Paper | Authors |
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The Chairman of the Board ? Leader or Lame Duck? An Empirical Analysis of the Importance of the Chairman in US Firms |
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Effect of Money in Judicial Elections on Factor Productivity |
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The Double-Edged Sword of the 2020 European Short-Selling Bans |
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Who is elected to the board of directors and why? |
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The Fabric of Capital in Private Equity: How Network Affects LP Investments and Returns |
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Roll-day jump error in futures price measures |
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What Matters in Corporate Governance to the Bottom Line? |
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The Effects of ESG Ratings on Firms' Financial Decisions |
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Behavioral Finance through the Lens of Evolution: Survival of the Fittest for Portfolio Rules |
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Market Instability from Option Flows |
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Dividend changes and stock market returns: the impact of Twitter investor sentiment |
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Living up to Analyst Expectations: A Quantitative Analysis of Corporate Short-Termism |
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Information in (and not in) interest rates surveys |
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Promoting Digitalization through Information Dissemination |
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Are Investors Better Off Doing Nothing During Exchange-Traded Fund Closures? |
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Sustainable Research Investors |
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Cultural Bonds |
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Digitally-Empowered Revenue-Based Financing |
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Do what Exchanges do Matter? Stock Exchange ESG Initiatives and Impact on Firm Sustainability |
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Family firms, acquisitions and divestments, and long-term stock market performance: The moderating effect of prior experience |
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Does Market Transparency Keep the Bear Asleep? Implications of Short Selling Disclosure on the Lending Market and Corporate Behaviors |
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Predicting Financial Crises: The Role of Asset Prices |
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American options with acceleration clauses |
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The Impact of Corporate Social Responsibility (CSR) on Financial Performance and Distress Risk in a Highly Mobile Workforce |
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Communication culture and voluntary disclosure around the world |
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Greening the Economy: How Public-Guaranteed Loans Influence Firm-Level Resource Allocation |
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Does ambiguity drive the disposition effect? |
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Towards a theory of skewness trading |
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The impact of the dominant sustainable investing strategy on the environment |
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Fed QE and bank lending behaviour: a heterogeneity analysis of asset purchases |
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How Precious are they? Re-examining the safe-haven properties of precious metals under financial stress and equity market uncertainty using the novel NARDL approach. |
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UNDERSTANDING FOREIGN AID'S EFFECTS ON CORPORATE FINANCING |
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Applying event analysis to selected markets? reaction to the Russian invasion on Ukraine |
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Natural disasters and lending responses of European banks |
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Ripple Effect of External Shocks on Sustainability in Supply Chains |
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The Stock-Bond Correlation: A Tale of Two Days |
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The CDS Market and Earnings Call Sentiment |
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Gender difference in pandemic: Evidence from the mutual fund market in China |
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Boiling Banks - How Heat Harms Bank Performance |
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State-owned banks and public credit guarantees |
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The Impacts of Enforcement Actions on Corporate Reporting Policy |
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The 52-Week High and M&A Deals: International Evidence |
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Short selling and liquidity commonality |
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Convergence Has Already Arrived? Examining the Impact of IFRS 16 Issuance on Leasing Decisions among Local-GAAP Firms in Japan |
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On the transmission of credit and liquidity risks: A network analysis for EMU sovereign debt markets |
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Facial expression sentiment in videos and stock |
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Generalized Autoregressive Conditional Betas: longitudinal feedback in multifactor asset pricing |
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Cryptocurrencies as a Vehicle for Capital Exodus: Evidence from the Russian-Ukrainian Crisis |
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Burn Now or Never? Climate Change Exposure and Investment of Fossil Fuel Firms |
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Green Innovation Capability and Financial Performance: Evidence from Japan |
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Is there a carbon pricing pattern in stock returns? |
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Do Managers Strategically Time Investor Mood? Evidence of Releasing Bad News on Sunny Days |
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Voluntary equity, project risk, and capital requirements |
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Cornerstone Investors |
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Turning Adversity into Action: Strengthening Board Sustainability Oversight in Response to ESG Incidents |
