Paper | Authors |
---|---|
Persuading Large Investors |
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The Double-Edged Sword of the 2020 European Short-Selling Bans |
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Living up to Analyst Expectations: A Quantitative Analysis of Corporate Short-Termism |
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Money Markets, Collateral and Monetary Policy* |
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Intangible liabilities |
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Political Green or Market Green? Stock Purchase Preferences Among Swiss Retail Investors |
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Quantitative Easing and Quantitative Tightening: The Money Channel |
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Are ESG mutual funds? flows driven by ESG credentials or advertisement? |
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Perpetual Contracts and Market Quality: Evidence from Cryptocurrencies |
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Abortion Restrictions, Firms' Hiring, and Investment |
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The Structure of SPAC Units |
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Violence and banks? performance: Empirical evidence from African countries |
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Labor Mobility, Climate Disasters, and Corporate Cash Reserve |
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Greening the Economy: How Public-Guaranteed Loans Influence Firm-Level Resource Allocation |
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Wartime Financing |
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Perceived Corporate Values |
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The financial fragility of for-profit hospitals: evidence from the covid-19 pandemic |
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Political Risk Contributes to Post-Crisis Violations of Covered Interest Parity |
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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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National Culture, Working Capital Management, and Firm Value |
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Survey: Market Risk Premium and Risk-Free Rate used for 96 countries in 2024 |
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The Market Dynamics of Military Conflict: Financial Returns and Strategic Considerations in the Global Arms Industry |
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An Agency Perspective of PE-backed IPO Underpricing |
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Credit Relationships and Dynamic Credit Constraints |
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Why Divest? The Political and Informational Roles of Institutions in Asset Stranding |
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Scapegoating: Uncontrollable Factors Disclosure and Disposition Effect |
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Propagation of E&S Concerns in Firm Networks: Evidence from Shareholder Proposals in the US |
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The Real Effects of Tick-Size Adjustments: Evidence from the 2016 Tick-Size Pilot |
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The Impact of Investment Returns on Gambling Consumption |
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Strategic Trading and Delayed Disclosure by Informed Traders |
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The real economy effects of QE via the corporate bond market |
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Public-Private Partnerships for Financing Infrastructure and Real Estate Development: A Meta-Synthesis of Case Study Research |
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International Inflation Correlation Risk: Hedge or Trade, Nature Spirit |
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Contagious Attention: the Role of Investor Attention in Stock Market Behavior during the Pandemic |
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On Unspanned Latent Risks in Dynamic Term Structure Models |
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Can Monetary Policies Inflate a Stock Market Bubble? A Regime Switching Model of Periodically Collapsing Bubbles |
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Operational Losses and Insider Trading: Evidence from U.S. Financial Institutions |
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Seeking the Winner's Curse: The Puzzle of Overpriced Treasury Auctions |
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Inflation Expectation and Cryptocurrency Investment |
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Happily Ever After? Lender Diversification and\\ Performance Sensitivity in Post-IPO Loans |
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Kyle in a Triangle: Asymmetric Information and Strategic Trading in Connected Markets |
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Prioritizing Social Issues: The Role of Women on Corporate Boards |
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Can Trust Enhance Credit Rating Accuracy? |
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High-Frequency Stochastic Volatility model: A Pathway from Bayesian Inference to the Generalized Boltzmann Statistics |
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Beyond Open Access: Predicting Financial Advisor Misconduct Using Machine Learning |
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Pricing Cryptocurrency Risks |
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What's Your Bank's Fintech Score? Technology Integration into Banking and the Broker Business Model |
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CEO Pay Tied to ESG Goals: An Empirical Analysis |
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Meta-Frontier and Risk-Adjusted Bank Efficiency in China |
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Buying Local Favor? Establishment-level Evidence on the Interaction Between Local Stakeholder-Based Insurance and Political Connections |
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Scoring Profits? The Impact of Private Equity Investments on Soccer Clubs |
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The Impact of Climate-Related Risks on the Financial Sector: An International Analysis |
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Economic policy uncertainty and cross-border mergers and acquisitions: Evidence from China |
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Want more precise Private Equity valuations? DLOM inclusion provides good answer |
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To mitigate the effect underwriter bargaining power on IPO pricing through audit committee under an economy of little information asymmetry |
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Decomposing cryptocurrencies behavioral anomalies |
