Overconfidence |
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Financial Trust in Social and Economic Network and Credit Risk |
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Independence of Board, Board Engagement, and Firm Performance Nexus |
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Do ESG investments mitigate ESG controversies? Evidence from international data. |
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Capital Flow Management Measures and Dollarization |
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Local Sentiment and Insider Trading |
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The Determinants of Outward Foreign Direct Investment from Latin America and the Caribbean: An Integrated Entropy Based TOPSIS Multiple Regression Analysis Framework |
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Political connection and M&A performance: Evidence from China |
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Mandatory disclosure regulation and voluntary disclosure quality: A view from the lens of innovation disclosures |
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Trading Gold Silver Ratio with Machine Learning Algorithms |
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Central bank profits, seigniorage, and policy normalization |
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Islamic Finance hindrance |
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Combining expected shortfall and value-at-risk forecasts using machine learning techniques |
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Bribery and Firm Growth: A Case of Manufacturing Firms in South Asia |
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Returns to Firm Globalization: Risk Premium or Mispricing? |
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Effectiveness of corporate governance on financial reporting quality in the banking industry in Mauritius |
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Overdraft financing and vulnerability during the financial crisis: A survival analysis for European SMEs |
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The Social Geography of Misconduct |
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Dual mission of savings groups: is there a trade-off between group financial profits and social mission? |
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Venture Capitalist Directors and Managerial Incentives |
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The Impact of Policy Uncertainty on Asset Prices: The Evidence from the U.S.-China Trade Disputes |
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Risk-Taking of Financial Intermediaries in a Vertical Setting |
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Board gender diversity and firm value: Evidence from Chinese Acquirers |
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Political risk and Takeover completion Likelihood |
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Keeping an eye on co-operative banking in India: Effectiveness of market discipline |
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Political connection in China |
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Reporting of Discontinued Operations: Firm Size and Regulatory Regimes |
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Order Book Liquidity on Crypto Exchanges |
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THE ROLE OF MICROFINANCE IN MITIGATING THE COVID-19 LOCKDOWN CHALLENGES OF THE POOR IN INDIA |
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The effect of collateral on small business rationing of term loans and lines of credit |
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1 Impact of ISO 14001 and ISO 9001 adoption on corporate performance: The Portuguese Evidence |
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Ice-Cream Sales Forecasting with Weather Data: A Method Based on Fuzzy Logic |
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Assessing the Impact of Basel III on European Bank Lending |
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(Business) Angels Falling on Earth: What We Have Learned About Their Investment Strategies |
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Green Bond Issuing by Public Sector Entities: Exploring Motivations and Performance |
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Determinants of Investor Reaction to Statutory Corporate Tax Change: Evidence from India |
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Optimal Forward Guidance in Monetary Policy: Can Central Banks Sway the Public with Projections? |
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Diversifying Estimation Errors with Unsupervised Machine Learning |
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Flow-Performance Relationship in the Hedge Fund and CTA Industry and Managers? Features |
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Kinship network, extended social cohesion and financial inclusion post Covid-19 era: Lessons from unbanked rural poor households in sub-Saharan Africa |
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Labor Force Demographics and Corporate Innovation |
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Equity Premium Predictability: Combination Forecasts versus Multivariate Regression Predictions |
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Excess Capacity, Marginal q and Corporate Investment |
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Are the diversification benefits of emerging and frontier markets retained in the long-run? |
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A No-Arbitrage Approach to Asset Pricing using Panel Data Asymptotics |
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Stock Markets Performance During Pandemic: How Contagious Is COVID-19? |
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Breaking Bad: Parameter Uncertainty Caused by Structural Breaks in Stocks |
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Can Accounting Regulation Strengthen Resilience? The Impact of IFRS 9 Adoption on Loan Loss Provisioning and Bank Behavior |
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How are tax avoidance practices affected by CSR disclosure? The role of CSR disclosure on tax avoidance in terms of good and bad practices |
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All you need is G(overnance): Implications for Sustainable Finance after Ambrogio Lorenzetti?s Frescoes |
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Bank risks and shareholder origin: Evidence from Central Africa's currency union |
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Cross-Border Venture Capital Valuation: Business-Cycle, Institutional Factors, and Distance |
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Circular Economy, Corporate Sustainability Reporting, and Equity Risk: Evidence from European Markets |
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THE SYNDICATION OF IMPACT PRIVATE EQUITY FIRMS IN FRANCE |
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Can Startups Disrupt the Gender Pay Gap? Can they Disrupt Economic Exclusion? A Two-Tiered Approach |
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Human vs. Machine: Disposition Effect among Algorithmic and Human Day-traders |
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The Corporate Bond Risk Premium: New Data and Evidence from The Origin of Corporate Default |
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Bank-affiliated Venture Capital and Performance of European FinTechs |
