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Content
2024, Volume 132, Issue C
- S0148619524000481 Panic herding: Analysts' COVID-19 experiences and the interpretation of earnings news
by Vacca, Matteo
- S0148619524000493 Banking sustainability in a large emerging economy: Focus on Brazilian banks
by de Moraes, Claudio Oliveira & Cunha, Leonardo Vieira & Galvis-Ciro, Juan Camilo
- S0148619524000511 Inflation targeting and output stabilization in an estimated monetary model
by Platonov, Konstantin & Goren, Amir
- S0148619524000584 Trading frictions and the Post-earnings-announcement drift
by Fink, Josef & Palan, Stefan & Theissen, Erik
- S0148619524000596 Debt and debt tax benefit: Evidence from Indonesia debt-to-equity cap reform
by Hutahean, Timbul Parasian & Hermawan, Wawan & Kharisma, Bayu & Hasanah, Alfiah
2024, Volume 131, Issue C
- S0148619524000274 The effects of economic uncertainty and economic policy uncertainty on banks’ loan loss provision in Brazil
by Montes, Gabriel Caldas & do Nascimento Valladares, Matheus
- S0148619524000377 Stock returns, industry concentration and firm expenditure decisions
by Kamuriwo, Dzidziso Samuel & Muradoglu, Gulnur & Sivaprasad, Sheeja & Malki, Issam
- S0148619524000390 The effects of types of banks on financial access and income inequality in a heterogeneous sample: A quantile regression analysis
by Barra, Cristian & D’Aniello, Christian & Ruggiero, Nazzareno
- S0148619524000407 ECB communication sentiments: How do they relate to the economic environment and financial markets?
by Kaminskas, Rokas & Jurkšas, Linas
- S014861952400047X Blockholder voting power and investment decisions: Evidence from cross-border deals in Latin America
by Pombo, Carlos & Pinto-Gutierrez, Cristian & Jara-Bertín, Mauricio
2024, Volume 130, Issue C
- S0148619524000031 State-dependent intertemporal risk-return tradeoff: Further evidence
by Chelikani, Surya & Marks, Joseph M. & Nam, Kiseok
- S0148619524000146 The effect of physical collateral and personal guarantees on business startups
by Honjo, Yuji & Ono, Arito & Tsuruta, Daisuke
- S0148619524000158 Basel III countercyclical bank capital buffer estimation and its relation to monetary policy
by Rendón, Juan F. & Cortés, Lina M. & Perote, Javier
- S0148619524000249 A different view on acquisition paradox: Empirical examination of international acquisitions from competitiveness perspective
by Genc, Omer F. & Luo, Dan
- S014861952400016X Analysts’ extrapolative expectations in the cross-section
by Oesinghaus, Andreas
2024, Volume 129, Issue C
- S0148619523000486 How are veterans faring financially? Updates and new evidence from a national survey
by Mottola, Gary & Skimmyhorn, William & Valdes, Olivia
- S0148619523000498 Heterogeneous unbanked households: Which types of households are more (or less) likely to open a bank account?
by Hayashi, Fumiko & Routh, Aditi & Toh, Ying Lei
- S0148619523000504 Who is paying all these fees? An empirical analysis of bank account and credit card fees
by Shy, Oz & Stavins, Joanna
- S0148619524000043 Impacts of COVID-19-era economic policies on consumer debt in the United Kingdom
by Zhong, Mingli & Braga, Breno & McKernan, Signe-Mary & Hayward, Mark & Millward, Elizabeth & Trepel, Christopher
- S0148619524000122 The effects of state utility shutoff moratoria on credit delinquencies during the COVID-19 pandemic
by Andre, Jennifer & Braga, Breno & Martinchek, Kassandra & McKernan, Signe-Mary
- S0148619524000134 The effect of minimum wages on consumer bankruptcy
by Legal, Diego & Young, Eric R.
2024, Volume 128, Issue C
- S0148619523000401 SMEs and patents: Is it worth it? A longitudinal analysis of the patent-performance relationship
by Taglialatela, Jonathan & Barontini, Roberto
- S0148619523000413 R&D grants and medical innovation
by Unsal, Omer & Houston, Reza
- S0148619523000516 Innovating microcredit: how fintechs change the field
by Leite, Rodrigo & Mendes, Layla & Camelo, Emmanuel
- S0148619524000018 The incentive effects of the overlapping project structure in credit markets
by Niinimäki, J.-P.