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Are women more risk averse, and less likely to engage in competitive behavior than men? Evidence from a residential real estate bubble |
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Value Bubbles |
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Return Reversal of Latin American Industries |
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Does Geopolitical risks affect global M&A activities? |
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Connected Tail Risk: Exploring Interdependencies Among GCC Banks from the Global Financial Crisis to the COVID-19 Pandemic |
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When Are Inside Directors Good for the Corporation? |
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Market valuation of frontier technologies in life sciences and the incorporation of information based on VC investment choices |
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The Rapid Adoption of Cashless Payment Systems: A Revolution Transforming Financial Landscapes? |
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Does mandated CSR expenditure reduce dividend payouts? - Evidence from a unique context |
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Beyond the Limelight: CEO award and ESG performance |
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Risk Averse Effort Averse Auditor: Which one has higher Audit Quality? |
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A Study on Unlocking the Power of Data: Modelling and Forecasting Conditional Volatility of Indian Stock |
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The Time to Completion of SPAC Mergers and DeSPAC Performance |
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Optimal Currency Portfolios: Do Characteristics Matter? |
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CSR performance and family-foundation control |
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Boosted Returns with News: News, Volatility, and Portfolio Implications |
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Consensus and disagreement among ESG ratings agencies in China: The role of financial news before and after the Covid-19 pandemic |
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The Long and Short of U.S. Bank Regulations: From the Great Depression to the 2023 Bank Failures |
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Advancing Understanding of ESG score and Executive Compensation Relationships: A Novel Empirical Study in India |
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Bank-Investor Trading Connections and Firm Access to Bond Markets |
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A Game-Decision-Theoretic Approach to Optimize the Dynamic Credit Terms in Supply Chain Finance |
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Disappearing Evidence in the Price-Dividend Relation and Its Role in Forecasting Stock Return |
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The Impact of Social Responsibility on Corporate Risk Management |
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The expected cost of passive portfolio decarbonization |
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Time-frequency spillovers between oil and sectoral stocks in the two largest economies |
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Promoting Transparency: ESOPs and Climate Risk Disclosure in European Banks |
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Culture ?profiling?, AI and AML: Efficacy vs Ethics |
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Model-free Option Greeks |
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Political Winds and Market Swings: from Ballots to Political Mandate in the Stock Market |
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Credit Ratings and Capital Providers |
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Unraveling the Dark Side of Managerial Ability and Firms? Emergence from Chapter 11 Bankruptcy Proceedings |
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Heat Distributed Unevenly in the Sovereign Bond Market |
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Testing the Environmental Brundtland Curve Hypothesis for Air Pollution and Economic growth nexus |
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The influence of demonetization and internal determinants on banks? profitability in India: A comparative study of private and public banks |
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Corporate Digital Identity: Revolutionizing Financial Crime Prevention in Banking |
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An examination of efficiency, Profitability and the impact of the 2008 Global Financial Crisis on Performance of US small banks |
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Risk Disclosure and Sentiment: Guiding role of governance in sentiment-driven risk disclosure |
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Financial Constraints, Institutional Investors, and Corporate Cash Holdings |
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The Impact of Female Board Representation on the Systemic Risk of Banks: A Comparative Analysis of Inside-Out and Outside-In Systemic Risk |
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Turning Adversity into Action: Strengthening Board Sustainability Oversight in Response to ESG Incidents |
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Progressiveness of financial deepening: an application of the ardl approach for the colombian case |
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Title: Islamic Green Finance Risk Assessment and Mitigation for Banks In Pakistan |
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X-sentiment and stock illiquidity: a convex relationship |
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Worst-Case Duration |
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Nonlinear PLS versus Equity: Risk Sharing and Managerial Incentives - Part I |
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Co-opted Boards and Corporate Cash Holdings |
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What Incentives do Boards Provide with Inside Debt? The Evidence from Payout Policies |
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How the Gold Intra-Day Returns and Volatility React to Monetary Policy Shocks? |
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Segment Reporting: A systematic literature and future research agenda |
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Deciphering Sector-Specific Stock Price Dynamics: An Advanced Econometric Inquiry Utilizing Multiple Regression Analysis |
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Does Board Compensation Influence Corporate Social Responsibility Investment? |
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Wealth Dynamics: A Global Imperative for Inclusivity and Sustainability |
