| Paper | Authors |
|---|---|
| The Marginal Propensity to Extract Housing Wealth: Evidence from Home Equity Windfalls |
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| Transgenerational leadership, esg & innovation continuity: a multilevel analysis of r&d smoothing in family firms. |
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| Will Dual class shares or control explain underperformance in IPOs? A comparative US-UK analysis |
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| Authenticity in Corporate Social Performance: Employee ESG Misalignment and its Financial Consequences |
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| Examining the Role of Credibility-Enhancing Measures in the Formation of a Greenium |
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| Legal Expertise at the Helm: How Lawyer CEOs Create Value in Mergers and Acquisitions |
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| Optimal Financial Decisions and the Future of Financial Advice |
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| No-Arbitrage Valuation of Residential Real Estate: Evidence from Rent-to-Own Contracts |
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| The Impact of Floods on Firm Performance and Relocation |
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| Ex-Ante Risk Premia on Earnings Announcements: Evidence from the Options Market |
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| Treasury Bond Excess Return Prediction: Machine Learning Insights |
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| Credit Effects of Credit Card Interchange Fees |
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| systemic implications of financial inclusin |
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| Market Efficiency and Geopolitical Policies: An Event Study of the Semiconductor Industry |
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| ESG and Mutual Fund Competition |
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| Speculative bubbles in the aerospace, defence, and space sectors: empirical evidence. |
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| The Term Structure of Equity Derivative Risk |
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| How Expectations Help Predict Bond Risk Premiums |
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| Stockholding in Europe: Evidence from the consumer expectations survey |
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| Unemployment Insurance, Corporate Innovation and Knowledge Spillover: Evidence from China |
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| Housing Capital Gains across the Income Distribution |
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| How uncertainty regarding firms? environmental performance affects the performance of analyst forecasts? |
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| Mutual Fund Carbon Divestment: Strategic Investment Reallocation toward Firms without Carbon Transparency |
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| For Whom Do ?Fed Information Shocks? Matter and Why? |
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| The impact of climate litigation risk on firms? cost of bank loans |
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| Corporate Social Performance and Financial Outcomes in Banking: A Stakeholder Legitimacy Perspective on ESG Disclosure |
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| Open Markets and Tax Progressivity: The Interplay Between Trade Openness and Tax Policy in OECD Economies |
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| Extrapolation and Market Reactions to News |
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| Asset Purchase Programs and the Exchange Rate |
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| Conventional monetary policy across the wealth distribution: the Maltese case |
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| Canada Eh? The Curious Case of Arbitrage Opportunities in the Canadian Bond Markets |
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| State-Dependent Alpha in Emerging Market Equity Mutual Funds: Evidence from Conditional Multifactor Asset Pricing Models |
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| Does CEO Power Reduce ESG Controversies? Evidence from Australia |
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| Will AI Replace or Enhance Human Intelligence in Asset Management? |
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| Return to Nature: Biodiversity Loss and Global Stock Returns |
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| Closing the Gender Gap in Financial Literacy? The Effects of a Role Model-Based Financial Education Intervention |
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| Tax Enforcement and Internal Capital Allocation: Evidence from Addback Statutes |
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| When Does Climate Risk Get Priced? Policy Clarity and Environmental Trading |
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| Credit Default Swaps and the Cost of Capital |
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| Equity-Index Option Pricing with Aggregate Market Loss Aversion under Power-Log Utility Investor Preferences |
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| The European Best Bid and Offer (EBBO): From Fragmented Feeds to a Consolidated Tape |
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| Digital Transformation and Profitability: Empirical Evidence from Chinese Commercial Banks |
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| Convenience Yields, Interest Rates, and Exchange Rate Dynamics |
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| Why do South Korean Investors Shift Their Funds to US Stock Markets? - Population Aging Issue in South Korea |
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| Secretive Blockholders |
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| Anchoring Bias and Cross-Border Acquisition Premia |
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| Not All Shocks Are Shared Equally: Sectoral Projections and International Risk Sharing |
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| Monetary Policy Shocks: A New Hope ? Large Language Models and Central Bank Communication |
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| Financial Literacy and Earnings Informativeness: Evidence from Market Reactions to Earnings Announcements |
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| Whistleblowing Allegations and Corporate Inventory: Evidence of an Internal Production Bottleneck |
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| Temporary Extreme Movements in Price (TEMP): A New Measure of Volatility |
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| Family CEO Succession and Green Innovation: Evidence from Japanese Family Firms |
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| Money Management and Welfare |
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| The Geoeconomics of International Political Relations and Sovereign Defaults |
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| Beyond the Minimum: Field Experiment and Machine Learning on Credit Card Payment Warnings |
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| How Do Mutual Funds Vary With Funding Conditions? |
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| Nudging Toward Debt? Liquidity Recomposition and the Portfolio Effects of Payment Compliance |
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| The Weight of Compliance: Anti-Money Laundering Enforcement, Banking Sector Composition, and Lending |
|
