Paper | Authors |
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Covering Trades Uncovered |
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Unconventional policies, asset returns, and wealth inequality |
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Inflation Tail Risk |
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Why Do Firms Often Not Have a CEO Succession Plan? |
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Executives? facial attractiveness and audit fees |
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To Woke or Not: Corporate Woke Engagement and Financial Outcomes |
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Vertical Executive Interlocks in Business Groups and Intra-group credit Activities |
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Makeham's formula: A tribute on its 150th year birthday |
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Firm value losses due to the July-2021 European floods: Insights from precise flood exposure data |
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Sustainability-Forward-Looking Disclosure and Stock Liquidity: A European Investigation |
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Learning from news, information flow, and financial markets |
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Freeriders and Underdogs: Participation in Corporate Voting |
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Strategic Complementarities, Banks' Stranded Asset Dynamics, and Financial Stability |
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The Shadow-Rate Model: Let's Make it Real |
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Government Spending and Rising Industry Stars |
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Cybersecurity and bank distance-to-default |
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Oracles of the Vote: Predicting the Outcomes of Proxy Contests |
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Belief Distortions and Unemployment Fluctuations |
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Why Are International Financial Markets Stable? A Network Analysis with the Master Stability Function |
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The Effect of Urban Density on Stock Returns: Evidence from Satellite Imagery and Firms in the United States |
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The Power of Personal Control in Financial Risk Taking |
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Insiders? trading on non-private information: Evidence from their trading on their economically linked firms? M&A events |
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Turning Adversity into Action: Strengthening Board Sustainability Oversight in Response to ESG Incidents |
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Microfinance institution business development services, customer satisfaction and welfare |
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Financing Innovation: A Hurdle-Rate Theory of Inventive Procyclicality |
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Ownership Structure, Earnings Management and Value Relevance of Loan Loss Provision Components |
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Non-CEO Executives and the Effects of Serving on Outside Boards |
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Weathering the Climate Risk: A Cross-Country Analysis on Cash Flow Allocation |
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Bank Liquidity Management and Payout Policy under Peer Pressure |
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Shareholder empowerment and insider trading profitability: Evidence from majority voting laws |
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Causal Impact of Public Debt on Growth: Evidence from 32 OECD Economies |
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Governance consequences of shareholder dissent in director elections: Evidence from a purely majority voting system |
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Financial Regulation and Bankruptcy Prediction: The Informational Value of Auditor Opinions |
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Purchasing Power Parity And Uncovered Interest Parity Revisited: Evidence From G7 Exchange Rates Based On A Dynamic Joint Model |
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A Dynamic Nelson-Siegel Model for Treasury Bond Yields with Irregular Mixed-Frequency Macroeconomic Information |
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Investor Attention and the Salience Effect in the Chinese Stock Market_Insights from the COVID-19 Pandemic |
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?Informed Finance? or Manipulation? Socially Connected Investors and Entrepreneurial Finance |
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Contextualized Sentiment Analysis using Large Language Models |
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Managerial learning from topical alignment of conversations with analysts |
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Asset Revaluations and Credit Conditions |
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Bank Presence and Local Resilience to Disasters |
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Political Bias in the Coverage of Corporate Misconduct: Effects on Employees and Managers |
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System-wide Dividend Restrictions: Evidence and Theory |
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Quantification of Margin of Conservatism Category C: Inter-Year De-fault Rate Correlation and Intra-Year Default Event Correlation |
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Racial Disparities in the U.S. Mortgage Market: Evidence from Data Privacy Legislation |
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Do Major Customers Help or Hurt Innovation? The Effects of Customer-Base Concentration on Innovation Volume and Radicalness |
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Will Dual class shares or control explain underperformance in IPOs? A comparative US-UK analysis |
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Country financial development and the extension of trade credit by firms with market power |
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Producing AI Innovation and Its Value Implications |
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Mandatory Central Clearing and Derivative Offsetting |
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Effect of hurricanes on US stock markets |
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Private Firm Disclosures and Public Firms? Debt Choice |
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Director Expertise and Compliance to Corporate Social Responsibility Regulations |
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Macrofinancial stress-testing. A practical approach to risk identification and severity calibration in the European case. |
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Following Insiders to Outperform the Market |
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Does mandatory recognition of off-balance sheet liabilities affect capital structure choice? Evidence from SFAS 158 |
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Breaking the Ceiling: The Impact of Usury Law Removal on Liquidity Creation |
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Tainted beginnings, risky endings: The effect of inadvertent prenatal pollution exposure on CEO risk-taking |
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How is Earning Expectation of Green Firm Affected by Climate Change Conferences? |
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The Role of Corporate Venture Capital for Family Firm Innovation: Evidence from Japan |
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Banking Crises, Credit Supply, & Firms' Leverage? |
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Measuring greenwashing: Evidence from the corporate climate bond market |
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Price Efficiency and Short-Sale Constraints: Evidence from the New Zealand Equity Market |
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Driving Sustainability from Above: Socially Responsible State-Owned Customers |