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Invisible discriminatory lending? Executive gender and loan financial covenants |
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Environmental laws in France: What are the effects of the Grenelle Laws on firms? |
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Dynamic CoVaR |
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Global Macro and Managed Futures Hedge Fund Strategies: Portfolio Differentiators? |
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Creating value through the acquisition of strategic assets. Evidence from China. |
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Institutional Herding and Equity Returns: Do Institutions Derive Valuable Information from Their Network? |
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The drivers of energy efficiency in emerging economies: Do financial inclusion, fintech and foreign direct investment matter? |
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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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Setting up a Sovereign Wealth Fund to Reduce Currency Crises |
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Crowding in or crowding out? A time-frequency analysis of the investment |
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Energy Markets, Financial Inclusion and the channels in between in Low Transition Economies: Does Institutional Quality Matter? |
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Country financial development and the extension of trade credit by firms with market power |
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The Monthly Cycle of Option Prices |
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The Nexus of High-Frequency Trading, Market Fragmentation and Market Liquidity: A Cross-Market Equilibrium Analysis |
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Cryptocurrencies and Capital Flows: Evidence from El Salvador's Adoption of Bitcoin |
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Exploring the Drivers of Fintech Investment Disclosure in Banks: Insights from the Dynamic Landscape of the GCC Region as a Testing Ground |
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An Explanation for the Halloween Effect: Why ?Sell in May and Go Away? Works |
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Measuring the impact of transition risk on financial markets: a joint VaR-ES approach |
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Bank Earnings Smoothing through Advisory Fee Income: How Do the Joint Effects of Earnings and Credit Ratings Impact Banks? Behavior? |
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Optimal trading with regime switching: Numerical and analytic techniques applied to valuing storage in an electricity balancing market |
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Optimal Consumption and Investment Decisions with Disastrous Income Risk: Revisiting Rietz's Rare Disaster Risk Hypothesis |
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Permanent and Transitory volatility inter-linkages between green, blue bonds and clean energy stocks ? Implications for portfolio management |
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Domestic Bank Credit and Foreign Direct Investment Influence on Renewable Energy Productivity Amid World Uncertainty and Governance in Developing Asia |
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Family businesses and corporate risk-taking: the moderating role of independent directors and institutional investors |
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Green bonds efficiency and renewable energy promotion: Insights from the Covid-19 Pandemic |
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The impact of military spending on economic welfare: a comparative analysis across 35 development indices |
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Labor Exposure to Climate Change and Corporate Tax Avoidance |
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Trends and Gaps in Global Research of Capital Structure During Crisis |
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Dealer Spreads in the Corporate Bond Market |
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Nexus among Fintech, Digitalization of Credit, and Financial Stress: A Cross-Country Analysis |
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Inside the Beltway: Senator Trading and Legislative Gain |
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Household Portfolio Allocation and Stock Market Impressions Evidence from Japan households |
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The Impact of Free Cash Flows on Environmental, Social, and Governance Disclosure Scores?the Agency Cost Perspective: Dynamic Panel Data Analysis of Indian Listed Firms |
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Mutual funds, market return, volatility, and uncertainty: The case of Luxembourg |
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Comparing the Volatility of Islamic and Conventional Indices in Malaysia |
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Do Director Skill Sets Affect Firm ESG Responsibilities? |
|
Legal Origins, Dividend Policies, and Firm Value: Evidence from European Firms Listed in the U.S. |
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Private equity buyouts & firm exporting in crisis periods: Exploring a new channel |
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Shareholder empowerment and insider trading profitability: Evidence from majority voting laws |
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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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The effect of Liquidity on Listed Banks? financing activities in South Africa |
|
Peer Benchmarking of CEO Compensation: Creditors' Perspective |
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Discrimination in Two-sided Matching Market: Experimental and Theoretical Evidence in Entrepreneurial Finance |
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An International Examination of the Effects of ESG Practices on a Company's Financial Performances |
|
Sustainability-Forward-Looking Disclosure and Stock Liquidity: A European Investigation |
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Banks and the fintech narrative: Evidence from a natural field experiment |
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Revolutionizing Internal Audit: Unleashing AI's Precision, Efficiency, and Risk Management ? A Systematic Literature Review |
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Do Minority Banks Matter? |
|
The Role of Foreign and Local Investors in the Derivatives Market and their Impact on the Exchange Rate in Colombia: A Wavelet Analysis |
|