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Contracting Firm Pollution |
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Selection Neglect and the Cross-Section of Wine Returns |
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Positive versus Negative ESG Portfolio Screening and Investors' Preferences |
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Has the Mexican Central Bank achieved transparency? |
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Incentivizing disaggregated segment disclosure |
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The fintech lending channel of monetary policy |
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Managing Ownership by Management |
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Deciphering CEO Attributes' Influence on ESG Disclosure Quality with Machine Learning Techniques |
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Risk-Corrected Probabilities of a Binary Event |
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Do Creditor Rights Affect Financial Contracts? Evidence from the Anti-Recharacterization Statute |
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Betting Against Momentum |
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Syndication Patters of Venture Capital Investments |
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Substitutes or complements: informal financial groups during the introduction of mobile money |
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Mutual Funds' Investment Horizon and Destabilizing Behavior |
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Myopic Loss Aversion and Relative Performance: An Experimental Study |
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The Perks of Market Timing in M&A |
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Trade Agreements and the Stock Market: the Case of the USMCA |
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Sorting scheme and monotonicity of the sensitivity of investment to cash flow |
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Are short-sellers lured by analysts? consensus? |
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The Effect of the Tax Cuts and Jobs Act on Payout Policies: The Role of Corporate Governance |
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The Non-Financial Spillovers of Financial Information Processing Costs: Evidence from the U.S. XBRL Mandate |
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Shareholder empowerment and insider trading profitability: Evidence from majority voting laws |
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Is Beta Busted? |
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Does mobile phone proficiency contribute to stock market participation? |
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Patents, Innovation, and Market Entry |
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Diminution of Malevolent Geometric Growth through Increased Variance |
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The Impact of COVID-19 on the Financial Performance of the Canadian Mining SMEs |
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Bank income smoothing, societal patriarchy and policy uncertainty |
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The Value of Control in Private Companies |
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US President and the Stock Market: The Good, the Bad and the Useless |
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Measuring the effect of foreign and domestic shocks: An evaluation over banks? strategic interactions in Mexico |
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Identifying gender disparities on the time to repay microfinance group loans: Evidence from Mexico |
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Evidence for Simultaneous Jumps in Bond and Stock Markets and a Model Estimated to Weekly Expiring Options |
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Factor Glut in Asset Pricing through a Modern Optimization Lens? |
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Public interest in resolution of small and medium-sized banks in the European Union |
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Does Monetary Policy Transparency Matter for Banking Stability? |
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Does party school education facilitate green innovation? Evidence from China. |
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The effects of membership expansion on credit union risk and returns |
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Dutch auction dynamics in non-fungible token (NFT) markets |
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Capital Flow Dynamics and Strategic Risk Management in Mutual Funds: Deciphering Managerial Decision-Making |
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Return Reversal of Latin American Industries |
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A primer on the Covid-19 effect on the volatility transmission of global financial markets |
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Does using energy as a currency resolve the economy-ecology conflict? - Evidence from newly electrified communities in Cambodia |
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Revisiting the Twin deficit Hypothesis among the Emerging Economies: Do Ricardian Equivalence Hypothesis Matter? |
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Is Bond Financing Disintermediated? The Role of Bank Trading Networks |
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Discrimination in Two-sided Matching Market: Experimental and Theoretical Evidence in Entrepreneurial Finance |
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The role of electricity price and energy generation from renewable sources in the Consumer Index Price: Econometric analysis from Latin American region |
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What do Dividend Changes Reveal? Evidence from an Emerging Market |
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The Dynamic Interdependence of Global Financial Markets: An Analysis through Dynamic Bayesian Networks |
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Creating value through the acquisition of strategic assets: Evidence from China |
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The implied volatility smirk, informed option trading, and the cross-section of stock returns |
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The Role of Foreign Investors and Local Agents in the Derivatives Market and their Impact on the Exchange Rate in Colombia: A Wavelet Analysis |
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Analyzing College Students? Perspectives on Environmental Sustainability through Decision Analytics |
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The Relevance of Monetary Policy Effectiveness on Inflation in the Presence of Exchange Rate Volatility: Evidence from Nigerian Economy |