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Sustainability in Calm and Rough Waters: An Empirical Investigation of European ESG ETFs |
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Prioritizing Social Issues: The Role of Women on Corporate Boards |
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Learning To Rank: Enhancing Momentum Strategies Across Asset Classes |
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Business Education and Portfolio Returns |
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Are Developing Country Firms Getting the Short End of the ESG Stick? |
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Asset Sorting in Private Equity |
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SOE Premium in green bond market |
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The Transmission of Eurozone 2022-2023 Monetary Tightening to Mortgage Rates: How Did Malta Differ? |
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Sustainable Investments, Resilience and Risk-adjusted Performance of ESG Leaders Indices during Crisis |
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Do institutional investors mitigate ESG misbehavior? |
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Household use of Digital Banking |
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Shareholder activism: Blessing or affliction for incumbent CEOs? |
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Rethinking Distance: Venture Capital Amidst COVID-19 |
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Cracking the Code: Bayesian Evaluation of Millions of Factor Models in China |
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Do mutual fund managers herd towards sustainability? |
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Empowering financial supervision: a SupTech experiment using machine learning in an early warning system |
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Carry Trade Portfolios, Home Bias, and Heterogeneity |
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Forecasting Brent Crude Oil returns with the assistance of moments, cumulants and machine learning |
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Firm Location, Private Information Acquisition and Corporate Bond Underpricing |
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Credit Information Sharing and Bank-Specific Stock Price Crash Risk |
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Birds of a Feather Flock Together: the Coupling of Innovative Banks and Innovative Firms |
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The Influence of Manager Characteristics on Mutual Fund Performance - Does Gender Play a Role? |
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Greenium or risk premium? regional variation in sustainable corporate loan pricing |
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The Impact of Family Background Risks on Financial Risk-asset Allocation in China |
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In search of a perfect way to evaluate banks? ESG performance |
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What Makes Real Estate Funds Attractive Investments? Insights from a Lifecycle Model |
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The Big Four Effect in Hybrid Organizations: The Effect on Donations |
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Responsible banking during the COVID-19 pandemic: The role of community social capital |
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The New Keynesian Term Structure of Interest Rate |
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Volatility on the Crypto-currency Market: A Copula-GARCH Approach |
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Synergies or Competition: Understanding the Interactions Between Municipal and Corporate Green Bonds |
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Professional Investors and Media Narratives |
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Institutional Investor Distraction and Debt Concentration |
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The Demand for Sustainable Securities in Fixed Income Funds |
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Asset Allocation Mandates and Price Reactions to New Information |
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Model Ambiguity versus Model Misspecification in Dynamic Portfolio Choice |
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How do Venture Capitalists become Influential? |
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Mediating Effects of Cultural Variables, trust and perceived risk on Fintech usage: A Comparative Analysis of Bank Users in Qatar and Belgium |
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External Price Shocks and Inflation Co-movements in CESEE Region |
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Beyond Scores: ESG Sentiment, Uncertainty, and Market Volatility |
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The Role of Female Independent Directors and Auditors in Japan's Green Revolution |
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Can analysts explain the IVOL effect? |
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Are more inclusive and sustainable cities home to better performing firms? A global study |
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is the risk of the gap between closing and opening prices priced? |
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What is beautiful is good Beauty premium of top female executives and credit ratings |
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A Multi-Model Approach to Navigating the Return and Volatility Spillovers Across Index Futures, Commodity and Carbon Emission Futures |
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Underpricing of IPOs in India backed by venture capital versus IPOs without venture capital backing: an empirical investigation |
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Does the market value energy efficiency within EPC-labels? An analysis of the residential real estate market in Flanders. |
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Did Shock Change Consumer Behaviour? Longitudinal Study of Indian Households under the Intertemporal Framework |
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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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Does mobile phone proficiency contribute to stock market participation? |
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Biodiversity Linked Bonds: An Option Pricing Based Valuation Approach |
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Pricing Sustainability-Linked Bonds: a general framework and an application to biodiversity finance |
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Does Convertible bond issuances increase the firm value in China? ? Evidence from domestic and offshore issuances |
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CEO Outside Directorship Experience and Investment Efficiency |
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Macroprudential Policies and Credit Volatility |
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The Rise of Green Bonds - An Environmental Impact Assessment in G7 Countries |
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Pandemics, Local Institutional Quality, and Corporate Dividend Policy |
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Impact of change in refinancing risk on retention and payout ratios (rivised) |
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Creditor rights and institutional investments |
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Decomposition of gender gaps in financial inclusion in Bolivia, Brazil, Colombia and Peru |
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Good and Bad Credit Growth: Sectoral Credit Allocation and Systemic Risk |
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IMPLICATION OF BOARD COMPOSITION ON FINANCIAL PERFORMANCE OF LISTED DEPOSIT MONEY BANKS IN NIGERIA |
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Too big to care? Syndicated loans and financial misconduct |
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Austerity And Banking: Unveiling The Impact Of Fiscal Consolidations On Financial Institutions |