Multidimensional disagreement of the credit ratings and ESG scorings granted to European banks. Are credit ratings related to ESG scorings? |
|
An Index of Economic Policy Uncertainty for the Group of Twenty (G20) Forum |
|
Unforeseeable risk factors and corporate cash holdings |
|
Financial Market Perception of Climate Regulatory Exposure: Does Climate-Political Leadership Matter? |
|
CEO power and bank risk: The moderating role of board independence |
|
PUBLIC VALUE IN PRIVATE FINANCING OF INFRASTRUCTURE PROJECTS |
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Climate change exposure and bank distance-to-default |
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In labels we trust? The influence of sustainability labels on mutual fund flows |
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Econometric Analysis of the Effects of Shocks on Macroeconomic Variables in the Exchange Rate Targeting: New Keynesian Model |
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The Cost of Committing ESG-related Sin: The Case of NGPF-G Exclusions |
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Do G7 uncertainty spillovers affect macroeconomic and financial variables? Evidence from industrial countries |
|
The Impact of Relative CEO Pay on Employee Productivity |
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Impact of Climate Change on Liquidity Risk of Banks- Evidence from India |
|
Booms and busts in housing prices: The case of Spain |
|
Quantifying Credit Gaps Using Survey Data on Discouraged Borrowers |
|
Analyzing College Students? Perspectives on Environmental Sustainability through Decision Analytics |
|
Gambling Sentiment Spillover to Stock Returns: Evidence from China Surrounding FIFA World Cup |
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Understanding the influence of gender diversity in shaping the long-term debt corporate policies: Evidence from Greek Listed Firms |
|
What drives private-equity performance persistence? New deal-level evidence |
|
Forecasting Value-at-Risk of Cryptocurrencies |
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The impact of venture capital financing on the growth patterns of green companies |
|
Exploring the Accountability Landscape in Fintech: The Role of Disruptive Technologies from an Academic Perspective |
|
Factor momentum in commodity futures markets |
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The role of media memorability in facilitating startups? access to venture capital funding |
|
Board Dynamics and ESG Integration: The Iberian Case |
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Unraveling the Role and Driving Forces of Cyber Insurance in Fortifying Organizational Cybersecurity |
|
Bank supervision and non-performing loan cleansing |
|
ESG Activities in Insurance Companies - the Impact on Company Performance |
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Monte-Carlo simulation for estimating polycrisis factors to profitability - case study from the poultry subsector |
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Ask and you shall receive? Financial Literacy of micro-entrepreneurs and access to credit |
|
Discomfort and Insecurity as Moderators in Technology Acceptance Model among Rural Women Users of Electronic Banking Services |
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Ensuring firm legitimacy: the Role of Sustainable Board Practices in Reducing ESG Misconduct |
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Pay you, pay me. The spillover effect of public guarantees on the cost of debt capital in illiquid markets |
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The behavior of stock prices around the ex-day during a dividend shortage |
|
Methodological issues in the analysis of emissions and firm value |
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Two Sides of the Same Coin: Divestitures and Alliances as Joint Forces in Innovation |
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Estimation Credit Ratings by Using Machine Learning Models ? ESG Ratings Impact |
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Fixed-income Asian and Australian options: a pricing approach based on extended square-root mean-reverting models |
|
Hazy Returns: Does air pollution affect cryptocurrencies? |
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Unbundling the effect of corporate governance on transaction costs in an offshore context: the contingent value of emerging economy private equity ownership |
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Analyzing the factors influencing customer adoption and usage of internet banking in mauritius. |
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Behind Dollar Savings in Mutual Funds: Are Shifting Sands Threatening Financial Stability? |
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Real Effect and Segment Disclosure Policy: Implications for Investment Decision, Cost of Capital and Firm Value |
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Keeping the Balance: Evidence From Board Gender Diversity and ESG Performance |
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THE IMPACT OF LEGAL FRAMEWORK ON CYBERFRAUD PERPETRATION IN THE SOUTH AFRICAN BANKING INDUSTRY |
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Political Uncertainty and Capital Raising Through Private Offerings |
|
Investor Education and Risk Taking Behavior in the Stock Market |
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Investor Heterogeneity and Factor Pricing |
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Guarding Data: How Breach Laws Shape Disclosure |
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Gender, savings, and financial inclusion: international evidence |
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Movables as Collateral and Corporate Credit: Loan-Level Evidence from Legal Reforms across Europe |
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Financial structure impact on economic growth |
|
Relationship between school funding and student outcomes: public versus private schools |
|
Price Discovery between Bitcoin Spot Markets and Exchange Traded Products |
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Climate Regulatory Risk and Management Earnings Forecast Errors: Evidence from State-Level Climate Adaptation Plans |
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MAX effect interaction with the sentiment: Evidence from the cryptocurrency market |
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Longevity of Corporate Lessons Learned from Natural Disasters in Emerging Countries ? Chile vs. Türkiye |
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Hospital Debt Maturity Determinants in a Small Bank-system Economy |
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Public Attention to Gender Equality and Stock Market Returns |
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Who cares about investing responsibly? attitudes and financial decisions |