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Financial Well-Being in the three biggest African economies: Do Savings and Consumption Patterns Matter? |
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What Incentives do Boards Provide with Inside Debt? The Evidence from Payout Policies |
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Blockholding, ownership horizon, and firms? ESG performance: Nordic evidence |
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Do Repurchases Cause Harm ? Evidence from Buybacks by Financially Distressed Firms |
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Is the Relationship Between Financial Technology Adoption and Bank Stability Monotonic? Evidence from African Economies |
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Firm-level weather exposure and investment efficiency |
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Assets, Investment Horizon and Inflation Hedging : A Wavelet Quantile Correlation Approach |
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A Comprehensive Analysis of the Decline in the Market-to-Book Ratio of European Banks |
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Innovative Pathways in Africa: Navigating the Relationship between Innovation and Insurance through Linear and Non-linear Lenses |
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The Fed Model |
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Pay-checks with a Purpose: Exploring the Link between CEO Compensation and Corporate Sustainability |
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Immigration Law Enforcement and Immigrant Homeownership |
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Financial Well-being among Spanish Households: The Role of Financial Literacy |
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Does the sinner take it all? A new approach to sin stocks |
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Solving open economy models with incomplete markets by perturbation |
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The impact of CSR expenditure on dividend policy and firm value: Examining the role of ownership as the intervening variable |
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Analyst network centrality, forecast accuracy, and persistent influence |
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Systemic Risk in U.S. FinTech firms: Measures and Determinants |
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Key factors of ESG exchange-traded funds in European countries. |
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Complexity and the Tax Code: A Textual Analysis |
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Employing DEA Approach for Analysing Banks? Financial Performance |
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Venture Capital Scarcity, Start-up Quality, and Returns Dispersion |
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The Corporate Payout Puzzle: About the Payout Policy between CSR and CSI |
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Corruption, Covid-19 Pandemic, and Time to Deal Completion in Cross-Border Mergers and Acquisitions (CBM&As): A Firm-level and Industry-level Analysis |
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Family Ownership and the Accrual Anomaly |
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The Role of Tax Cuts in Corporate Investment DecisionMaking: Evidence from the Tax Cuts and Jobs Act |
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Determinants of banking industry profitability using machine learning: evidence from the EU |
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Related Party Transactions in South Africa: Abusive or Efficient? |
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When Are Inside Directors Good for the Corporation? |
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Forming Banking Relationships: The Role of Hiring Bankers |
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Perspectives on Optimal Hierarchical Portfolio Selection |
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Liquidity Shock and Bank Risk |
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How Inclusive Financial Policies Affect Bank Lending? |
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The asymmetric effect of stokvel on banking sector liquidity: Evidence from a nonlinear ARDL approaches on banking sector liquidity |
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Study of tracking errors of ETFs and Index funds in Indian stock markets |
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Disagreement Exploitation and the Cross-Section of Hedge Funds Performance |
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Credibility of Bidder EPS Projections |
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Auditee Merger, Audit Fees, and the Market Dominance of Big Four Accounting Firms |
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Excess Volatility in Professional Stock Return Forecasts |
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Deeds speak louder than words ? Banks ESG responsibility and reputational damage in Poland |
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On the role of affiliated brokerage houses in disseminating private information around M&A deals |
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Exploring the Impact of Political Patronage Networks on Financial Stability: Lebanon's 2019 Economic Crisis |
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Invest as for Your Kids: Performance and Implications of Children?s Investment Accounts on Portfolios in Adulthood |
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Testing the q-theory under endogenous truncation |
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Determinants of Venture Investment in Emerging Markets |
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Do People Gamble or Invest in the Cryptocurrency Market |
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The Effects of a Money-Financed Fiscal Stimulus in a Small Open Economy with the FTPL |
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Equity Market and the Transmission Channels of Monetary Policy: Before and After the Zero Lower Bound |
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Alliance Management Capability, Knowledge Sharing, Technological Capabilities, and their Impact on Export Performance: The Role of Ambidexterity |
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Inflation and expected interest rates: Opposing forces in advanced financial markets? |
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Board Gender Diversity and Credit Rating: An Indian Evidence |
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RELATIVE EFFICIENCY OF BANKING ENTITIES IN COLOMBIA BETWEEN 2017 - 2019 FROM THE FINANCIAL INCLUSION POINT OF VIEW |