| Macroeconomic Announcements and FX Implied Volatility: Evidence from Global Currency Markets |
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| Safe to Talk, Safe to Work: Anti-SLAPP Statutes and Workplace Safety |
|
| Sentiment-Driven Inefficiencies in Term SONIA: Evidence from Machine Learning-Based Anomaly Detection |
|
| Corporate Bond Yield Curve Modeling-A Rating-Based Regime-Switching Generalized CIR Approach |
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| The Value of Mortgage Choice: Payment Structure and Contract Length |
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| Preventing FinTech Competition Through Credit Rationing? |
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| Factor Model Selection Using the ICAPM |
|
| Do Corporate Bonds Hedge Geopolitical Risk? |
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| From medieval to modern mechanisms: Insights from papal conclaves into internal stability and conflict strategies |
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| The Economic Costs of Bank Misconduct: Evidence from Newspaper Closures |
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| Pursuing the Green Signal: Determinants of Firm Adjustments to Target ESG Score |
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| Do Investors Pay More for More Sustainable Impact? |
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| Which Quantile-based risk-measures can balance the risk-return trade-off between regulators and investors |
|
| Government Support and SME Succession via M&A: Evidence from Japan |
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| Retail Investors' Stock Holdings and Their ESG Scored |
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| Bank capital and balance sheet management during times of distress - international evidence |
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| Unspanned Latent Risks and Bond Risk Premia in the U.S. Treasury Market |
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| Geopolitical Risk and Corporate Takeovers: Evidence from Global M&A Activity |
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| Convergence versus Divergence of Investors' Legal Protection and Corporate Borrowings across Emerging Markets |
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| Legislator Tweets About the Green Transition and the Returns of Green versus Brown Stocks |
|
| How is Inflation Priced in Global Markets ? |
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| Non-Underwritten Placements of Equity |
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| Insuring Digital Deposits: An Option-Pricing Approach to Stablecoin Guarantees |
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| Severely Obstructive Takeover Resistance in Hostile Takeover Bids: ?Neutral? Boards as Bona Fide Advisors of Shareholders |
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| Does EDGAR implementation affect disclosure? |
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| Natural and Man-Made Crises, Climate Risk, and Spillovers Between Energy and Carbon Futures |
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| Misreporting Clawback Provisions: Optimal Design and Regulatory Implications |
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| The Unexpected Value of Partnerships |
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| Time is Money: an Investment in Luxury Watches |
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| A Dividend-Based Model to Explain Equity Returns for both Financial and Non-Financial Stocks |
|
| Whisper Words of Wisdom: How Financial Counseling can Reduce Delinquency in Consumer Loans |
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| Judged by the Company You Acquire |
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| Global Banking Crises and the Fragmentation of Institutional Trust |
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| The Impact of ESG Uncertainty on Rating Disagreement |
|
| Corporate Social Responsibility in Europe: Impact on the Idiosyncratic Volatility |
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| Sovereign Credit Ratings and Market Credit Risk: A Cross-Continental Examination |
|
| The Impact of the 2008 Global Financial Crisis on Mental Health |
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| A Review of Critical Audit Matters Research: A Topic Modelling Approach |
|
| Climate change and the value of institutional shareholders: Evidence from the Paris |
|
| Riding an S-Shaped Curve: Dynamic Impact of ESG Performance on Bank Profitability and Value Creation |
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| Inflation Risk and Interest Rates |
|
| Middle class taxpayers and utilisation of their tax money- Mumbai, India |
|
| The Impact and Mechanism of Digital Literacy on the Usage of Digital Financial Services |
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| Linguistic Time and Market Timing: Future Tense and Global Stock Price Efficiency |
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| Evaluating the Disparate Effects of Climate Change on Domestic and Foreign Banks: Insights Into Credit and Liquidity Risk Dynamics in India |
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| Hedge Fund Performance and the U.S.-China Tension |
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| Address Challenges Markowitz (1952) Faces: A New Measure of Asset Risk |
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| Price Without Fundamentals? Interbank Rates, Circulating Supply, and Market Responses in Stablecoins and Cryptocurrencies |
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| Interlocking Directorship and Firm Performance: Evidence from a Corporate Governance Reform |
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| The Dark Side of Leadership: CEO Personality Traits and IPO Underpricing |
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| Street Markets, Beauty Salons and Lunchboxes: The Real Entrepreneurship of Brazilian Urban Peripheries |
|
| Impact of Interest Rate Controls on Risk-taking Behavior of Kenyan Commercial Banks |
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| Award winning CEOs and credit ratings |
|
| Corporate Cash Holding and Mutual Funds Flow: Global Evidence |
|
| Fear Before the Facts: How Scheduled U.S. Macroeconomic Announcements Move Global VIX- A GARCH Model Approach |
|
| FinTechtrification: The Role of Financial Technology in Non-Financial Sectors |
|
| Tax Avoidance and Environmental Performance: The Moderating Role of Analyst Coverage |
|
| What Does a Tradeoff Between Purpose and Profit Deliver? |
|
| Invoice Digitization and Credit Availability: Hard-Information Effects in Small Business Lending |
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| Convertible Bond Issuances and Equity Share Price Reactions: Evidence from Asian Markets |
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| Environmental Footprint, Water Intensity, and Resilience to Droughts |
|
| Connectedness Among Green, Brown, Technology, and Carbon Markets: Insights from Time-Varying Models |
|
| Decoding Climate?Finance Linkages: The Impact of Physical and Transitional Risks on Firm Credit Risk, Valuation, and Performance |
|
| Interlinking Climate Risk, Systemic Risk, and ESG Disclosures Scores: Evidence from Emerging Market Economies |
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| The Ex-Dividend Day Dynamics of Stock Prices on the Baltic Stock Exchanges |
|
| Which Data Tells the Truth? A Multi-modal Deep Learning Framework for Stock Price Movement Prediction |
|
| Towards strengthening cyberfraud investigation in the south african banking industry |