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Managing the Downside of Active and Passive Strategies: Convexity and Fragilities |
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Depositor disciplining in banks: do dividends matter? |
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Institutional Investor Attention & Energy Stocks |
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How Corporate Greenwashing is affected by Corruption and National Well-being? |
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OTC frictions in stressed markets: Evidence from the UK sovereign bond market |
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Shareholder Litigation Rights, CEO Turnover, and Board Monitoring |
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Dividends and bank bailouts |
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Textual Changes in 10-Ks and Stock Price Crash Risk: Evidence from Neural Network Embeddings |
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Herding behaviour in cryptocurrency market: evidence during significant global catastrophe |
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CSR-firm value nexus: Evidence from India?s CSR mandate |
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Asset Price Bubbles and Systemic Risk in Money Market Funds |
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Changing notches: Macroprudential policy and property market responses |
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Negative nominal rates |
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Unlocking Green Innovation Potential Amidst Digital Transformation Challenges - The Evidence from ESG Transformation in China |
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Recent Trends in Size Premium: A Meta-Analysis |
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Female CEOs and the importance of beauty: Glass ceiling and investor reaction |
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Can Effective Working Capital Management Enhance Profitability in the Indian FMCG Industry? A Panel Data Analysis |
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Cash Holdings, Financial Constraints, and Mergers and Acquisitions: Evidence from India |
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Cascading Effects of Climate Change in Production Networks: Evidence from Extreme Weather Events |
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Flying safe: The impact of corporate governance on aviation safety |
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The Effect of the Switch to the Expected Credit Loss Model for Loan Loss Provisioning on Cross-border Borrowing |
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Corporate Agility and Corporate Governance: Evidence from a Negative Industry-level Shock |
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Behind in Time, Behind in the Game ? Time Zone Affects Trading Aggressiveness |
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European oil and natural gas investors in crisis: A comprehensive daily return spillover analysis |
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Debt Heterogeneity and Investment Efficiency: Evidence from India |
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Shifting Paradigms in Bank-Firm Relationships: Post-GFC Dynamics in the Syndicated Loan Market |
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Payment and Settlement Systems: Evolution and Way forward for India |
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The non-linear association between bank fintech and relationship lending: A panel threshold analysis of Indian banks |
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Beyond Borders: The Crucial Role of Foreign Capital Inflows in Shaping Financial Markets Through Institutional Quality |
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Creditor Rights and Firm`s Cost of Debt: Empirical Evidence from Indian Firms |
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PRIVATE EQUITY SPONSORING BIG DREAMS OF THE INDIAN SMALL FINANCE BANKS: CAN THE MODEL BE TRUSTED? |
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Issues and Challenges of Legal Framework in Mapping an AI's Impact on Transforming the Banking Financial Sector |
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Unlocking Innovation Through Cross-border M&As: Evidence from BRIC |
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Inequality and informal economy: the moderating role of financial technology |
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The role of overlapping input sourcing structures in shaping systemic risk in global supply chains |
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Can Emotions Reverse the Disposition Effect? |
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Employee Ownership in Companies in the Energy Sector: Approach to Financial Performance and Corporate Social Responsibility |
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Testing for the Asymmetric Optimal Hedge Ratios: With an Application to Bitcoin |
|
Liquidity Creation and Bank Credit Risk: Evidence from BRICS Economies under Basel III Regulations |
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Return Connectedness and Portfolio Resilience in the Middle East during Israel-Gaza Conflict |
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Firm-level climate change exposure and M&A deal success: International Evidence |
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Interest Rate Uncertainty: A Headwind for the Real Estate Industry |
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Investigation into the Nexus of Earnings Management, Investment Inefficiency, and Promoter Holding |
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The Determinants of Industry Leverage: A Quantitative Analysis |
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Does institutionalizing fiscal restraints hurt the financial sector? |
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Macroprudential Policies and SMEs |
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Environmental violations, Indigenous and Minority Population |
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Dynamic connectedness, portfolio performance and hedge effectiveness of NFTs and Defi assets during COVID-19 Pandemic and Russia-Ukraine war |
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Risk-averse or Altruistic? Board Chairs? Early-life Experience and Debt Maturity |
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Pairs Trading in Indian Stock Market: A Machine Learning Approach |
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Beyond the ticker: Female brands and fund manager investment decisions |
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The dividend policy of state-owned banks during an economic crisis |
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Women board representation and Corporate Social Responsibility: Business group vs Standalone firms |