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Lost in the modeling stage: a comparative analysis of machine learning models for real estate data |
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Testing Rational and Behavioral Predictions to Long-Term Reversal: Industry Evidence from Latin America |
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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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Remittances and agricultural household welfare in the gambia |
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Testing the Environmental Brundtland Curve Hypothesis for Air Pollution and Economic growth nexus |
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Bank-specific, macroeconomic and country governance determinants of non-performing loans: Evidence from cross countries |
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Issue costs on private equity offerings by canadian public companies: a comparison between bought deals and marketed best efforts |
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Legal Origins and Dividend Tunneling: Evidence from European Firms Listed in the U.S. |
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Wildfire Risk and Mortgage Lending: The Influence of Climate Risk Beliefs |
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Can borrowing constrained investors improve long-short portfolio performance by mixing with the market index? |
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A cultural explanation of the dividend payout of multinational firms |
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Rising Climate Risks: A Wake-Up Call for Food and Agro Firms |
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Is Monetary Policy of India Able to Control Inflation and Unemployment Effectively? An Analysis with Time Series Data |
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Impact of construal level on individual accounting choices under multidimensional ambiguity |
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Investment Value Added vs. Profitability: Rethinking Asset Pricing |
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Secrecy Culture and Fintech Credit: Cross-Country Evidence |
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Firm-level Political Risk and Systemic Risk: The Role of Board Interlocks and Corporate Political Activity |
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Banks and the fintech narrative: Evidence from a natural field experiment |
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Do Boards Matter for Financing? Board Members' "Issuance Exposure" and Corporate Financing Decisions |
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Volatility Spillovers and Risk Transmission in Global REIT Markets: The Role of Uncertainty and Macroeconomic Shocks |
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Fast Fourier Transform, American Option Approximation, and Daily Price Limit |
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Research in Project Finance: trends and future |
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Social capital, analyst coverage, and corporate value |
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Family firms and financial performance. Evidence from Russia |
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Women in Leadership: National Culture and IPOs? Valuation |
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Labor Cost and Innovation: The Unintended Effects of Raising the Minimum Wage |
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Does Environmental, Social, and Governance (ESG) practice affect the systemic risk of oil and gas exploration and production companies? |
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Financial Market Perception and Climate Political Leadership |
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Traditional Capital Investment and Corporate Lobbying |
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The Impact of Stock Market Crashes and Recoveries on Investor Expectations and Disposition Effects??A Lab-in-the-field Experiment |
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The Federal Reserve?s Tightening, Risk Management, Default Likelihood and Firm Value |
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Financial Regulatory Arbitrage and Commodity Pricing |
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Bank Diversification and Tail Risk |
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Biases in Investor-Paid Credit Ratings |
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Changes in liquidity regulation and bank credit growth |
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An Investigation of Momentum Strategies in Frontier Equity Markets: A Comparative Analysis of Traditional and Alternative Strategies |
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The response of emerging financial markets to IMF news during the COVID-19 pandemic |
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Does state-level economic policy uncertainty affect financial distress risk of financial institutions? |
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Corporate Sustainability Through Employee's Eyes: Evidence from Employee Review Scores vs ESG Ratings |
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Forecasting Commodity Prices using Futures: The case of copper. |
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Geopolitical Risk and Emerging Market Sovereign Risk Premia |
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Family-friendly work policies (FFWP), employee health, and firm performance: The moderating role of board gender diversity |
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A study on the connections between ESG ratings and traditional measures of credit risk |
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Caught Off Guard: How Monetary Surprises Drive the Crash Risk of European Banks |
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Digital Immaturity in Donation Crowdfunding. When Fundraising Strategies Require Human Touch |
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Investment Performance and Risk Concerns of Retail Investors in Mutual Funds |
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Banks and Inequality: Evidence from a Nationwide Branch Expansion Policy |
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Sentiment and Bank Performance: An Empirical Analysis through Elon Musk?s Tweets |
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Biodiversity loss and financial markets risk: Insights from a CoVaR approach |
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Do ecosystems mitigate agency conflict? |
|
Three Interest Rate Theories |
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Beyond Binaries: Determinants and Impediments of Financial Inclusion Among Transgender Individuals in Delhi-NCR, India |
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Bank Liquidity Risk Management and Its Impact on Lending Practices |
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Private Equity Financial Intermediation |
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The Role of Bankruptcy Code in Disciplining the Dominant Shareholder: Evidence from a Natural Experiment |
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Do Exogenous Uninformed Order Flows Move Stock Prices? |
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Financial constraints and ESG Performance |
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Does Media Sentiment on Target Innovation Predict Performance of Technology Mergers and Acquisitions? |
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Impact of ESG on Investment Efficiency in Emerging Market Firms: Moderating role of Financial Health and COVID-19 |
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Firm strategic response to changing investor temporal preferences |
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Financial Literacy, Credit Risk, and Access to Credit |
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Stock Risk and Firm Investment: The Role of Market Volatility and Macroeconomic Shocks |
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Beyond Traditional Metrics: A New Approach to Measuring the Cost of Equity Home Bias of long-term investments |