|
| Beyond the Bias: Rethinking the Disposition Effect in the Long-Term Retirement Investment Space |
|
| Do Zombie Firms follow less Accounting Conservatism? Evidence from Quasi-Natural Experiments in India |
|
| Is Social Media Information Noise or Fundamentals? Evidence from the Crude Oil Market |
|
| Institutional Ownership and Corporate Governance: Evidence from Chinese Firms Listed in the U.S. |
|
| Carbon Concentration in Bank Portfolios and Efficiency: The Role of Credit Risk and Capitalization |
|
| The Tradeoff Theory as a Method of Choosing Capital Structure: Effects of Debt and Tax on the Firm Value |
|
| Towards Resolving the Partner Selection Problem in Venture Capital Syndication: New Insights from A Neural Network Based Study |
|
| Determinants of Default-Free Economic Value Added |
|
| Green Finance, Digital Adoption, and Climate Risk Management in Banks |
|
| Wait, don´t cut: Evaluation of a real option to maintain gas extraction license under conditions of price volatility in an energy company operating under financing constraints |
|
| (Every) 15 seconds to alpha: Long/short optimization with EVT |
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| Busy Boards and Firm Financial Distress |
|
| When Bricks Meet Bytes: Does Tokenisation Fill Gaps in Traditional Real Estate Markets? |
|
| Sustainability-Oriented Transformation in Financial Firms: Bridging External Sustainability change and Internal Firm Change: |
|
| Heterogeneous effects of traditional and digital financial inclusion on multidimensional poverty reduction: New evidence from Indian households |
|
| The dark side of bank branch closures |
|
| Performance Measurement of Indian General Insurance Firms Using a Two-Stage Network DEA Model |
|
| Agentic Quantum Learning Architectures for Corporate Finance and Asset Pricing: A Spectral Stochastic Economic Synthesis |
|
| The Dark (and Bright?) Side of Shadow Banking: Evidence on Bank Stability and Market Power |
|
| Addressing energy poverty in sub-Saharan Africa: the role of green finance and energy transition contingencies and thresholds |
|
| For risks and side effects: Earnouts ? Macroeconomic determinants and the use of earnouts |
|
| The Influence of ESG Shareholders on Stock Price Resilience During Exchange rate crash |
|
| Impact of Climate Change Risk on Financial Sector Development in Selected EMEA Countries |
|
| Mobilising Institutional Capital for Sustainable Growth: The Role of Infrastructure-Linked Bonds in South Africa´s Pension Investment Landscape |
|
| Green Investing in the Emerging Markets: Is there a Premium or Financial Penalty? |
|
| Cross-Border Cooperation Between Securities Regulators and Supply Chain Collaboration: Evidence from U.S.-Listed Foreign Firms |
|
| Product Market Competition, Import Penetration, and Local U.S. Banks: Evidence from the Natural Experiment of China?s WTO Entry |
|
| Explaining the Adoption of Sustainable Investing ETFs: A European Perspective |
|
| AI Infrastructure, Firm Value and Expected Stock Returns |
|
| Capital Structure and Financial Performance of Listed Consumer Goods Companies in Nigeria: The Mediating Effect of Cost of Capital |
|
| Corruption, Controlling Ownership, and Long-Term Post-Cross Border Mergers and Acquisitions (CBM&As) Performance: A Firm-Level and Industry-Level Analysis |
|
| CEO facial masculinity, CEO power, and long-term compensation: Moderating role of monitoring intensity |
|
| The Green Technology Paradox: How Environmental Goals Undermine Pollution Reduction in China |
|
| Do business angels value impressions created by an entrepreneur in investment decisions: Evidence from an emerging market |
|
| Beyond Compliance: How Governance and Strategy Shape Corporate Goodness in a Mandatory CSR Regime |
|
| Cultural Diversity and Idiosyncratic Risk of Multinationals |
|
| Internal Rationality, Stochastic Variance, and Return Predictability |
|
| Nonlinear Ex-Dividend Pricing: Disentangling Taxes and Frictions |
|
| Machine Learning-Based Prediction of Mini Flash Crashes |
|
| Do Yuan-Denominated Russian Bonds Serve as a Safe Haven During Turbulent Periods? Evidence from TVP-Local Projections |
|
| Climate Risk in Financial Markets: Evidence from a Bibliometric Analysis |
|
| Spillovers among securities and commodities in developed markets |
|
| The Economics of Keynes and Uncertainty |
|
| Covid-19 And Canadian Bought-Deal Seos: Impacts On Underwriting Fees, Price Discount, And Issuance Determinants |
|
| reverse monday effect on the cryptocurrency market |
|
| Location, Location, Location? with Correlation: Nature?s Gift to Wind Energy |
|
| Impact of Altman Z-Score on the Financial Performance of Indian Commercial Banks: The Moderating Effect of ESG Scores |
|
| Chasing ?Star Analyst?: The Strategic Shift in Optimism |
|
| Improving the entrepreneurial innovation capacity: A Theorical Overview and Lessons from international experience |
|
| Treasury or trash - Companies with Bitcoin holdings |
|
| Mapping the Brazilian Stock Market: Insights from Complex Networks Analysis |
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| Sentiment, Momentum, and Prospect Theory: Evidence from an Emerging Market |
|
| Monetary Anchors in a Digital Age: A Historical Perspective on the ECB?s Digital Euro and US Stablecoins |
|
| Financial System Development and Income Inequality in Nigeria |
|
| Corporate Financialization and ESG in Emerging Markets: A Stakeholder View |
|
| The Interaction of Capital Constraints and Financial Volatility |
|
| Who Prepares, Who Borrows, and Who Reverses? The Dynamics of the Resilience Gender Gap |
|
| Biodiversity Credits and Digital Monitoring: A FinTech Approach to Forest Conservation Finance |
|
| A Study on Awareness and Usage of Government Financial Inclusion Schemes among BPL Cardholders in Rural India |
|
| Human Capital Arbitrage in Mutual Fund Families |
|
| Customer Concentration and ESG Performance: Evidence from U.S. and Canadian Firms |
|
| Sustainable Practices and Financial Performance of Small and Medium Tourism Enterprises |
|
| Understanding Financial Distress in Private Equity: A Literature Review and Conceptual Framework |
|
| Does Investors Voice Create Firm Value? Evidence from India |
|
| How News Moves Emerging Markets: Joint Dynamics of Currencies and Equities |
|
| CEO Religiosity and Risk Preferences: Evidence from Corporate Hedging Decisions |
|
| Constructing a Financial Conditions Index for Zambia |
|
| Liquidity Fragility, Fragmentation, and Intraday Price Discovery in Global Equity Markets |
|
| Household Consumption in Colombia: A Nonlinear Cointegrating Approach |
|
| The Efficiency Paradox in Latin American FX Markets: Disentangling Temporal Memory from Structural Tail Risk |
|
| An Aggregate Model of Financial Instability and Its Application in the Indian Context |
|
| Private Firm Disclosures and Public Firms Debt Choice |
|
| On the Effects of Continuous Trading |
|
| Cryptocurrency market risk analysis: Evidence from FZL function |
|
| Exploring the effect of regulatory frameworks on the performance of credit rating agencies in South Africa |
|
| ESG Disclosure and Cost of Debt: Compara8ve Evidence from Islamic vs Conventional Banks |
|
| Overconfidence Bias: Addressing Inconsistencies in Survey Evidence and Market Observations |
|
| Quantification of Margin of Conservatism Category C: Correlations and Quantification Levels |
|
| Cultivating Financial Behaviour: Understanding the Influences on Financial Behaviour of Young South African Accountants |
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| Performance Management with Alternative Assets |
|
| Winners and losers of IPO lotteries in India |