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Can loan characteristics cushion the impact of an exogenous shock on subsistence entrepreneurs? The case of Covid-19 |
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Evaluating the Evolution and Determinants of Skills in European Actively Managed Funds |
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Use of Proceed, Underpricing of Green Energy IPOs and International Corporate Governance |
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Impact of Self-Regulation on Quality of Financial Markets |
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Are Climate Risk Disclosures in Earnings Conference Calls Relevant to Analysts? |
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Tone of Risk Disclosures: Evidence from ChatGPT, Earnings Calls, and Credit Default Swaps |
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Effect of Continuous Disclosure Requirement on Information Leakage Around Earnings Announcements |
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For Whom Do Fed Information Shocks Matters? |
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Are Ecosystems that different from Conglomerates? Performance and resilience perspectives from the Asian markets. |
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Liquidity Shock and Bank lending: Evidence from Currency Demonetization in India |
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A new way of detecting rational bubbles in the stock prices and dividends relationship. |
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Machine Learning in Mergers and Acquisitions: Identifying Key Target Characteristics |
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What does CSR Reputation bring to Open Share Repurchases? Evidence from the Indian Market |
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Inferring corporate insiders? beliefs about firm value from tax withholding elections |
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ESG ratings and their impact on M&A performance in the markets of China and Russia |
|
Learning Effects in Repeated Market-Wide Circuit Breakers |
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Corporate Sustainability Practices and Stock Mis-valuation in the Emerging Markets |
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Shareholder Tax Cut and Corporate Investment: New Evidence |
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An Agent-Based Model of Stablecoin Price Stability Mechanism and Market Dynamics |
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Measuring the Financial Inclusion Index in Developed, Developing and Emerging Countries. |
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Preferences for Sustainable Investing: The Role of Financial Literacy |
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Evaluating the Role of Cryptocurrencies as Fiat Currency Substitutes: A DCC-GARCH Approach |
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Are Canadian REITs Operationally Efficient? A DEA-Malmquist Approach |
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Employee rights and investment cash flow sensitivity |
|
ESG Ratings Are Trash |
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The returns of faith-based mandates in Islamic ETF methodologies |
|
FinTech adoption and bank risk: Evidence from India |
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Investigating the Presumed Relationship between Risk Culture and Operational Risk Management Practices of Ghanaian Banks |
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Does Economic Growth in India Shelter Inflation? ? An Econometric Enquiry |
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Clauses with Claws: Reducing Agency Costs in Late-Merging SPACs |
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Proxy contest, interlocking directors and insider trading profitability. |
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OFDI, Domestic Capital, and Economic Growth: A Nexus |
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Incentive Conflict, Firm Structure and Firm Efficiency |
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The Impact of ESG and Climate Indices |
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The impact of mega mergers on depositors: Evidence from Indian commercial banks |
|
How Global is Factor Predictability? Evidence from Nested Factor Momentum |
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Climate risk, ESG ratings, and the flow-performance relationship in mutual funds |
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The Green Gambit: Unravelling the Impact of Environmental Disclosures on Firm Value amid Economic Policy Uncertainty |
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Factorizing, Forecasting and Monitoring Inflation via Machine Learning Dimension Reduced Factors |
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Can analysts explain the IVOL effect? |
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Investors? Distress and Moods: The Effect on Perceived Returns and Risk |
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Deposit Rate in Dual Banking Market: Attracting and Retaining Depositors |
|
CEO Gender and Firm Risks: The Impact of Compensation Incentives |
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An AI-Driven Multi-Objective Framework for Optimizing ESG Portfolio Management in the Indian Stock Market |
|
Lost in Translation: How Predictability Turns Into Performance |
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Breakting Network Barriers in the Era of Data-Driven Venture Capitalists |
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Unveiling the Airborne Impact: COVID-19 and the Systematic Risk of the Airline Industry |
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Linking ESG disclosure and company market value: the case of baltics and Norway |
|
Markov-Switching Regime Connectedness Across Global ESG Stocks |
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Board Independence and Value of Cash Holdings: Empirical Analysis from India |
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CEO compensation, family firms and Institutional investors: evidence from India |
|
Trust and Credit |
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Country-level governance and corporate investment efficiency: The mediating impact of financial market development from Asia?pacific economies |
|
Investment Bank's Valuation and IPO Underpricing |
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DIRECTOR SKILL DIVERSITY AND CORPORATE ENVIRONMENTAL DISCLOSURE |
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Rolling window GARCH analysis to measure the change in efficiency of the Johannesburg Stock Exchange. |
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Achieving international diversification benefits with domestically traded assets: A study based on mean-CVaR optimization framework |