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Analyst Institutional Client Catering and Reputation Tradeoff: Analysts? Strategic Timing of Recommendations |
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Beginning-of-Period Temporal Landmarks, Mental Accounting Periods, and the Chinese Lunar New Year |
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Frequency-domain approach to the causal nexus between domestic and international economic policy uncertainties and equity returns of selected G20 Countries |
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Crowdsourced Employee Sentiment and Stock Returns |
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Do short sellers extract private information from analysts' forecasts? |
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Understanding the Effects of Inflationary Uncertainty on the Inflation in Latin America: An empirical Application using the TVP-SVM Model |
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Optimal Capital Structure when Bond and Asset Correlation is Stochastic |
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Innovative Fintech Applications to Responsible Banking |
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Does Mobile Payment Adoption Reduce Corruption? Cross-country Evidence |
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PRODUCTIVITY IN SERVICE, MANUFACTURING, AND HYBRID INDUSTRIES |
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Dynamic comovements between assets in financial markets: A Scientometric Analysis |
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The Greatest Co-Authors of Financial Literature (1896-2006): Scientometrics Based on Complex Networks |
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Financial Market Outcomes and Gambling at the Racetracks |
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Retirement and Politics: Identifying the best practices |
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Corporate governance reforms and analyst forecast accuracy: International evidence |
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Catch, Restrict, and Release: The Real Story of Bank Bailouts |
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A New Early Warning Index to Predict Bank?s Failure |
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Risk-avoiding incentives and director compensation: Evidence from Spanish listed firms |
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Ally, or Rival? Information Sharing in Trading Networks |
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Economic Modelling of the Bitcoin Mining Industry |
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Family protocols: determinants and their impact on governance and firm performance |
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It's Not You, It's Them: Industry Spillovers and Loan Portfolio Optimization |
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Earnings Expectation and Interactive Discussion with Corporate Insiders |
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Did the Global Financial Crisis of 2007-09 Affect the Relationship Between Interest Rates and the Stock Market Returns of Commercial Bank Holding Companies? |
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Market Power and Bank Lending in Africa: the Role of Regulatory Policy |
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See No Evil: EPS-Motivated Repurchase and Long-run Stock Performance |
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Extension of the Fama and French five-factor Model: a study of the largest European pharmaceutical companies |
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Corporate Donations and Religiosity: Cross-Country Evidence |
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Does Media Coverage Affect Credit Rating Change Decisions? |
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Machine learning vs logistic regression in joint default assessment |
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A circular model for credit risk contagion |
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R&D, Market Competition, and Firms? Zero Leverage Puzzle |
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The Existential Crisis of Microfinance during the COVID-19 Global Pandemic: Global Evidence from VisionFund International |
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Do former managers and board members care about firms they quit? Evidence from transfers to politics in Central European countries |
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Stylized facts, volatility dynamics and risk measures of cryptocurrencies |
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Role of Bank Credit and External Commercial Borrowings in Working Capital Financing: Evidence from Indian Manufacturing Firms |
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Corruption and Bank Financial Stability: Evidence from MENA countries |
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Trading as Gambling during Covid Lockdown |
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Implied Skewness and the Cross Section of Foreign Exchange Returns |
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Financial Inclusion and Economic Development |
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Are sophisticated investors less likely to sell winners? |
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Wall Street Watches Washington: Asset Pricing Implications of Policy Uncertainty |
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Is investor sentiment a missing factor for the explanation of mutual fund performance? |
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Impact of FDI flows on Domestic Investment: Evidence from Emerging economies |
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Company performance under various and multiple ownership classes: Evidence from Saudi Tadawul |
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Trends and Developments of Financial Inclusion in Emerging Economies: A Comparative Study of China and Pakistan |
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Enduring in crisis: The mitigating effect of board features |
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Leveraging Environmental Worthiness: A Market Perspective |
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Guns and Kidneys: How Transplant Tourism Finances Global Conflict |
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Inventory investment, growth, and firm value: Evidence from Korea |
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Do State Tax Changes Affect Corporate Tax Aggressiveness U.S. Evidence |
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On the Role of Internationalization of Firm-Level Corporate Governance ? the Case of Audit Committees |
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Non-Interest Income and Bank Risk: The Role of Financial Structure |
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A new framework of induced innovation policy for mission-oriented innovation ecosystem: addressing the transformative change |
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The dynamics of the financial inclusion index for developing countries: Lessons learned |
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The Shadow Disintermediation and Cost of Risk-sensitive Capital |
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