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| IPO Pricing in Emerging Markets: The Role of Venture Capital and Business Group Networks |
|
| Mind the Gap, Teens!: Individual and Country-Level Drivers of the Gender Gap in Financial Literacy |
|
| The Limits of Volatility Drag: Path-Dependency and the Long-Term Suitability of Leveraged Treasury ETFs |
|
| Strategic Communication and Investor Reactions to Earnings Downgrades |
|
| Sparse Vine Copula-Based Portfolio Optimization: A Composite Trade-Off |
|
| Opacity in Sovereign Credit Rating Assessment |
|
| Betting on chaos: Political uncertainty and lottery demand |
|
| Government Budget Tone and Corporate Cash Holding: Evidence from India |
|
| Performative Disclosure in ICO Whitepapers: Speech Acts, Soft Signals, and Two-Stage Investor Responses |
|
| The Risk-Free Rate in Corporate Finance Practice: A Systematic Review of Measurement, Proxies, and Application |
|
| Stock Price Crash Risk and the Managerial Rhetoric Mechanism: Evidence from R&D Narrative Disclosure in 10-K filings |
|
| Derivative Usage and Capital Structure Adjustment under Time-Varying Volatility |
|
| Contribute or challenge: An integrated examination of the employee voice decision in the Big 4 |
|
| 4,400 Miles Across the Sea: Why ECB Decisions Do Not Affect Euro Area Bank Stock Prices |
|
| Amalgamating Two Financial Services Giants: An Oral History of the Price Waterhouse and Coopers & Lybrand Merger in Ireland |
|
| The Financial Information Embedded in ESG Scores within Label-Agnostic Portfolios: Evidence from Anti-ESG ETFs |
|
| Financial Constraints and Asymmetric Pricing in the U.S. Airline Industry |
|
| Patent Stock and Financial Performance: Panel Evidence from the Western European Electronics Manufacturing |
|
| Boardroom Backscratching and Dividend Policies |
|
| Bankruptcy Law, Creditor Rights, and Earnings Management in Distressed Indian Firms |
|
| The Effect of Economic Size on the Interaction between Mutual Fund Flow and Performance: Evidence from South Africa |
|
| ESG, Mood and Expected Stock Returns |
|
| Stock Market and Terrorism Unrest in Africa |
|
| Combating crises and deflation: China Monetary Policy from Financial Liberalization Through the Pandemic |
|
| Payout Under Weak Governance: Evidence from CSR Misalignment and Corporate Scandals |
|
| Determinants of Interest Rates on Household Term Deposits: The Portuguese Case |
|
| Nascent Digital Financial Inclusion: The New Driving Force for the China?s Economic Growth |
|
| ESG Performance and Cost of Capital Under Leverage Constraints: Evidence of Non-Linearity From The G20 Emerging Markets |
|
| Cyber Insurance in Asset Pricing | |
| Precipitation Risk, Valuation Pressure, and Corporate Payout Decisions |
|
| International Workers Remittances, Financial inclusion and Financial Stability in Maghreb Countries |
|
| Subways, Information Flow, and Stock Price Crash Risk: Evidence from China |
|
| Applying a Framework to Examine Tax Knowledge |
|
| What Drives Retail Investor Panic in Crises? A Multidimensional Socio-Contextual Perspective from India |
|
| The Information Contents of Insider Silence prior to Corporate Announcements |
|
| The Effects of a Money-financed Fiscal Stimulus Without Irredeemability of Money |
|
| Unraveling the GVC-Finance Nexus: Divergent Effects in Developed and Developing Economies |
|
| The Gender Gap in Digital Skills at Work |
|
| Does ESG Build Corporate Resilience? Evidence from Global Supply Chain Pressure |
|
| Is the Keynesian Multiplier a Monetary Illusion? Empirical Evidence from Chile?s Debt-Free Fiscal Policy |
|
| Negotiations in SME lending |
|
| GENDER AND FINANCIAL WORRIES: INTERNATIONAL EVIDENCE |
|
| Board Diversity and Corporate Governance Disclosure: The Role of CEO Power |
|
| The Renewable Fuel Standard and Market Comovements: Evidence from Option-Implied Volatility Correlations |
|
| Tech Giants and New Entry Threats |
|
| To apply, or not to apply: The role of trust in SME financing decisions under uncertainty |
|
| The Role of Religiosity in Loan Repayment in Microfinance Institutions |
|
| Firm migration from SME Exchanges to Main Stock Exchanges: The role of Family Ownership and Management |
|
| Can Monitoring Curb Moral Hazard in Green Investments? Evidence from International Carbon Offset Program |
|
| Organizational Capital of Target Firms and Acquisition Outcomes |
|
| Discretionary Accruals and CFO Compensation |
|
| Sole Proprietorship: Identifying the Impact of Widowhood on Household Portfolio Allocation |
|
| Financial expertise at the top: a difference-in-differences analysis of earnings management choices |
|
| Analysing Economic and Topological Patterns in Mixer Activities: Insights from a Case Study |
|
| The Impact of Outward Foreign Direct Investment on ESG Disclosures. Evidence from an emerging economy. |
|
| Adoption of environmental practices and firm?s access to bank credit |
|
| Do ESG Scores Shape Earnings News? Evidence from European Equity Markets |
|
| The Conditional Role of Credit Risk Opacity in the Risk-Return Trade-off | |
| Too Much of a Good Thing? Board Diversity and Corporate Default Risk: Evidence from the Eurozone |
|
| Weather Forecast Uncertainty and Intraday Electricity Price Tail Events |
|
| Do we need a new Taylor rule? A new understanding of the effect of interest on money supply, inflation and economic growth |
|
| REBOUND: REsilience-Based OUtput Allocation for Nonlinear Drawdowns |
|
| Allocative Efficiency in the Life Insurance Market in India: Studying Concentration and Market Dominance |
|
| From Complexity to Performance: Firm-Level Evidence in the NUAM Integrated Market |
|
| Spillover Dynamics in Returns and Sentiment: Evidence from Metal Markets |
|
| Corporate Social Responsibility, Firm Value, and Climate Regulation: Evidence from the Paris Agreement |
|
| Gender/Sex Differences in the Impact of Salient Financial Cues on Investment Decisions |
|
| Balancing Incentives and Accountability: Ethical Dimensions of ESOPs in Banking Governance |
|
| The Impact of Mandatory Carbon Disclosure on Corporate Investment: Evidence from a Quasi-natural Experiment |
|
| The Term Structure of Analysts' Forecasts and Uncertainty |
|
| Studying Behavioral Difference between the Internal and External Arms of the Ethical Structure of Corporate Governance in India |
|
| Does Biodiversity Risk Affect Financial Risk? Evidence from U.S. Firms. |
|
| Gender Diversity and Consensus Forecasts |
|
| Financing Early American Industry: NYSE New Stock Listings, 1897 - 1914 |
|
| Round-Ups, Consumers' Saving Rates and Stock Market Participation: Evidence from FinTech |
|
| Is Accounting Information Quality Priced in the Managerial Labor Market? |
|
| Corporate Governance as a Structural Determinant of Financial Distress |
|
| On Firms? Ability and Willingness to Optimize Working Capital: Evidence from India |
|
| Coalition Incentives And Representation Under Secret Multiname Ballots |
|
| Does debt boost sales in the Tourism Industry: A Hierarchical Bayesian Semi-parametric Analysis of Indian Firms |
|
| Digital Intensity and ESG Performance as Determinants of Bank Market Valuation: Evidence from Europe |
|
| Price pressure around the ex-dividend date: Evidence from a dividend shortage |
|
| Algorithmic Trading and Trade Size Puzzle |
|
| What Drives the Global Diffusion of Digital Finance? Socioeconomic and Demographic Determinants |
|
| Board gender diversity and the role of family ties in greenwashing |
|
| Bank Shareholder Equity between Prudential Regulation and Financial Management |
|
| The Relationship Between Cash Conversion Cycle and Investor Expectations |
|
| Entrepreneurs? financing choice between Business Angels and Venture Capital firms: A trade-off between urgency and costs" |