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Cost-Stickiness and Firm Value: Evidence from an Emerging Market |
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Beyond the Numbers: Exploring the role of Financial Literacy in enhancing Overall Well-Being |
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Monetary Policy Uncertainty and Mutual Fund Alpha Consistency |
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Relationship Banking: Borrowers? Incentives Channel |
|
Simple Measures for Innovative Pedagogy in a Corporate Finance course |
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Is financial literacy a protection tool from online fraud in the digital era? |
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The Institutional Impacts On Dividend Policies From Going Public. The Case Of The Alternative Investment Markets In London And Milan |
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The Changing Relevance of Dual-Class Shares in Europe: A Corporate Governance and Performance Perspective |
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Factors driving the growth of Digital Payments in emerging markets |
|
Attention span in emerging markets: how long does it last? |
|
On board composition and governance: does diversity improve the firm?s performance? Evidence from COVID-19 impact in Italy. |
|
The Equity Market Reaction to Corporate Climate Action Bond Issue Announcements |
|
The Macro-Financial Effects of Financial Integration in a Monetary Union |
|
Equity returns and investor sentiment connectedness: Evidence from global market |
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The inter-relationship between leverage and financing in cross-border mergers and acquisitions: An empirical analysis |
|
Does IBC impact the CEO Compensation in Distressed firms? |
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Christianity, female leadership, and performance of microfinance institutions |
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Free Cash Flow and Performance of Microfinance Institutions |
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Two Tales of Dividends and Future Earnings: Evidence from Machine Learning Models |
|
Equity Market Microstructure under the Microscope During COVID-19: An Emerging Market Study |
|
The influence of CFO characteristics on the capital structure |
|
Mapping the Landscape of Subjective Financial Well-Being |
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Not All Corporate Tax Cuts Are Created Equal: Evidence from Bonus Depreciation and M&A |
|
Beyond Benefits: Uncertainty and Sticky Information Costs |
|
CFO Characteristics and Investment Decision in Non-Financial Firms |
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The impact of government debt on corporate cash holdings: evidence from India |
|
Globalization, ESG Investing and Emerging Market Cost of Capital |
|
Sustainability reporting issues: greenwashing prevention and changing regulatory landscape |
|
A Novel Approach to Studying Percentage Quota Effects: Application to Gender Quotas in Corporate Boards |
|
Financial Inclusion and Bank Stability: Evidence from the Indian Banking System |
|
Role of Board Composition on Firm Performance |
|
Corporate Governance Disclosures and Financial Distress: Insights from India |
|
The Cost of Financial Misconduct in Nonprofits |
|
Foreign Direct Investment, Financial Development, and Intra-African Trade |
|
Determinants of Capital Structure during Decline and Decay of Firms: A Study of Indian Firms |
|
Examining the Impact of Energy Diversification on Sustainable Development: Insights from Multiple Energy Diversity Indices |
|
Do Institutional Owners Cause Banks to Default? |
|
Monetary policy and banks? duration risk The case of the USA |
|
Firms access to finance and share pledging: Analysis of listed firms in India. |
|
Demand for deposit services and welfare implications of saving bank interest rate deregulation: Evidence from India |
|
Analysis of the Impact of Climate-related Risks on the Green Bond Market |
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Prediction of Multi indices across Pandemic and Geopolitical Crisis: An Application of Deep learning tools |
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Reclaiming Sovereignty: A Judicial Experiment in Law Enforcement and Residential Real Estate Prices on Tribal Soil |
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The Presidential Puzzle Revisited |
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Does Chief Sustainability Officer Reduce Opportunistic Corporate Behaviour? |
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How to Mitigate CEO Decision Horizon Problem in Russian Companies? The Role of Board of directors. |
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Crisis Identification and Prediction using Machine Learning: The Case of U.S. Regional Banks |
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Analyzing Herding Co-Movements and Spillovers in the Fintech Ecosystem |
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Ambiguity Hedging and Bank Liquidity Provision |
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Does the gender and cultural diversity in the nexus with sustainability affect downside and tail risks? |
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Credit risk in sustainable development: a systematic literature review |
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Competitiveness-Based Sustainability Performance Measurement in SMEs: Validation through Finance and Marketing |
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To what extent do digitalization affect firms? earnings management in China |
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Bridging the Gap: The Impact of Open Banking on Traditional Banking and FinTech Collaboration |
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Corporate Sustainability and Cost of Equity Capital: Does Sustainability Structure Matter? |
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Does political turnover affect the finance-innovation nexus in China? |
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ECB's Single Supervisory Mechanism: Does Supranational Supervision Reduce the Cost of Equity |
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Female Political Representation and Financial Inclusion in sub-Saharan Africa: The Role of Institutional Quality |
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When the Market Opens to the Barbarians: Impact of the Stewardship Code on Hedge Fund Activism |
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Product Innovation and Optimal Domestic R&D Policy in the Presence of Multinational Corporations |
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Climate policy uncertainty and firm innovation: Evidence from Chinese climate policy uncertainty i |