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An analysis of dynamic conditional correlation of commodity markets in the BRICS-plus countries |
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Local Corruption and ESG performance: A complex Relationship |
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Carbon data and cost of equity |
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Show me your hand: An examination of voting methods at annual general meetings |
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Readiness for cashlessness: The perspective of enterprises in Poland |
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An explanation of under-diversification puzzles through ambiguity tastes and beliefs |
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Expected Credit Risk and Expected Equity Return |
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Cash Flow Duration, Financial Constraints, and the Stock Market Sensitivity to Monetary Policy |
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How financially literate are necessity entrepreneurs? New evidence from an international survey |
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Do Varying Financial Constraints Affect Optimizing Working Capital? Evidence from India |
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Information Discovery in the Digital Age: Online Search Activity and Earnings Announcements |
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Climate and sovereign risk: the Latin American experience with ENSO events |
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Diverging Realities: Corruption's Unexpected Contributions to Credit Risk Reduction in Banking Crisis Systems of Selected Economies |
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SME Relationship Banking and Loan Contracting: Survey-based Evidence from China |
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The influence of firm characteristics, managerial power, and social capital on financial leverage in emerging market |
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Exploring the Link between Political Connections and Environmental Performance: Evidence from the Low-carbon City Program in China |
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Factors influencing hospital debt levels: the Portuguese case. |
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Corporate Cryptocurrency Disclosures and Story Telling: An Exploratory Study |
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Global Macro and Managed Futures Hedge Fund Strategies: Portfolio Differentiators? |
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The Impact of Labor Unions on Management Forecasts in Japan |
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Producing AI Innovation and Its Value Implications |
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Forex Market Forecasting using Artificial Intelligence and Modified Optimization Algorithm |
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Information preference in equity crowdfunding investment: the moderation of financial knowledge and digital agency |
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The Money Multiplier and Asset Returns |
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Shareholder Empowerment in a Free Contracting Environment |
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How did the Ukraine War shock affect Household Resilience in Europe? |
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Relationship Lending and Information Asymmetry: Evidence from the Interbank Money Market |
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Executive remuneration, corporate circular economy initiatives and corporate circular economy performance incentive: Evidence from industrialised European countries |
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A quantitative analysis of the impact of financial and digital literacy on saving, borrowing and risk management behaviours in South Africa. |
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What Determines the Loss Given Default in Sovereign Debt Crises |
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Income Disaster Model with Optimal Consumption |
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Work Ties Matter: The Implications of Interfund Comanager Connections for Mutual Fund Portfolios and Performance |
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What is beautiful is good Beauty premium of top female executives and credit ratings |
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The effect of fintech M&As on stock return in the context of macroeconomic environment |
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Which delivery model promotes sustainable financial performance in reaching poor communities? Evidence-based savings groups (SGs) |
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Data Breach Notification Laws and Cost of Debt |
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Fortifying Banking Cybersecurity: A Holistic Approach for Proactive Fraud Prevention and Mitigation |
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Christianity, female leadership, and performance of microfinance institutions |
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Trading as Gambling During Lockdown |
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Is Machine Learning Really Efficient in Detecting Corporate Fraud? |
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Dynamic analysis of the relationship between macroeconomic uncertainty and stock market prices: An empirical evidence using wavelet decomposition with TVP-VAR model |
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Bank efficiency, market concentration and the impact of COVID-19 pandemic: Evidence from a dual banking system |
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Creditor Rights and Firm`s Cost of Debt: Empirical Evidence from Indian Firms |
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The influence of intellectual capital and gender diversity on corporate performance: panel data evidence |
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Random Forest-based management of simple portfolios |
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A Comparison of Neural Networks and Bayesian Approaches for the Heston Model Estimation |
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Do Higher Civil Servant Salaries Limit Corruption? Evidence from Hong Kong |
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Pricing Efficiency in the Chilean Used Car Market: The Impact of New Car Price Changes |
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Algorithmic Trading and Extreme Price Movements |