|
| Corporate Venture Capital and CEO Risk Incentives: Evidence from Venture Capital-Backed Initial Public Offerings |
|
| Spillovers from Cross-border M&As: Sustainability Evidence from India and China |
|
| Toward a Theory of Intermediary Asset Pricing |
|
| Effects of Information Overload on Financial Markets: How Much Is Too Much? |
|
| Assessing Credit Hedge Fund Managers: Performance and Risk Drivers |
|
| ESG Compatibility And Risk Transformation In Mergers And Acquisitions |
|
| Virtue-Mediated Stewardship Amid Moral Opacity: Ethical Motives in Corporate Cash Holdings Under Climate Policy Uncertainty |
|
| AI Investment and Female Participation in Innovation Activities |
|
| Mandatory climate disclosure and firm performance: Evidence from New Zealand |
|
| Determinants of Reverse Jeonse Risk in the Korean Housing Market: An Explainable AI Approach |
|
| Digital Innovation Amplifies Sustainability: Intangible Asset Synergies and Firm Performance |
|
| Does Prospect Theory Explain Risk Attitudes of Firms?? |
|
| Stewardship or Symbolism? Institutional Investors and ESG Practices |
|
| Does green portfolio perform better than brown and traditional portfolios? A mean-CVaR optimization technique |
|
| Tolerance for Failure: Evidence from Patent Examination |
|
| Can Large Language Models Predict IPO First-Day Returns? Extracting Predictive Signals from Prospectuses |
|
| Global Value and Momentum: A Balancing Act |
|
| The Effect Of Natural Disasters On Sovereign Credit Risk: The Role Of Environmental Performance |
|
| Sustainability and Relational Proximity in Real Estate Crowdfunding |
|
| Can Board Gender Diversity Resolve ESG Rating Disagreement |
|
| The Economics of Scientific Misconduct |
|
| When Context Speaks Louder than Character: Managerial Attitudes in Earnings Calls |
|
| Business Groups and CEO Pay Ratio |
|
| Informed Trading and ESG Ratings Disagreements-Evidence from NYSE |
|
| Reframing Emerging Risks: An Actor Network Theory Risk Governance Approach in Cybercrime and Digital Assets. |
|
| Information Leakages in the Green Bond Market |
|
| Internet finance defaults and corporate digital financial development: Evidence from the P2P lending crisis in China |
|
| The Green Bond Premium: Evidence from a Multiverse Analysis |
|
| Knowledge-managed Portfolio Construction for Carbon Pricing: A Scoping Literature Review |
|
| Evaluation of Persistent and Transient Behavior of Herding in the Stock Markets of G-20 Countries |
|
| The Impact of Corporate Governance on Corporate Performance ? A Study of Technological Companies on the FTSE 250 London Stock Exchange |
|
| Optimal Timing of Venture Capital-Backed IPO |
|
| Assessing the Efficiency of Tax Systems to Achieve Sustainable Development Goal 3 (SDG 3) in European countries |
|
| Values and ESG-Based Compensation: Who We Are and How We're Paid |
|
| Currency Option Implied Volatility Networks and Geopolitical Risk |
|
| Distorted Implied Volatilities and Borrowing Rates in Version 6.0 of OptionMetrics' IvyDB US Database |
|
| The Transmission of Federal Credit Through Financial Intermediaries: Evidence from CDFIs |
|
| Inflation and Interest Dilemma: Fresh Evidence from Russian Regions |
|
| Does Green Finance Reduce Climate Vulnerability? Nonlinear Evidence and the Moderating role of Generative AI in the G7 |
|
| ESG, Information Asymmetry and Price Non-synchronicity |
|
| Monetary Policy Shocks and Investment-Price Sensitivity |
|
| Nonlinear Effects of Economic Scale on Exchange Rate Stability in Emerging Markets |
|
| Interest Rate Independence amid China's Bond Market Liberalization |
|
| Effect of Pre-IPO Litigation on IPO Underpricing |
|
| Analyzing Output Gap, Inflation and Interest Rates within a Structural VAR Paradigm: An Emerging Market?s Perspective |
|
| Multiscale Tail-Risk Connectedness between Carbon, Clean Energy and Agriculture Evidence from Maximal Overlap Discrete Wavelet Transform and Extreme Value Theory |
|
| On board composition and governance: does diversity improve the firm?s performance? Evidence from COVID-19 impact in Italy. |
|
| Do Managers Strategically Time Investor Mood? --Evidence of Releasing Bad News on Sunny Days |
|
| From Compliance to Transformation: Analysing the Firms' Sustainability Behaviour |
|
| The Importance of Tax Reduction in the Development of Heavy and Chemical Industries in South Korea (1973?1979) ? Conclusions for Contemporary Industrial Policy |
|
| How Do Heavily Polluting Firms Achieve Green Innovation? A Dynamic Qualitative Comparative Analysis from China |
|
| Liquidity without Scale: The Equilibrium Limits of Deterministic Liquidity Provision |
|
| The Government-Led Credit Cycle in China?s LGFV Bonds and the Real Effects |
|
| SFDR Article 9 Under the Microscope: ESG-PAI Separability |
|
| Prior Lending Relationships and the Effectiveness of Commitments in Sustainability-Linked Loans |
|
| Interdisciplinary approaches to disinformation: theological insights into accountability and stewardship in the context of greenwashing |
|
| Riding an S-Shaped Curve: Dynamic Impact of ESG Performance on Bank Profitability and Value Creation |
|
| Systemic Risk Spillovers In Turkiye And Major Trading Partners: Evidence From Tvp-Var Connectedness And Pairwise Net Directional Spillovers |
|
| Institutional Transformation, Information Shocks, and Tail Risk Mitigation: The Role of ESG Ratings in China?s Retail-Dominated Market |
|
| IPO Grading, Investor Confidence and AI: Empirical Evidence from an Emerging Market |
|
| Control-Ownership Wedges and Firm Value: Life-cycle and Regional Evidence from Europe and North America |
|
| Does capital-based macroprudential policy affect mortgage lending? Evidence from Loan-Level Data |
|
| Carbon exposure and stock returns: Evidence from emission allowance prices |
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| Call Protection, Financial Flexibility, and Debt Maturity Decisions |
|
| The Impact of Trade Policy Uncertainty on Monetary Policy Stance in the EME |
|
| Value Creation Duality in Portuguese Street Retail: Operational Efficiency vs. Financial Leverage |
|
| Beyond the Buffer: Family Firm Resilience in BRICS Countries During and After COVID-19 |
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| CSR Strategies and Firm Performance in the Iberian Peninsula: Implications for Sustainable Development |
|
| Global Production Fragmentation and Capital-Market Divergence |
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| Building Resilient Clean Energy Systems under Uncertainty: Strategic Insights from a Comprehensive Moment Analysis |
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| Retail Trading Under the Finfluence |
|
| Pulse of the Cryptomarkets: Revisiting Systematic and Idiosyncratic Risks through High-Frequency Connectedness |
|
| Constructing Financing and Operating Risk Measures from Textual Risk Disclosures |
|
| Do Optimized Commodity Portfolios Outperform Market Indices? Evidence from Commodity Connectedness and Multivariate Portfolio Performance |
|
| Tax Avoidance and Environmental Performance: The Moderating Role of Analyst Coverage |
|
| Tail Risk Spillovers Between Cryptocurrency and Traditional Financial Markets: A Quantile VAR Approach |
|
| From Climate Disaster to Discipline: Bank Monitoring and Climate Disaster Covenants |
|
| Does Risk Aversion Promote Sustainability? Evidence from Share Pledging |
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| Portfolio Construction Models for Downside Protection |
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| When Biases Collide: The counterbalancing Effects of Overconfidence and Present Bias on Debt Behavior |
|
| Managerial Discretion in Tax and Financial Reporting: Evidence from India |