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Stokvels and Banking Sector Size: Evidence from the ARDL Bound Approach |
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Financialism: consumption without production |
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Algorithmic Traders and Informed Trading |
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Related Party Transactions in South Africa: Abusive or Efficient? |
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From AI to Carbon: The Financial Ripple of Technological Advancements |
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Present-Bias and the Value of Sophistication |
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Financial contagion of stock markets from the oil market during the pandemic and energy crisis |
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Effect of the Fed´s monetary policy on macroeconomic indicators of Gulf Cooperation Council (GCC) countries |
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Freehold versus Leasehold Housing Price Trends, and Land Leverage |
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CSR Information and Regulatory Activity |
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Dynamic Correlation Analysis Between Stock Markets and Residential Real Estate |
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Corporate Sustainability and Cost of bank loans: Do Managerial Abilities Matter? |
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Household Income Tax, Tax Structure and Inequality: An Index of Individual Tax Elasticity |
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EUROPEAN STOCKS WITH THE SAFE-HAVEN ATRIBUTES. DRAWDOWN BETA VS TRADITIONAL BETA FOR THE STOXX EUROPE 600 COMPANIES |
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Can precious metals act as safe-haven or hedge assets in capital markets of China? |
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Bank Liquidity Creation, Government Bailouts and Uncertainty: The U.S. Evidence |
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Capital Structure and Risk Distribution in European Business Groups |
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Methods for Predicting Bankruptcy in Companies An approach |
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Temporal Risk Profile of REITs |
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Evaluating the transformative potential of using energy as a community currency: Perspectives and propositions for a rationale evaluative framework |
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The market informativeness of analyst forecasts in family firms |
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Mean-variance efficient fractional Kelly portfolio and tangent Kelly portfolio |
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Does Greenium matters to Green Sukuk Issuances? |
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What are the effects of gender legislation on board committees? Evidence from France |
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Sparse Portfolio Design with Leverage Control for High-dimensional Index Tracking |
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The Strategic ESG Talk and Investor Bias |
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Exploring the Influence of Hedonic Motivation and Social Factors on the Adoption of UPI: A UTAUT Perspective |
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Nonlinear Dynamics in Energy Markets and Finance: Dynamic and Static Panel Threshold Perspectives |
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Operationalization of the construct 'Banks` business models': A clustering analysis using deep neural networks |
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The Impact of Financial Inclusion on Renewable Energy Consumption: Cross-Country Evidence |
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Is near-the-money Weekly Expiry Options Facilitate Proper Hedge during High Sentiment Periods? |
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Boosted Returns with News: News, Volatility, and Portfolio Implications |
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Pricing electricity derivatives: A mean-reverting and seasonal approach |
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Extremes in FX Returns and Fundamentals |
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Foreign Direct Investment, Financial Development, and Intra-African Trade |
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Major customer-supplier concentration and cost of bank loan |
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Municipal Bankruptcy, Credit, and Entrepreneurship |
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Geopolitical Turmoil and Gold Prices: How Geopolitical Risk Shapes the Value of Gold? |
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IFRS 9 impact on stability of banks in emerging economies; case study about Egypt with a comparative analysis |
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Modelling Japanese firms' dividend payout policies using new data |
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Banking on Deposits: Can Deposits Drive Risk-Free Maturity Transformation? |
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Financial Inclusion and Bank Stability Tradeoff: The Case of Banks in the MENA Region |
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Weathering the Storm: How Natural Disasters Shape Bank Consolidation |
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KTALS Prototype Model for FinTech Ecosystem in Mauritius |
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Unravelling the Impact of Geopolitical Risk on Volatility in Energy Markets using Fat-Tailed Distributions |
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Market connectedness and spillover across different indices: Evidence from Asia-Pacific Region. |
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Dynamic model of government-backed venture capital |
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Corporate governance models in emerging markets: Evidence from Russia |
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Determinants of foreign capital flows in emerging markets: does liquidity matter? |
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National Culture and Capital Flow Waves |
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Industry expert boards and environmental innovation Keywords: |
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Are ratings and past returns good predictors of future performance in Emerging Markets |
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Theoretical and Practical Views on Mergers and Acquisitions in Libyan Banks: An Empirical Research |
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Financial literacy, higher order risk preferences and economic decisions |
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