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Into the Unknown ?Monitoring how European Digital Finance platforms adapt to the new European Crowdfunding Service Provider Regime (ECSP-R) |
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Marketplace Lending: A Resilient Alternative in the Face of Natural Disasters? |
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Curse and Blessing, The Effect of the Dividend Ban on Euro Area Bank Valuations and Syndicated Lending |
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The Risk-Mitigating Effect of MD&A Tone on Idiosyncratic Volatility |
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Transition to Sustainable Finance: Exploring the Nexus of Financial Technology (FinTech) on Financial Stability with the Moderating Role of Green Finance in BRI Countries Amid Pre-Post COVID-19 Effects |
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The Oyster is Your World: A Revised Look at International Diversification |
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Stock Price Crash Risk and the Managerial Rhetoric Mechanism: Evidence from R&D Disclosure in 10-K filings |
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Fire Sales: reality or perception of reality? |
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Building a successful ecosystem: art or a result achievable by following a framework? |
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Deposits market exclusion and the emergence of premium banks |
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Managerial Opportunism and Guidance Transparency |
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'S' as Social: Global Credit Market Responses to Corporate Social Irresponsibility Incidents |
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Are Bitcoin Futures Options a Cheaper Way to Play the Bitcoin Lottery? |
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Does the Volatility Spillover of Green Bonds matter for Emerging Capital Markets? |
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Risk Averse Effort Averse Auditor: Which one has higher Audit Quality? |
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Firm-level EPU exposure and R&D investments |
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Comparing Automated Valuation Models for Real Estate Assessment in the Santiago Metropolitan Region: A Study on Machine Learning Algorithms and Hedonic Pricing with Spatial Adjustments |
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Are firms favored by analysts more popular to acquirers? Evidence from China |
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Income Inequality and Monetary Policy Frameworks |
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Passive and proactive motivations of cash holdings |
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Can market information predict the credit risk of unlisted MSMEs? Empirical evidence from a novel matching procedure |
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Patent and Latent Innovation |
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Measurement of firm-level greenwashing in public European firms |
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Decoy effects and loss aversion |
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Institutional Trades through Affiliated Brokers |
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Uncovering the OECD housing market integration process: a dynamic network approach |
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Eurozone budgetary rules in post-pandemic times |
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European SMEs? growth: the role of market-based finance and public financial support |
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Learning Effects in Repeated Market-Wide Circuit Breakers |
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Climate Policy and International Capital Reallocation |
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Macroeconomic Uncertainty and Stock Returns: Evidence from Emerging India |
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Do Female Executives Acquire Greener Targets? |
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The erosive and positive effects of risk and growth on binomial Discounted Cash Flows, as a function of the investment horizon |
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Conventional and Unconventional Monetary Policy Shocks, Commodity Price Instability, and Political Risk |
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Shareholder Activism and Corporate Spinoff |
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Private Equity and Gas Emissions: Evidence from Electric Power Plants |
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How do private equity buyouts affect employee pension plans |
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Is there an Abnormal Return to News Events: Evidence from the Stock and Foreign Exchange Markets? |
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The impact of superstition on corporate tax avoidance: How do CEOs trade off risks associated with tax avoidance? |
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The Time to Completion of SPAC Mergers and DeSPAC Performance |
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Do Director Skill Sets Affect Firm ESG Responsibilities? |
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Perceived Corporate Values |
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Share Pledging and Corporate Debt Maturity Structure: Evidence from India |
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Oil Price Uncertainty and Corporate Debt Choice: International Evidence |
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The Impact of Geopolitical Risk on Bank Stability: Global Evidence |
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Capital Market Conditions, Coinsurance, and the Value of Corporate Diversification: Evidence from Japanese Firms |
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Ambidextrous Strategies in Corporate Venture Capital for Green Innovation |
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The market power of ESG-Index providers. The Effects of the Rebalancing of ESG-Themed Indices |
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Quieta non movere et mota quietare. Tracing the heterogeneous effects of bank consolidations on corporate borrowers across Italian macro-regions |
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Impact of Disintegrated Oil Shocks on Global ESG Stock Volatility |
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Cultural traits and startup funding: an empirical analysis of european startups? signals for investors |
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The Relationship between Prices of Renewable Energy and Export of Oil in the OAPEC Countries |