|
| Portfolio Flows and the Risk?Return Relationship |
|
| Decoding Market Efficiency and Long-Range Dependencies in Global Asset Classes: Insights from a Rolling Estimation Framework |
|
| The Bank - Private Equity Nexus: Evidence from Quantile Causality |
|
| Dynamic Debt Choice of Infrastructure Finance: Loans, Bonds, and the Project Lifecycle |
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| Price Discovery Overnight: Evidence from Pre- and After-Market Trading |
|
| Financial Convergence Through Technology: The Case of OIC Countries |
|
| ENVIRONMENTAL SUSTAINABILITY, TRADE OPENNESS AND EXPORT PROMOTION IN SUB-SAHARAN AFRICA |
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| National Financial Literacy Strategies in the Age of Digital Finance |
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| Will Human Creatives Survive Generative AI Shocks? |
|
| Endogenous Limits to Leverage in Frictionless General Equilibrium |
|
| Natural Gas Storage, Rolling Intrinsic Valuation, Deep Reinforcement Learning. |
|
| The Funding Cost Advantage of National Development Banks |
|
| Retail Order Flow and the Internalization Decision |
|
| Climate Risks in Insurers' Sovereign Bond Portfolios: Advanced Stochastic Analysis and Key Determinants |
|
| Beta?s Expected Returns and Return on Equity: An Approach to the S&P 500 |
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| Getting more for less by widening your spreads |
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| Fresh or Stale? The Impact of Mispricing Signal Variability on Return Predictability |
|
| The Welfare Implication of Information Disclosure Frequency |
|
| Corporate tax and foreign direct investment in Viet Nam |
|
| When Can Positive Return Autocorrelation Arise in Rational Expectations Models? |
|
| Anatomy of Price Jumps in EU Carbon Markets: High-Frequency Evidence from Spot and Futures during Macroeconomic, Regulatory and Geopolitical Shocks, 2021-2025 |
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| Corporate Innovation, Macroeconomic Risk, and Stock Returns |
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| Customer Pressure and Sustainability Assurance: A Supply Chain Risk Management Perspective |
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| Sustainability reporting and performance of Indian banks |
|
| Rival Deterrence under Uncertainty and Fixed & Variable Investment Costs |
|
| In it for the long run: Health capital and executive contracting |
|
| From Red to Blue: The Long-Run Inversion of Political Cycles and Stock Market Returns Over 153 Years |
|
| External Governance and Executive-Employee Compensation Gap: Evidence from an Emerging Market |
|
| The Pricing of AM- and PM-Settled Options |
|
| Investor Attention and Volatility Spillover: Evidence from Sustainability and Conventional Indices |
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| Foreign Import Competition and Process Innovation |
|
| Improving the Performance of Volatility-Managed Portfolios |
|
| Decoupling Momentum in Cryptocurrency Markets: Underreaction to Residuals and Overreaction to Information Discreteness |
|
| Examining ESG and Corporate Investment Through the Lens of Industry Competition |
|
| How significant are the short squeezes? Evidence from the interrelation between stock and option markets |
|
| International Diversification, Reallocation, and the Labor Share |
|
| ESG Controversies and Sustainability-linked Remuneration |
|
| Corporate Venture Capital Fintech Investing |
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| Diagnosing the Role of Board Configuration and the Committees on Firm Performance- A resource based perspective. |
|
| (In)Appropriate Significance Levels |
|
| Time-Varying Subjective Bad Regime Risk |
|
| The impact of Peer-to-Peer Lending on Banks? performance and lending growth: An Analysis of Pre- and Post COVID-19 pandemic. |
|
| Impact of Socio Demographic Variables on LIC Microinsurance Adoption in Rural Regions |
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| Fertility Pressure, Human Capital, and Corporate Innovation |
|
| ESG Rating, Sectorial Differences, and its Implications for Sustainability Reporting: Evidence from India?s Mandatory BRSR regime |
|
| Cash, Control, and Diversity: Exploring the Interplay in Emerging Markets: Evidence from the Indian Corporate Sector |
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| The Governance Sustainability Nexus: The Moderating Effect of Board Gender Diversity in Malaysian Public Firms |
|
| Beyond Frequency: Measuring AI Disclosure Quality in Banking |
|
| Effect of Trump?s ?Liberation Day? Announcement on Aviation and Hotels: An Event Study Analysis |
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| Pension Funding: the Question of Risk Sharing |
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| Venture Capital Backing and ESG Disclosure in Private Firms |
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| A model of monopolistic competition |
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| Share Pledging Regulation And The Mitigation Of Agency Conflict: Evidence From India |
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| Young owners in family firms |
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| Shareholder Litigation and Corporate Default Risk |
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| Female Socialization and Meeting or Beating Analyst Earnings Forecasts |
|
| Cyber Fraud, Market Risk, and AI Readiness: A Risk-Based Framework for Banking Resilience |
|
| M&A Threats and Bank Complexity: The Role of Language with Future Tense Marking |
|
| The Impact of the ACE Tax System on Corporate Investment: Evidence from a Small Economy |
|
| Financial Intermediaries and the Circuits of Criminal Money - An Institutionalist Approach to Money Laundering |
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| Business Accelerators and Venture Performance |
|
| When Simple Beats Smart: Bank Equity Risk, Tail Co-Crashes, and the Limits of Deep Learning Across Asian Financial Systems |
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| The Most Valuable Player in the Stock Market |
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| Dividend Futures, Long-End Identification, and the Equity Valuation Tail |
|
| Climate Change Risks, ESG Disclosure, and Disinvestment: Evidence from Cross-shareholdings |
|
| Does Green Accounting Restrain or Redirect Earnings Management? Evidence from Dynamic Panel and Survival Analyses |
|
| The Role Of Female Cfos In Corporate And Green Innovation: Evidence From Europe |
|
| Correcting Biases in Corporate Bond Pricing Models: Risk Perception, Mispricing, and Arbitrage |
|
| Estimating Crypto Market Beta via Machine Learning | |
| Carbon Taxation, Sovereign Risk, and Green Investment: Evidence from Emerging and Frontier Economies |
|
| Fear-Conditioned Factor Pricing: The Variance Premium and the Cross-Section of Equity Returns |
|
| Nonlinear Dynamics of Tail Risk and Herding Across Multiple Time Horizons: Evidence from the European Energy Equity Markets |
|
| Can Cash Holding Policy be Socially Trusted? |
|
| Early Warning Systems for Financial Stability: A PRISMA-Guided Synthesis from Econometrics to Deep Learning |
|
| Palm SukukChain Indonesia: Blockchain-Enabled Islamic Finance for Sustainable Palm Oil |
|
| Risk and Reward of Crypto Portfolios: A Comparative Assessment of Selection Approaches |
|
| Foreign Bank Ownership and Lending Dynamics in Post-Transition Economies |
|
| Effects of Trade Uncertainty on Banking Groups |
|
| Climate Change Risk in Banking: A Risk Management Framework |
|
| Social Media Co-Attention and Investment Co-Bubbles |