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Climate Vulnerability and Renewable Energy Consumption: The Moderating Role of Financial Development |
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From voting to bitcoin: understanding the post-election crypto volatility |
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On Uncertainties & Non-Performing Loans (NPLs) |
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Corporate Governance and Supplier Financing: Evidence from Global Board Reforms |
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Board Co-option and Excess Cash Holdings |
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To Insure or Not to Insure Long-Term Risk? How Share Pledging-Induced Risk Aversion Shapes Sustainability Practices |
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Beyond Disclosure: Exploring the Impact of ESG Transparency on Stock Liquidity |
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The Effects of the Opioid Epidemic on Mergers and Acquisitions Activity |
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Unveiling Governmental Financial Resilience: An Optimization Analysis Using FS-OPA |
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Bitcoin Mining for Carbon Emission Reduction |
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The Effects of a Money-financed Fiscal Stimulus in a Small Open Economy with Fiscal Theory of Price Level |
|
CEO tenure and earnings management of listed companies in France |
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IMPACT OF CORPORATE SOCIAL (IR)RESPONSIBILITY ON ORGANIZATIONAL IDENTITY AND SUSTAINABLE INNOVATION |
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A LASSO Type Factor Model in Cryptocurrency |
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Are firms favored by analysts more popular to acquirers? Evidence from China |
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Political Winds and Market Swings: from Ballots to Political Mandate in the Stock Market |
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The Relationship between Business Sustainability and Capital Structure: The Moderating Effect of Family Firms |
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Key Drivers of Social Responsibility in Portugal?s Energy Sector |
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Public Attention to Gender Equality and Stock Market Returns |
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The Role of Governance in European Banks: A Panel Data Approach |
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The Boundary of High-Frequency Trading and Low-Frequency Trading in the Limit Order Book |
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The Cost of Going Green: How Environmental and Social Expenditure Influence Corporate Capital Structure of a Firm? |
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The Interest Rate and Bank Rescue Policy |
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Collateralized lending: the role of future time reference in languages |
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Prospect theory and conglomerate investment |
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Climate Risk and Environmental Innovation: Evidence from Multinational Corporations |
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Corporate Disclosure and Trading Activity |
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Motor vehicle insurance - Is it worth it for the South African consumer? |
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Internal governance mechanisms and mutual fund industry concentration |
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Firm-specific Characteristics and Financial Outcomes of Indian IPOs |
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Offsets vs. Calendar Spreads in U.S. Treasury Futures Markets |
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Is Impact Priced? Evidence from Sustainability-Linked Bonds |
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Modeling emissions and firm value data: A Monte Carlo approach |
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The mediating role of board dynamics on the relationship between board gender diversity and board performance. |
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Local cost structure and purchasing power parity ?An effect of food prices hike in Japan and UK in terms of ?Price to Income ratios?? |
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Legal form and shareholder value |
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LGBTQ+ Leadership |
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The Alignment of ESG Ratings with Climate Risk: Implications for Fund Flows and Financial Stability |
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Private equity buyout pricing, returns, and portfolio firm performance across UK regions |
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Momentum and disposition effect in different market states |
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Daily Momentum and New Investors in Emerging Stock Markets |
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Uncovering the UK regional housing market network, the north-south divide, and the impact of shocks for first-time buyers: a dynamic network approach |
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Donation for Microfinance Around the World: Does Corruption Matter? |
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Convergence dynamics of wealth inequality in OCED countries: quantifying the role of macroeconomic factors |
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How climate physical risks affect banking stability? The Latin American experience with strong ENSO events |
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Individual Investors Under Pressure: the Role of Emotions in Decision-Making |
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The Real Effects of Corporate Cash Holdings in the Evolution of Financial Strategy: Evidence from Japan |
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Airline Stock Market Reaction to CrowdStrike IT Outage: An Event Study Analysis |
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Out of Sync: Latency Arbitrage on European Markets |
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The role of motivations and altruism in micro-angel investments |
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Early Pension Release and its Impact on Financial Wellbeing: the Case of the ERS in Australia |
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Dynamic pricing of an innovative green good under discounted network effects |
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Reexamining the measurement and consequences of corporate greenwashing |
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Promoters? Share Pledging and Corporate Sustainability: Does Myopic Behavior Hinder Long-Term Value? |
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Intersectoral Peer Effects in Investment Decisions: An Experimental Analysis |
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Network connectedness between artificial intelligence and asset classes: Portfolio implications in the era of Industry 4.0 |
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Decoding Price and Quality Signals in the Tea Industry |
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On-The-Run liquidity phenomenon in the US Treasury bond market: a TVP-VAR analysis |
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From Stratification to Sustainability: The Role of Caste Diversity on Capital Structure Decisions and the Moderating Role of Information Asymmetry |
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Debt Maturity, Creditor Rights, and Capital Allocation Efficiency: Evidence from Quasi-Natural Experiments in India |
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Sudden stops under the microscope |
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Reporting under the EU Taxonomy Regulation: The Role of Sustainability Committee and Sustainability-related Executive Compensation |
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The Effects on Investor Sentiment and Business Cycles on the Systemic Risk of an ESG Portfolio |
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Reverse Monday Effect on the cryptocurrency market |