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Extreme Heat and Labor Cost Stickiness: Evidence from China |
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The Digital Transformation in the Italian Banking Sector |
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Financing Green Transition: Bank-Nonbank Partnership |
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Fintech Firms Dividend Payout Policy: Evidence from Covid-19 |
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The Impact of ESG Disclosure on Leverage, Short-Term Debt, and Long-Term Debt: An Empirical Analysis of European Listed Firms using fsQCA |
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Market Ambiguity and Cross-section of Expected Stock Returns: Evidence from China |
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Investigating the impact of eu ets allowances on the capital market - the case of german companies |
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What Drives Liquidity in Crypto Markets? - Evidence from Intraday Data |
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COVID-19 and Investors? Trading Behavior: Evidence from the New Zealand Equity Market |
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Uncertainty Tone and Stock Price Informativeness |
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Unveiling the Hidden Patterns: Non-Linear Determinants of Natural Hedging |
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Crisis upon Crisis: Understanding the role of Financial Sector in Macro-Financial Spillovers |
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Retail Investor Preferences for Sustainable Investments: The Role of Financial Advisors |
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Macroeconomic Determinants of Bank Profitability under Changing Market Conditions: Empirical Evidence from Ghana |
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The Impact of Pressure-Insensitive Institutional Ownership on Corporate Investment Intensity: An Empirical Investigation |
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Does Geopolitical risks affect global M&A activities? |
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A new machine learning method to improve the performance of bankruptcy prediction models |
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Optimal Currency Portfolios: Do Characteristics Matter? |
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Analyzing the impact of interbank rates in pandemic scenarios |
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The influence of business group affiliation on downsizing: will coinsurance save the workforce? |
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Evolution of the relationship between onshore and offshore RMB markets |
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Forecasting in periods of heightened uncertainty: The Importance of Aggregate Short Interest |
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State Capitalism and Political Uncertainty in Banking: Empirical Evidence from Sovereign Wealth Funds |
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Family firms' value and corporate social (ir)responsibility: a systematic research field analysis |
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Why Do Hedgers Hedge? The Role of Ambiguity |
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The RMB/USD exchange rate : evidence from SETAR analysis |
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Findings from the Polish InsurTech Market as a RoadMap for Regulators |
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A comparative analysis of the Climate-related Disclosures Prototype Standard and current climate-related disclosure practices |
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Unveiling the Dynamics of Alternative Investment Funds (AIFs): A Comprehensive Analysis of Their Role in Capital Formation in the Indian Financial Landscape |
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The Nexus between Environmental Policies, Green Bonds and Financial Performance |
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What Drives Stablecoin Growth? |
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Communication of ECB Governing Council members: do they speak in one voice? |
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Dynamic Connectedness in Equity Market: Evidence from Israel-Hamas War |
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The impact of the online marketplace on fraud: Evidence from Craigslist from its early adoption in 1995 to its wider expansion in 2006. |
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High Price Impact Trades Identification and Its Implication for Volatility and Price Efficiency |
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How Retail Investors Affect the Stock Market? |
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National Culture and Corporate Investment: Does Uncertainty Matter? |
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Disposition Effect in Diverse Market Scenarios - An Experimental Study |
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FinTechs? innovative capacity ? the measurement framework and tools |
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U.S. Populism and Currency Risk Premia |
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Regulated and Inefficient Investment Portfolios: Are Islamic Funds Riskier Than Ethical Funds? |
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A Behavioral, Power-Log Utility Model for Pricing Stock-Index Options |
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Can Sentiment Account for the Resilience of the Ship-Recycling industry? |
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Do revisions in the UK Corporate Governance code effect firm value and earnings management practices? |
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Insider Trading in Cryptocurrency Markets |
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Do workplace safety violations deter potential acquirors? |
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Do immigrants have equal opportunities? Evidence from directors? immigrant background and board leadership positions |
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Optimizing of the Capital Structure of the Concrete Firm |
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The reach of corporate governance beyond the grave: Bankruptcy decisions and recoveries on defaulted debt |
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Private Firm Disclosures and Public Firms? Debt Choice |
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Profit and Risk of Structured Products: The Issuers' Perspective |
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Financial crises and deterioration of the disposition effect |
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Firm Risk Mitigation Capability and Systemic Risk |