|
| Digital Payment And Economic Mobility- A Case of India?s Unified Payments Interface |
|
| Tasks of the central bank, its profits and money creation |
|
| An Excessive-Demand Measure Outperforms Other Demand Proxies in Explaining Lab Asset-Market Price Changes |
|
| Dynamic Connectedness Between AI Tokens, Renewable Energy Tokens And Clean Energy Tokens: Evidence From TVP-VAR and QVAR-Based Quantile Connectedness |
|
| Risk Premiums in the Cryptocurrency Market |
|
| Does Social Factor Matter in Financial Market? |
|
| Climate Risks and Firm Value |
|
| Interorganizational Influence in Corporate ESG Rating Divergence |
|
| Board Gender Diversity and Bank Profitability: The role of Culture and Quotas during Crisis |
|
| ESG Value or Fee Drag: Evidence from International Mutual Funds |
|
| Weathering the Threshold: Agricultural Drought, Capital Erosion, and Forced Exits from Simplified Bank Regulation |
|
| From Public Office to the Boardroom: The Performance Effects of Former Bureaucrats |
|
| A Direct Approach to Testing Option Theorie |
|
| Investment Intensity and Competitive Structure in Professional Football: Multivariate Evidence from the Italian Serie A (2024?2025). |
|
| CHATBOTS IN FINANCIAL SERVICES: USE CASES AND COMPLIANCE TO AI ACT |
|
| Rethinking Market Concentration: A Normalized HHI Framework |
|
| Pricing Sustainability or Pricing Illiquidity? Evidence from ESG Index Futures |
|
| Common Institutional Ownership and Distance to Default |
|
| Upstream Intangible Investment and Trade Credit Risk |
|
| Geopolitical Risk, Economic Policy Uncertainty, and Corporate Investment: Evidence from the Renewable Energy Industry |
|
| Does financial literacy interventions really help in increasing the Financial Literacy? Evidence from Indian Undergraduate Students using Propensity Matching Score |
|
| Target Financial Constraints and Earnout Contracts |
|
| Size and Structure of Local Credit Systems for Firms in Italy |
|
| Past Exposure, Future Innovation: \\ CEO Board Experience and AI Innovation |
|
| Mandatory Revenue Disaggregation and Voluntary Management Sales Forecasts: Evidence from ASC 606 |
|
| Green Gains to Global Strains: Evidence of ESG Spillovers through Dynamic Interconnectedness across Crises |
|
| Beyond Static Risk: A Dynamic Approach to Investor Risk Aversion in Automated Portfolios |
|
| Central bank digital currency and its impact on the financial stability of banks: empirical evidence from an emerging nation. |
|
| Dynamic Connectedness among ESG Indices: A Quantile Connectedness Approach |
|
| Semiconductor Innovation, Durables Consumption, and Cross Section of Stock Returns |
|
| Wealth, Income, and Financial Resilience: Evidence on Financial Health in Germany |
|
| Virtually no change ? impact of virtual meeting formats on shareholder attendance |
|
| Beyond Box-Ticking: Readability, Compliance, and ESG Disclosure Quality in the Dubai Financial Markets |
|
| Let them ?fake it until they make it?: half-truth disclosure, signaling and the unintended drawback of mandatory certification |
|
| An empirical study on social bonds |
|
| Financial Sanctions through the Lens of Economics |
|
| Megatrend Hype or Risk Management? Agency Behavior in Thematic Funds |
|
| Optimizing Household Portfolios with Securitized Real Estate: Insights from a Lifecycle Model |
|
| Ring-fencing and heterogeneity of credit distribution |
|
| Dividend Futures and Rational Bubbles |
|
| Corporate Digital Adaptation and Competitiveness in the European Union? Cabi Index as a New Indicator of Digital Development |
|
| Global Signals: Central Bank Communications and Sovereign Risk Premia |
|
| Historical calibration of SVJD models with deep learning |
|
| Determinants of just-in-time liquidity provision in Uniswap v3 |
|
| Expertise on Boards and the Market for Directors with Acquisition Experience |
|
| DEI Policies Under Political Pressure: Investor Responses to U.S. Election Uncertainty and Executive Orders |
|
| Beyond Borders: The Impact of Mandatory Reciprocity in Capital Regulation on Cross-border Lending | |
| Small Talks, Big Moves: ECB Leader Voice and Financial Markets |
|
| Structuring Factors For Monitoring Risk Management In A Public Logistics Division |
|
| The impact of heterogeneous unconventional monetary policies on the expectations of market crashes |
|
| Theory of corporate venture capital investing |
|
| Disciplining Digital Risk: Evidence from Cyber Stress Tests |
|
| CEO Gender and Long-Horizon Stock Returns |
|
| Fair Value Measurement and Earnings Management: Empirical Evidence from UK Non Financial Firms |
|
| Modeling Trade Durations under Temporal Granularity Effects in Forex Markets |
|
| Intellectual Progression and Theoretical Framework of Financial Services Marketing Research: A Bibliometric Systematic Review of IJBM and JFSM (2009-2026) |
|
| Corporate Workforce Diversity Engagement: Do Financial Analysts Matter? |
|
| Financial Technology, Financial inclusion and Bank Liquidity Mismatch index: Evidence from an Oligopolistic Market Structure |
|
| ESG Alignment or ESG Saturation? Evidence from Cross-Border Equity Holdings |
|
| How German Codetermination Shapes Factional Faultlines and Board Effectiveness |
|
| Interim Trading and the Performance Evaluation of Equity Mutual Funds |
|
| Digital and traditional financial literacy and participation in cryptocurrencies: evidence from Portugal |
|
| Advisory for Circular Investments using Natural Language Processing |
|
| Corporate Response to Shifts in Judicial Ideology |
|
| Audit Mechanisms and the Timeliness of Loss Recognition |
|
| The Effects of Equity Blockholders and ESG Performance on Voluntary Delisting: Evidence from the US Market |
|
| Overpricing in Seasoned Equity Offerings |
|
| Indirect Costs and Benefits of CEO-Directors |
|
| Risk-neutral moments and performance improvement via machine learning |
|
| What Drives the Quality Factor? Evaluating Risk and Behavioral Explanations |
|
| Push to Be Green: The Effect of Bank Sustainable Finance Through the Lending Relationship |
|
| The Implications of Concurrent Underwriting and Lending for Bond Underpricing |
|
| Religiosity, ingroup favoritism, risk aversion, and corporate decisions |
|
| Public Takeover Resistance: Board Discretion, Preexisting Antitakeover Provisions, and Initial Bid Premium |
|
| Causes of Air Pollution: A Multiple Regrssions Analysis |
|
| Impact of Economic Policy Uncertainty on Venture Capital: Evidence from China |
|
| US-China Tension and Corporate Innovation |
|
| Exchange Rate Risk and High Frequency Financial Data |
|
| Political Connections and Earnings Volatility: Does Short-Term Debt Enhance Financial Discipline? |
|
| Box-ticking for a better ESG score? |
|
| Are Public Sector Banks Profitable? |
|
| Do Platform Choices Matter? A Comparative Analysis of Kickstarter and Indiegogo in Financing SDG Projects in Africa |
|
| Does Analyst Forecast Dispersion Predict Realised Volatility Beyond Implied Volatility? |
|
| Does Managerial Ability Matter: Evidence from Emerging Market |
|
| Market Dynamics of Share Buybacks During COVID-19: Evidence from India |
|
| Do Auditors Price Customer Protection Disclosure Mandates? Evidence From Data Breach Disclosure Laws |
|
| Private Credit Gaps: A Driver Of Banking Instability in Brazil? | |
| Impact of Shorter Settlement Cycle on Liquidity in the SME Listed Companies |
|
| Going Public without a Gatekeeper: Firm Characteristics and Performance of Direct Listings in the U.S. |
|
| Adaptive Market Inefficiency in ESG-Focused Indices: Evidence from India |
|
| Do Sustainability-Linked Loans Reduce Corporate Carbon Emissions? A Staggered Difference-in-Difference Analysis |
|
| When UGC Meets Balance Sheets |