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Managerial Corruption and Green Innovation: Evidence from Chinese Listed Companies |
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Green Innovation and Stock Value: Evidence from Tokyo Stock Exchange Firms |
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How circular economy strategies strengthened firms? employment resilience: The case of Covid-19 |
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Welfare Effects of Common Ownership along the Supply Chain under Network Externalities |
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The Strategic ESG Talk and Investor Bias |
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Deferred payments (BNPL) as a new tool for managing personal finance ? an opportunity or a challenge? |
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Unveiling the risk of bank balance sheets: From risk recognition to credit reallocation |
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Analyst Forecast Bias and Investors? Information Acquisition in Stock Markets |
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Investors' Behaviors and Market Efficiency in Fractionalized Asset Markets |
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SUSTAINABILITY AND DISECONOMIES OF SCALE IN PORTFOLIO MANAGEMENT |
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Climate Risk and Capital Exuding: A New Role of Stock Market Participation |
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The CSR Balancing Act: The Impact of Sovereign Wealth Fund Investments on Investee Firms |
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The Inflation Uncertainty-Inflation Relationship: Time Variation Across Latin America and the G7 |
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Responsible Business, Profitable Outcomes: Exploring the ESG-Firm Valuation Nexus in India |
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Stock Prices and the Investor Recognition Hypothesis |
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Advancing stock price index forecasting based on hybrid picture fuzzy time series model |
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Is liquidity theory important to study credit guarantees? |
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Cybersecurity and Merger Performance |
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The impact of local corruption on the creation and liquidation of businesses |
|
Trust and Lottery-Related Anomalies |
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Industrial Diversification as Environmental Strategy: Evidence from Emissions Trading Systems in China |
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Improving the Performance of Volatility-Managed Portfolios |
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Market-Level Tug of War and Asset Pricing |
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Unsystematic Profitability Risks and Stock Returns |
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The Demand, Supply, and Market Responses of Corporate ESG Actions: Evidence from a Nationwide Experiment in China |
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The real effect of short selling on marketing activities: Evidence from advertising expenditure |
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Navigating Uncertainty: The Cost of Capital and Environmental Sustainability in European Firms Post Russia-Ukraine Crisis |
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Pricing of Compound Exchange Options |
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An operational approach to treat inverse S-shaped probability weighting problems |
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Overnight Return Momentum and the Timing of Trading Volume |
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Governance on Paris Agreement: Power of Carbon Accounting |
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Does Financial Inclusion Impact Energy Poverty? |
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Does Workforce Diversity Affect Firm Efficiency and Productivity |
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Determinants and forecasting of corporate greenwashing behavior |
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Assessing the Employee Welfare Impact of Right-to-Work Laws: Insights from State-Level Legislation |
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Explosive Financing? Bank Share Price Reactions to Carbon Bomb Exposure |
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AI-Driven Venture Capitalist Decision-Making and Entrepreneurial Diversity |
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Predicting Market Reactions to News: An LLM-Based Approach Using Spanish Business Articles |
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Business groups and information leakage in equity markets |
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A Novel Approach to Studying Percentage Quota Effects: Application to Gender Quotas in Corporate Boards |
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Debt structure and corporate risk-taking across business cycles |
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The Ripple Effect: ESG Decisions in Director Networks |
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Cash Holdings, Board Diversity, Ownership Structure and Risk: Exploring their Interplay in India?s Corporate Sector |
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Revealed Preferences in Sustainable Investing: The Portfolio Allocation Choices of Retail Investors in Private Banking |
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From Financial Confidence to Relationship Harmony: Exploring Financial Self-Efficacy, Conflict Management, and Pathways to Financial Well-Being and Relationship Quality in Low-Income Households |
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Are the Hedges of Funds Green? |
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ESG scores and Cost of Capital: Evidence from the UK |
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Risk Parity and its Discontents |
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Breaking the Glass Ceiling: The Impact of Board Gender Diversity on Financial and ESG Performance in Indian Firms |
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NAVIGATING CVA UNDER CRR III: A COMPARATIVE ANALYSIS OF SA-CVA, BA-CVA, AND SI-CVA |
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Regional Disparities in the EU: A Cross-Country Comparative Analysis |
|
Monetary Policy and Labour Income Inequality: A Regional Approach |
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Can alternative fuels protect us from extreme oil price fluctuations? Factors affecting the volatility of oil and components of biofuels |
|
Herding Behaviour in Equity Crowdfunding and P2P Lending Markets: A Meta-Analysis |
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Economic Policy Uncertainty, Financial Constraint and Speed of Adjustment across the Firm Life Cycle: Evidence from an Emerging Economy |
|
Blockchain scaling and liquidity concentration on decentralized exchanges |
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The causal nexus between stock and housing markets revisited: a time-varying mixed frequency VAR approach. |
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AI-Driven Insights into ESG Decoding the Financial Impacts of Sustainability Using Machine Learning Regression Models |
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Dynamic Nexus of Clean Energy Metals, Energy Commodities and Traditional Assets: Multidimensional Techniques and Portfolio Analysis |
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EXPLORING THE CENTRAL BANK'S PERSPECTIVE ON THE READINESS FOR A DIGITAL EURO |
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The Debt-Growth Nexus in Canada: Evidence from an Open- economy ARDL Model |
|
Political connections of executives and directors: relevant facts to understand the impact of politicians on firm valuation |
|
IPO Survival and Managerial Confidence |
|
Monetary policy and debt concentration |
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Does materiality matter in ESG investing? |
|
Animal spirits: Superstitious behavior by mutual fund managers |
|
Cross-border VC and Innovation |
|