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Payout policy and corporate governance: evidence of gender-diverse boards |
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Ownership Concentration and Bank Liquidity Creation in sub-Saharan Africa |
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Climate Change Uncertainty and Corporate CSR Disclosure: Does Political Party Orientation Matter? |
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Measuring Financial Inclusion: A State-Wise Impact Analysis of India?s National Mission on Financial Inclusion |
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The balance of power: Assessing earnings quality in the shadow of corruption in GCC countries |
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From Cents to Satisfaction: Understanding the Power of Financial Literacy in an Unequal World |
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How does bank opacity affect credit growth and return predictability? |
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Innovative Finance Mechanisms for Biodiversity Conservation: Quantitative synergies for knowledge sharing |
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Predicting Startup Outcomes With Machine Learning |
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Housing Price Externalities of Photovoltaic Systems: The Relevance of View |
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Bank Loans and Guarantees: do decision levels matter? |
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NAVIGATING UNCERTAINTY WAVES: THE ROLE OF IMPLIED VOLATILITY IN MARKET RISK MEASUREMENT. A CROSS COUNTRY COMPARISON |
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CEO Narcissism and Firm Performance: Evidence from India |
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Does Interconnectedness drive cryptocurrency valuation during crisis? |
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Leverage-sustainability nexus in a cross-border setting: Evidence from an emerging economy |
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Does Environmental, Social and Governance (ESG) affect the Cash Conversion Cycle? Evidence from Emerging Markets |
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Interest rate deregulation and bank lending: an empirical study in Arkansas |
|
G10 Cross-Country Connectedness over U.S. Growth |
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Female Directors, Employee Treatment, and the Mediation Effect on Firm Performance |
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The Role of Investor Sentiment in Commodity Price Behavior: Some Clarifying Evidence Based On Time-Varying Causality Tests |
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Decoding Policies and Targets: Salience, Firm Dynamics, and the Complex Shades of Environmental Commitment |
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Subjective Risk Premia in Bond and FX Markets |
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Hedging Properties of Gold in an Emerging Market Economy: An Application of Intertemporal Capital Asset Pricing Model (ICAPM) |
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When Geopolitical Risk Increases Investments: Evidence from Cross-Border Acquisitions |
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Equity and Real Estate in Saudi Arabia: An Empirical Analysis of The Interactions Between the Two Markets |
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Relative Asset Valuation: A Global Perspective |
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Innovation and expected stock retrurns |
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Pairs-trading in the cryptocurrencies market with optimized portfolios by genetic algorithms in a cointegration framework |
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Analysing portfolios of financial and nonfinancial stocks using a single factor model |
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Tail Risk Measures in Portfolio and Financial Investing: The Inadequate, The Specious, and The Balanced |
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VALUING A COMPOUND EXCHANGE OPTION |
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Evidence on the influence of stablecoin depegs on the price dynamics of non-stable crypto-assets |
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CSR and Owner Preference: The Role of Religiosity |
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The Relationship between Foreign Direct Investments and Corporate Social Responsibility Considering Varieties of Market Economies - Evidence from Listed Firms in Taiwan |
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Same same but different: Evidence for the Gender Risk Gap from the German reunion |
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Islamic Bonds Ratings and the Price of Risk |
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An Econometric Analysis of Insurance Market Size and Share: With Special reference to Life insurance Industry in India |
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China's Trade Growth at Risk |
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Board characteristics and ESG uncertainty: Evidence from the European Banking Sector |
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Systemic analysis: A method to show how funds flow through financial systems |
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The Good Left Undone: About future scandals, past returns and ine?ectual ESG |
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Does Lending Bank Asset Quality Review Affect Borrowing Firm Accounting Conservatism? |
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Industrial Policy and the Allocation of Capital: A Literature Review |
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Segment Reporting: A systematic literature and future research agenda |
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Mudra for All: Evaluating the Pradhan Mantri Mudra Yojana's Role in Financial Inclusion and Empowerment of Scheduled Tribes in India (2016-2022) |
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Do Firms Care About the Quality of Disclosures on Their Dividend Policies ? Case of an Emerging Financial Market |
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Exploring the Dynamics: Dividend Policy Decisions and Stock Market Liquidity in Asian Developing Economies |
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Carbon index and portfolio diversification: Evidence from an emerging asset class |
|
Quantitative Models for Forecasting Bitcoin Price |
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An Exploration of Time-Varying Betas Using Flexible Least Squares |