|
| Unleashing Investment and Gross Domestic Product Nexus: Evidence from Frontier Market |
|
| (In-)Visible Risks of Blockchain-Based Financing for Capital Allocation Efficiency |
|
| Fintech And Financial Inclusion: Micro-Level Evidence On Access, Usage, And Demographic Disparities Across 160 Countries |
|
| Monetary Policy Shocks and Asset Prices Across Financial Conditions |
|
| Location, Location, Location? with Correlation: Nature?s Gift to Wind Energy |
|
| CEO Characteristics, Corporate Governance and Analysis of Sustainability Disclosure Sentiment |
|
| Pricing Due Diligence: Market Reactions to the EU Corporate Sustainability Due Diligence Directive |
|
| Valuation Dispersion and Sectoral Concentration: Nonlinear Effects on Implied Volatility (2015?2024) |
|
| Mapping Research on Digital Technologies in ESG Compliance - A Bibliometric and Systematic Review |
|
| Spatial Heterogeneity Analysis of Asset Price Bubbles? A Case Study of China's Real Estate Market |
|
| Hiding in the Herd? Political Uncertainty and Strategic Risk Attribution in Disclosures |
|
| SFDR Article 9 Under the Microscope: ESG-PAI Separability |
|
| The liability of rurality and the effectiveness of R&D grants: Evidence from firms? constraints to innovation |
|
| Stakeholder Engagement and Materiality Identification in the Sustainability Reports of the Food and Retail Industry |
|
| Securitization, Financial Development and Economic Growth |
|
| Assessing the Impact of Digital Finance on the Synergy between Environmental Quality and Economic Sustainability: Evidence from a Panel Data Model with Moderating Effect |
|
| ESG Performance Spillovers from Suppliers to Customers: Evidence from Global Supply Chains |
|
| Female Independence and Green Innovation: Evidence from Separated Monitoring |
|
| Multiscale Tail-Risk Connectedness between Carbon, Clean Energy and Agriculture: Evidence from Maximal Overlap Discrete Wavelet Transform and Extreme Value Theory |
|
| Integrating Artificial Intelligence in Corporate Finance Course |
|
| Stochastic Examination of Financial Inclusion and Bank Stability: Perspectives from Egyptian Banks |
|
| No Country for Old Loans The Rise in Credit Risk |
|
| The Employee Well-Being of Private-Equity-backed Firms on Social Media: Doing Well by Doing Good and Talking about it? |
|
| Peer Effects in Bank Lending: Evidence from Bank?Firm and Bank?Bank Channels |
|
| Artificial Intelligence Innovation, Firm Performance, and Market Perception: Does Sustainability Matter? |
|
| ChatGPT, Data Breaches, and Market Reactions |
|
| Do green mergers and acquisitions foster green innovation? Evidence on ownership structure and capability constraints |
|
| Energy Affordability: Role of Financial Inclusion and Household Behaviour in India |
|
| Size Premium: A meta analysis |
|
| Improving the Measurement of News Sentiment Evidence from Cryptocurrency Market |
|
| Exploring Return and Volatility Spillovers between Innovative Technologies and Green Finance: A Quantile Perspective |
|
| The Impact of Enforcement Actions on the Value of Acquiring Banks | |
| Sustainability Investments and Risks: Financial Performance and Funding Cost Effects in Climate-Polluting Sectors |
|
| Do Peer Gender Pay Gaps Depress Productivity? Interlocked Directors Proximity to Firm Headquarters |
|
| Funds of ETFs versus Single ETFs: An Empirical Analysis of Risk and Performance |
|
| Weathering the Markets: Do Climate Indices Improve Machine Learning Forecasts of US Grain Futures |
|
| A study of the introduction of special Hungarian government securities: The role of financial education and real-world knowledge |
|
| Mutual Governance, Financialisation, and the Limits of Takeover Discipline |
|
| Housing Prices and Macroeconomic Drivers in India |
|
| Price Policy Instruments and the Export Performance of Nigeria´s Cashew Sector |
|
| Nudging Financial Decisions: Experimental Evidence in Digital Environments |
|
| Physical Climate Risk and Systemic Risk in the Insurance Sector: A Spatio-Temporal Graph Neural Network Approach |
|
| Rethinking Relationship Banking in the Digital Era. How Psychological Capital and Attachment shape Customer Loyalty in Italy? |
|
| Audit Quality and the Common Determinants of Leverage in Latin America: Evidence from the Big ?N? Effect |
|
| Decrypting Crypto Investment Decisions: A Socio-Technical Perspective Using SEM?ANN Integration |
|
| Two cheers and a caveat: Inequality, the architect of India?s services-led growth |
|
| SHARE REPURCHASES AS SIGNALS: THE INTERPLAY OF UNDERVALUATION, INFORMATION ASYMMETRY, AND CORPORATE GOVERNANCE |
|
| Production-Based Exchange Rates: The q-Theory of Multinationals |
|
| Multiple Directorship, Credit Rating and Effect of Regulation ? Evidence from India |
|
| OPERATING RISK AND FINANCING WORKING CAPITAL STRATEGIES IN SMEs |
|
| Climate Risk and Banking Stability: The Role of Vulnerability and Readiness |
|
| Absolute Market Unfairness - Measuring Market Inefficiency in Cryptocurrency Markets |
|
| Internal Emission Markets: Emission Management by Multi-Plant Firms |
|
| Tribal Identity and Investor Behavior |
|
| Financial literacy and household asset ownership: Evidence from South Africa |
|
| CEO Labour Mobility and Firm Risk: An Analysis of Non-Compete Agreement Enforceability in the US |
|
| Can Auditors Legitimise Sustainability? Insights from the Irish Auditing Profession on the CSRD |
|
| Realized Semi-Beta: Performance in the Indian Stock Market |
|
| Retirement Savings Behavior in the Gig Economy |
|
| Innovation without Borders? DeFi Market Reactions around Regulatory and Sanction Events |
|
| Which Firms Get Acquired in Asia?s Key Economies? Machine Learning Evidence from Advanced and Emerging Markets |
|
| Employee representation and acquisitions |
|
| An examination of volatility measures for Indian commodity markets: Gold futures context |
|
| Crisis Driven ESG Spillovers: A Dynamic Connectedness Analysis Across Global Sustainable Indices |
|
| Learning a Return-Relevant Environmental Measure from Environmental Metrics and Disclosure |
|
| Bank life cycle and economic efficiency: Empirical evidence from the BRICS region |
|
| Institutional Quality and Macroeconomic Vulnerabilities in Currency Crisis Dynamics: Evidence from Fragile Emerging Markets |
|
| Digital Fact-Checking Tools for Financial Information Fraud Verification and Prevention |
|
| Minimum Holding Period as a Measure of Risk |
|
| Return and Volatility Connectedness among currency markets, oil and gold: Analyzing the BRICS countries using the QVAR approach |
|
| Startup Market Survivorship and Systemic Risk |
|
| Retail investors' preferences for holding low-priced stocks |
|
| Mutual funds and climate risks: An analysis of exposure and performance |
|
| Determinants of Corporate Cost of Debt: The Role of ECB's Green Monetary Policy |
|
| Innovation Culture as a Catalyst for Green Technology Adoption: Cross-country Evidence from Small and Medium Enterprises |
|
| Financializing Forests: Paradoxes of Governance in Institutional Forest Ownership |
|
| Pathways to Financial Planning Careers: Educational Background and Earnings Returns Among Personal Financial Advisors |
|
| CAUSES Of AIR POLLUTION: A MULTIPLE REGRESSION ANALYSIS |
|
| Sustainability Reporting Policies, Regional Legal Enforcement and Stock Price Crash Risk |
|
| The impact of open finance adoption on credit card uptake |
|
| Financial Constraints, Agency Problems and Cash Holding: The Role of ESG Performance in the Real Estate Sector |
|
| Financial Development with ESG dimensions to achieve Sustainability - An Empirical evidence from cross-country analysis |
|
| Economics and Finance Experts: How Confidence Shapes Opinion Extremity |
|