Does Cryptocurrency Trading Have Spillover Effects on the Stock Market |
|
SME Funding Success in Marketplace Lending: Platform Evolution, Borrower-, and Campaign-Level Determinants |
|
The Resilience of Large Firms Against Zombification |
|
Internal Capital Markets of Multinational Corporations Observed In Action |
|
The execution of public expenditure and the impact on the HDI: The Case of Angola |
|
Do overconfident investors overvalue startups? Evidence from the Indian VC market |
|
Measuring Volatility Clustering Behavior in Financial Market |
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Rethinking Performance of High-Tech Acquisitions. Does CEO Education and Industry Experience Matter? Evidence from U.S. Firms |
|
Economic Policy Uncertainty and Stock Market Behavior: Moderating Role of COVID-19 Pandemic Sentiment |
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Polls, Politics, and Profits: The 2024 US Presidential Election's Economic Ripples |
|
The Influence of Uncertain Environmental Impact on Risk Tolerance in Asset Allocation |
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Assessing the Potential roles of different Cryptocurrencies and Gold throughout inflationary periods |
|
Advanced Financial Metrics for Corporate Valuation: a Case Study from the e.INS Project on ICT Firms in Sardinia |
|
The Unexpected Value of Partnerships |
|
Interpretable Deep Learning Approach to Bitcoin Price Prediction using Investor Sentiment |
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On ambiguity-seeking behavior in finance models with smooth ambiguity |
|
Global Mood Swings and Herding Behaviour in Precious Metals: The ?Affect heuristic? Perspective |
|
Loan Defaults in UK Doorstep Microfinance: The Role of Agent-Customer Dynamics |
|
The Negative Effect of the Double-edged Sword of ESG Assurance |
|
Regulatory Fragmentation and Product Quality Failures |
|
DeFi-ying the Fed? Monetary Policy Transmission to Stablecoin Rates |
|
The Optimal Timing of Clean Technology Adoption: A Stochastic Cost-Benefit Analysis |
|
Attitude Towards Non-cash Payments: The Case of the Polish SME Sector |
|
Decoding Design Layers in Central Bank Digital Currencies |
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From Branches to Browsers: A Comparative Analysis of Direct and Traditional Bank Clients in Germany |
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Cost of debt for private firms revisited: voluntary audits as a reflection of risk |
|
Green Investment and Kantian Morality |
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Spillover Effects of Merger and Acquisition Activity on CEO Compensation: Evidence from Industry Peers and Compensation Peer Groups |
|
Price discovery on centralized and decentralized cryptocurrency exchanges |
|
Market discipline after banks' governance incidents: A matter of regulation quality? |
|
Financial inclusion for people with disabilities: what can we expect from digital finance? |
|
Corporate Social Responsibility and Bank Stock Price Informativeness |
|
Crowdfunding and the Sustainability Dilemma: Do Sustainable-Oriented Campaigns Perform Better? A Machine Learning Approach. |
|
What is the key consideration in households? financial decision making in Hungary: Bargaining position or efficient time sharing? |
|
ETFs as a disciplinary device |
|
Consensus and disagreement among ESG ratings agencies in China: The role of financial news before and after the Covid-19 pandemic |
|
Empirical analysis of the impatience and magnitude effect in teenagers by gender |
|
Information Leakages in the Green Bond Market |
|
Chair-CEO age differences and corporate risk-taking |
|
Optimal Financing in Responsible Firms: A Dynamic Approach |
|
Is There an Impact of the Ethereum Merge on the Relationship Between Ethereum and Energy Portfolios? |
|
Corporate operating performance following seasoned equity offerings: It pays to pay dividends |
|
Determinants of the Market Reaction to Climate Bond Announcements |
|
Dissecting the Default/Distress Risk Anomaly |
|
Environmental Policies in Cryptocurrency Mining: Sustainability versus Profitability |
|
Corporate climate-related risk and trade credit: Evidence from earnings conference calls |
|
Sentiment and trading performance: Natural language processing sentiment and exchange-traded funds |
|
The effect of investor sentiment on M&A |
|
Discouraged SME borrowers and new product development: The role of crowdfunding |
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Do Fund Managers Matter? -- Evidence from Manager Changes |
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Regulator-driven mega-mergers of banks: a failed experiment? |
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Business Cycles and Capital Structure Cyclicality: Evidence from Indian Manufacturing Sector |
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Shifting Innovation Landscapes: A Patent-Based Comparison of the US, Europe and China |
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Creativity and Economic Policy Uncertainty |
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Inflation Targeting and Corporate Performance: The Moderating Effect of Price Stability |
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The Brexit Effect: Political Uncertainty and Bank Risk |
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The Impact of Air Quality on Mortgage Loans |
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Modelling Asset Correlations through Continuous Risk Factor Models: A Large Language Model Approach |
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Crowdfunding in Tunisia - Observations on the impact of regulation on platform behaviour |
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Financial Inclusion in MENA Countries: Gender, Age and Obstacles |
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Can gold reserves improve sovereign creditworthiness? Empirical evidence from the top gold buyers |
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The financial situation of central banks and its implications for policy, not only monetary policy |
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The Impact of Monetary Policy Shocks on Corporate Cash Holdings |
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Heroes or Villains? Culturally endorsed charismatic leadership style and stock price crash risk |
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Currency Mismatches in Emerging Markets: Effects on Corporate Liquidity, Investment and Profitability |
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Perspectives: on the time-varying behavior of household credit in Brazil |
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Does Geopolitical Risk Deter FDI Outflows: Evidence from Türkiye |
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The Puzzle of Overpriced European Treasury Auctions |
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Regulatory Uncertainty and Corporate Cash Holdings |
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Environmental disclosure vs. environmental performance: Do political connections play a role in developing countries in Central Asia and Eastern Europe |
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Index insurance for simultaneous flooding and drought risks with insufficient data: A two-step approach |
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Modeling vietnam?s cashew export flows to asian markets: an empirical investigation using the gravity model |
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Merging Innovation and Responsibility: the Role of Digital M&A in Shaping ESG Performance |
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The Value of Mortgage Choice: Payment Structure and Contract Length |
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The Macroeconomic Implications of Coholding |
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The Pricing and Economic Impact of Legal Risk |
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The Cost of Being Green: How ESG Ratings Affect a Firm?s Cost of Equity |
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How does becoming "uninsurable" affect perceptions of disaster risk? |
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Sustainability Disclosure Quality and Earnings Management: Empirical Evidence from the Indian Chemical Industry |