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An empirical analysis of market efficiency and price discovery in the indian currency derivative market |
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Artificial intelligence and insurance market development |
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Information risk in high-frequency equity markets: Evidence from retail and institutional traders |
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Immigrant Entrepreneurs and Exit Strategies in New Tech Ventures: Scenario-based Survey Study |
|
Inflation swap rates: Caveats on their link to expectations. |
|
CEO Connectedness and Commonality in Stock Liquidity |
|
Dynamic Style Analysis Using Machine Learning |
|
Market-driven securitization |
|
FinTechs innovative capacity ? the measurement framework and tools |
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The impact of political connections on firm carbon performance: the moderating effect of media exposure |
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The effect of audit quality on the social performance of microfinance institutions |
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The Term Structure of Corporate Bond Risk Premia |
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Integrated reporting quality: does board age matter? An analysis of high-tech sector |
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Female Skin in the Game: Bridging the Gender Financing Gap |
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Monetary Policy, Binding Regulatory Capital Constraint and Banks? Reaction |
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Pricing Pollution: Asset-Pricing Implications of the EU Emissions Trading System |
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Over-Choice and Price Clustering: Evidence from the 2016 U.S. Tick Size Pilot Program |
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Reinventing SRI labels with a multi-grade labelling scheme: Evidence from the French SRI label |
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Connectedness of Economic Policy Uncertainties Among G20 Countries: A Time-Varying Parameter Frequency-Connectedness Perspective |
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The Impact of CSR Behavior on Performance Stability-The Analysis of Family Firms and Non-Family Firms |
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Disloyal managers and corporate tax saving: Implications for social welfare |
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Dual Investment Horizon in Portfolio Choice with Uncertain Forecast Sets |
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Short Selling and Audit Reporting Lags |
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The impact of climate risk on systemic risk in the context of the sustainable development strategy of the insurance sector |
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The Hubris Quotient: A New Measure of CEO Hubris and Its Implications for the Financial Performance of Listed Indian Companies |
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The Relationship between Financial Innovation and Brand Values in the Banking Industry?The Role of Corporate Social Responsibilit |
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Returns and Determinants of Green Investments |
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Failed Bank Asset Recovery: The Influence of Deposits and Loan Exposure |
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Political Connections Around the World: Evidence from Survey Data |
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Co-opted boards and the obfuscation of financial reports |
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Stock Market Sensitivities to European Monetary Policy |
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Influences of Environmental Consciousness on Investment Choices Across Generations: Age, Decision-making, and Financial Commitment for Sustainability |
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Exploring Mergers and Acquisitions Dynamics in Libyan Bank |
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Determinants of female representation on Indian Corporate Board |
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Public interest in resolution of small and medium-sized banks in the European Union |
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Disappearing Evidence of the Price-Dividend Relation and Its Effective Role in Forecasting Expected Return |
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Lender of First Resort: Discouragement and Trust in Relationship Lending |
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Exploring Financialization in Commodity Markets: A Holistic Examination of Risk, Information, and Market Dynamics |
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New trends in Macro-financial linkages in EU: The role of digital technology |
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Inequality in low and medium income countries: Does fiscal policy matter? |
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Harmony or Competition? Exploring the Dynamics Between Islamic and Conventional Banking: A View from the GCC Region |
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CEO Gender and Firm Performance: Evidence from the COVID-19 Pandemic |
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Investor sentiment and stock market anomalies: Evidence from Islamic countries |
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The Development of a Financial Wellbeing Scale for high income earning households |
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MODERATING EFFECT OF THE CAPITAL STRUCTURE ON THE IDIOSYNCRATIC RISK AND MARKET PERFORMANCE OF LISTED FIRMS |
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Corruption, Institutional Quality, Covid-19 Pandemic and Cross-border Mergers and Acquisitions (CBM&As) Activity: A Country-level Analysis |
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National board heterogeneity versus firm risk in times of war: Evidence from Crimean crisis |
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Determinants and Consequences of Corporate ESG Practices: A Review |
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Independent directors? CEO experience and environmental innovation |
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Wildfire Risk and Access to Credit |
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Turnover Tales: Unveiling Behavioral Biases in the Indian Stock Market amidst the Pandemic Turbulence |
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Market Perceptions of Corporate Climate Regulatory Exposure: Does Climate-political Leadership Matter? |
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The Level of Financial Literacy: A Case Study of Mauritius |
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