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Assessing AI and Technology Readiness in Indian Banking: Workforce Adaptability, Organizational Transformation, and Strategic Implementation |
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little chaos is good? How exchange jitter shapes high frequency trading and market quality |
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Bridging Complexity and Practicality in Bitcoin Forecasting: Artificial Intelligence and Machine Learning for Predictive Financial Modeling |
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Inflation Transmission Speeds: Insights from a Cross-Country Analysis |
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An Empirical Analysis of U.S. Stock Returns in Relation to Their Net Current Asset Values |
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Investigating the Role of Digital Transformation in ESG Performance: Moderation Effect Analysis from Corporate Characteristics to External Environment |
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Use of Proceeds Disclosed in the Prospectus and Pricing of Initial Public Offerings: An Empirical Investigation |
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Are Some Momentum Strategies Crisis-Proof? Analyzing Performance Across U.S. and Indian Markets |
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Quantifying Sustainability Impact on Crowdfunding Outcomes: Evidence from SDG-Aligned Campaigns |
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Comparative Analysis of Sukuk and Conventional Bonds: Risk, Return, and Portfolio Diversification |
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The impact of behavioural biases on investment decision-making and returns: A scoping review |
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Determinants of Share Buyback Decisions: Role of Ownership Structures |
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Examining the impact of Board Gender Diversity on Renewable Energy: Evidence from G-20 Countries |
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The Macroeconomic Effects of Climate Policy Uncertainty |
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Political Uncertainty, Corruption and Corporate Investment: Evidence from India |
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An Assessment of the Global VCM Landscape: A Data-driven Analysis with Subsequent Cross-Verification of Evidence Using Climate Finance Reports |
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Impact of CEO media coverage on stock price crash risk |
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One Size Doesn't Fit All: Analysing the Varied Effects of Anti-ESG ETFs on Market Risk |
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Reining in growth options: Evidence from leverage choices of listed real estate companies in China |
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Study of the evolution of Supermicro, Nvidia and Micron stock prices (2021-2023) |
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The Bank-Sovereign Nexus in a Banking Union: Evidence from Europe |
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Transmission of Bias: Social interaction and the Disposition Effect |
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Momentum, Reversal and Market Volatility |
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The Integration of ESG Reporting in Credit Risk Assessment Development, Trends, and Implications |
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The Influence of Personalized Nudging on Retirement Savings |
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A Dividend-Based Model to Explain Equity Returns for both Financial and Non-Financial Stocks |
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Hedging Clean Energy ETFs: The Role of Nuclear Energy in Portfolio Risk Management |
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Non-Homogeneous Characteristics of Institutional Investors and ESG |
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Cryptocurrencies: Forecasting and Trading Strategies |
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Price Impact of Climate Risk on Commercial Real Estate |
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Crowdfunding Fraud Detection: A Systematic Review highlights AI and Blockchain using Topic Modeling |
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Reevaluation on the Long-Run Price-Dividend and Price-Earnings Relation in Predicting Expected Return |
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CEO Tenure and Carbon Emissions: Does Elite Education Make a Difference? |
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The Pitfalls of Continuous Heavy-Tailed Distributions in High-Frequency Data Analysis |
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Covered but Exposed: Currency Risk in Collateralized Bank Funding |
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Sustainable or risky is it a choice? Performance and volatility asymmetries between ESG ETFs: evidence from the European financial markets. |
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The Economic Role of Offer-for-Sale in the IPO Market |
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Exploring the relationship between Financial Literacy and Discount Rates among University students |
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On the Impact of Tail Risk on the Yield Curve and the Response of Pension Funds: Evidence from the UK |
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CEO power and post-merger performance in the UK: The moderating effects of corporate governance mechanisms. |
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Funding Attraction: Optimizing Investment Strategies in Venture Capital Networks |
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The effects of management incentives on public-private co-investment outcomes: a case of venture capital industry in Taiwan |
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Evaluating Startup Potential: an Holistic Approach |
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EPS Forecasts, Market Sentiment and Environmental Commitment |
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Do UN Principles for Responsible Banking Spur the Green Transition? |
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Institutional Entrepreneurship at the first Joint Stock Bank in England and the Strategy of Controlling the Narrative |
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Going green globally: How corporate sustainability reporting and green investment shape climate change disclosures |
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Financial knowledge and financial fragility: Longitudinal evidence from Italy |
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The Nexus between Digital Transformation and Firm Performance: A Bibliometric Analysis |
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What moves food prices? The impact of climate change, war and financial crises on food commodity prices |
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Beta Uncertainty as a Barrier to Arbitrage and the Impact on Anomaly Returns |
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What Drives Cryptocurrency Returns: A Returns-Based Style Analysis |
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Bankruptcy risk, financial flexibility and investment efficiency |
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Art as a collateral |
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Annual general meeting formats of member companies in the German, Austrian and Swiss benchmark indices (2020-2024) |
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Seeking Value through Divestiture: A Thematic and Bibliometric review |
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Perceived Trust and Corporate Litigation: The Role of Corporate Social Responsibility |
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Financial literacy, robo-advisors, and the demand for human financial advice: Evidence from Italy |
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ESG and Earnings Management: Evidence from NSE 500 Firms |
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Green WACC as a Financial and Environmental Integrity Metric in Municipal Waste Management |
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Dynamic programming for valuing options embedded in corporate bonds |
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Firm Fundamental Cycles |
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Forecasting Wind?Photovoltaic Energy Production and Income with Traditional and ML Techniques |
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The Role of Collateral: Evidence from the Interbank Money Market |
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Managerial Discretion in the context of Classification Shifting Activity |
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PhD Tutorial Submission: CEO green tweets and corporate green engagement |
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ghostliquidity_wfc2025 |
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Fiscal Multipliers and the Maturity Financing of Government Spending Shocks |
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The Race Among Firms for Carbon Pricing |
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Machine Learning vs. Regulatory Credit Scoring: Improving Borrower Solvency Assessment in Latvian Nonbank Lending |
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The More, the Better? Local versus Global Data in Stock Return Prediction |
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Replicating Bitcoin Performance: A Connectedness Analysis of Equity Portfolios |
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Simultaneous vs sequential mechanism with inattentive buyers |
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Green Bonds and Competitive Markets: Exploring Incentives for Sustainable Financing |
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Dual model approach on dynamic interdepence and spillover amongst global indices across different crises : decomposition and connectedness |
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Quantifying Ambiguity in the Stock Market Using Option Data |
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Machine learning in foreign exchange |
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Common Risk Factors in REIT Returns: New Insights |
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CEO Departure and Stock Price Crashes: The effects of crepuscular behavior |
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Global Bank Business Model Classification (1990-2021) |
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Recent Trend of Size Premium: A Meta Analysis |
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Using Complex Hilbert Principal Component Analysis To Understand Economic Policy Uncertainty and Geopolitical Risk |
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Outside Directorships and Executive Diversification |
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Reputation Acquisition and Abnormal Performance in IPO Underwriting |
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Trust in AI in Financial Planning: A Psychological Perspective on Tasks and Collaboration |
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Algorithmic Trading and Trade Size Puzzle |
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Liquidity Mechanisms in Decentralized Finance: The Empirical Case of Real-World Assets |
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The Impact of Working Capital Management on MSME Productivity in India |
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Hitting the Target: Proper Estimation of the Partial Adjustment Model |
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Creditor Rights and Bank Loan Certification Values |
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ESG Reporting , Governnace Mechanisms and Financial Performance: Evidence From Indin Listed Companies |
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Do workplace safety violations deter potential acquirors? |
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Financial Flexibility and Debt Maturity Concentration |
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Substitutes or complements? Exploring the interplay between ownership concentration and market competition |
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The Role of Soft Information in Reward-based Crowdfunding: Evidence from Crowdsourced Data |
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The finance-growth paradox and the shades of democracy. Re-examining Six decades of Unsetting Evidence. |
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Do ESG Investments Improve Portfolio Diversification During Time of Uncertainty? |
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Equity Provision in Financially Distressed Firms |
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Retail Investors Activity on Pleasant and Unpleasant Firms |
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Unlocking Competitive Advantage: The Role Of Financial Literacy In Firms - A Systematic Literature Review |
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Political Uncertainty and Initial Public Offerings: The Mediating Role of Political Connections |
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Cross-Market Volatility Spillovers and Portfolio Diversification in South African Equity Markets: Evidence from an Index-Level Analysis |
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Taxes and Loan Charge-off: Evidence from TCJA |
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Actions after Experiences CEO Abnormal Climate Exposure and Corporate Carbon Reduction |
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Shirking under Political Connections: Evidence on Corporate Environmental Performance from the Low-carbon City Program in China |
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The Intertwined Price Discovery Processes in Equity and Option Markets |
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The Asymmetric Influence of Event-News on Cryptocurrency Volatility: An Intraday Analysis |
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Prediction of credit risk: a machine learning application on SMEs financial data |
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Stock Tribes: Social Identity in Online Stock Communities |
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A Tale of Two Green Transitions: The Effect of Product Market Threats on Corporate Green Revenues |
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Algorithmic Bias in Automated Decision-Making: Hidden Risks through the perspective of AI-Driven Tax Compliance. The EU?s Response from GDPR to the AI Act |
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The Blockchain Risk Parity Line: Moving From The Efficient Frontier To The Final Frontier Of Investments |
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The Value of Analyst Forecasts in Improving Implied Equity Duration |
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Risk and Trust Behavioral Patterns: Evidence from ESG Investing |
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Dynamics in ownership patterns of multinational banks |
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The integration of financial literacy through pawnshop financing for sustainable social entrepreneurship: A Conceptual framework |
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Trading Echoes: Behavioral Bias Patterns and Portfolio Performance among Indian Retail Investors |
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Artificial Intelligence in Accounting and Auditing: Opportunities, Challenges, and Future Perspectives |
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Consumer Complaints and Cryptocurrency Arbitrage |
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Moderating Effects of Corporate Governance on Managerial Overconfidence |
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Political Risk and Commodity Currencies |
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The Impact of Hurricane Risk on Loan Terms and Provisions |
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Minimum Spanning Trees Based on the Transfer Entropy in the Analysis of Systemic Risk in the Insurance Sector |
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Symphonic Instability: Evolutionary Dynamics in the Convergence of Global Finance and Trade Networks |
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