- S014861952400002X Board structure in emerging markets: A simultaneous equation modeling
by Iwasaki, Ichiro & Ma, Xinxin & Mizobata, Satoshi
2023, Volume 127, Issue C
- S0148619523000267 ESG score, board structure and the impact of the non-financial reporting directive on European firms
by Bigelli, Marco & Mengoli, Stefano & Sandri, Sandro
- S0148619523000279 Monetary policy, funding liquidity, and undisbursed loans in Indonesia: The bank lending channel revisited
by Soedarmono, Wahyoe & Gunadi, Iman & Pambudi, Sudiro & Nurhayati, Tika
- S0148619523000280 The impact of bank competition on contagion risk: The case of Mexico
by Bátiz-Zuk, Enrique & Lara-Sánchez, José Luis
- S0148619523000292 Board independence and analysts' forecast accuracy: R&D perspective
by Rahman, Anisur & Talukdar, Bakhtear & Fan, Zaifeng Steve
- S0148619523000309 Competitive advantage and firm, industry, and country effects: An asset pricing perspective
by Kohls, Tobias & Mager, Ferdinand & Regele, Tobias
- S0148619523000310 From Hero to Zero: The case of Silicon Valley Bank
by Vo, Lai Van & Le, Huong Thi Thu
2023, Volume 125-126
- S0148619523000188 Access to finance, bureaucracy, and capital allocation efficiency
by Cao, Wenbin & Duan, Xiaoman & Niu, Xu
- S0148619523000206 Securitization of subprime credit and the propagation of housing shocks
by Yamout, Nadine
- S0148619523000218 Small bank managers are prudent: A Benford’s Law approach to analyzing loan loss allowances
by Tran, Arthur M. & Griffiths, Mark D. & Winters, Drew B.
- S0148619523000231 Does fake news impact stock returns? Evidence from US and EU stock markets
by Arcuri, Maria Cristina & Gandolfi, Gino & Russo, Ivan
- S0148619523000243 New experimental evidence on the relationship between home bias, ambiguity aversion and familiarity heuristics
by Dlugosch, Dennis & Horn, Kristian & Wang, Mei
- S0148619523000255 Multilateral exchange rates: A multivariate regression framework
by Kunkler, Michael
- S014861952300019X Explainable FinTech lending
by Babaei, Golnoosh & Giudici, Paolo & Raffinetti, Emanuela
- S014861952300022X Portfolio Choice with Endogenous Donations - Modeling University Endowments
by Cejnek, Georg & Franz, Richard & Stoughton, Neal M.
2023, Volume 124, Issue C
2023, Volume 123, Issue C
- S0148619522000492 U.K. economic policy uncertainty and innovation activities: A firm-level analysis
by Nguyen, Minh Hong & Trinh, Vu Quang
- S0148619522000509 The interplay between uncertainty, managerial decision making, and firm value: Evidence from Bangladesh
by Quader, Syed Manzur
- S0148619522000510 Facial attractiveness and CEO compensation: Evidence from the banking industry
by Ahmed, Shaker & Ranta, Mikko & Vähämaa, Emilia & Vähämaa, Sami
- S0148619522000522 Under-pricing of South and East Asian IPOs: An investigation of the relevance of governance quality in closely controlled companies
by Alles, Lakshman & Murray, Louis
- S0148619522000613 Does market design contribute to market stability? Indications from a corporate bond exchange during the COVID-19 crisis
by Abudy, Menachem (Meni) & Shust, Efrat
- S014861952200042X What do we know about the relationship between banks and income inequality? Empirical evidence for emerging and low-income countries
by de Moraes, Claudio Oliveira & Cruz, Guilherme
2022, Volume 122, Issue C
- S0148619522000248 Wasteful procedures?
by Arve, Malin & Honryo, Takakazu
- S0148619522000376 Why do video pitches matter in crowdfunding?
by Kolbe, Maura & Mansouri, Sasan & Momtaz, Paul P.
- S0148619522000388 The importance of international trade credit for industry investment
by Carroll, Sarah & Neumann, Rebecca
- S0148619522000406 Outward foreign direct investment and domestic innovation efforts: Evidence from India
by Reddy, Ketan & Sasidharan, Subash & Doytch, Nadia
- S014861952200039X Markets price politicians: Evidence from China’s municipal bond markets
by Wang, He & Yao, Yang & Zhou, Yue
2022, Volume 121, Issue C
- S0148619522000261 How do banking fintech services affect SME debt?
by Fasano, Francesco & Cappa, Francesco
- S0148619522000273 Machine-learning forecasting of successful ICOs
by Meoli, Michele & Vismara, Silvio
- S0148619522000340 Do FinTech acquisitions improve the operating performance or risk profiles of acquiring firms?
by Austin, Rebekah E. & Dunham, Lee M.
- S0148619522000352 Banks responding to the digital surge through Open Innovation: Stock market performance effects of M&As with fintech firms
by Cappa, Francesco & Collevecchio, Francesca & Oriani, Raffaele & Peruffo, Enzo
- S0148619522000364 Online financing without FinTech: Evidence from online informal loans
by Correia, Filipe & Martins, António & Waikel, Anthony
- S014861952200025X Digitalization and data, institutional quality and culture as drivers of technology-based credit providers
by Kowalewski, Oskar & Pisany, Paweł & Ślązak, Emil
2022, Volume 120, Issue C
- S0148619522000121 Home price growth and minority access to mortgage credit
by Tahsin, Salman
- S0148619522000133 Customer environmental concerns and profit margin: Evidence from manufacturing firms
by Zhang, Dengjun & Xie, Yifan
- S0148619522000145 How bad is a bad loan? Distinguishing inherent credit risk from inefficient lending (Does the capital market price this difference?)
by Hughes, Joseph P. & Moon, Choon-Geol
- S0148619522000224 The differential impact of political risk factors on emerging market bond spreads and credit rating outlooks
by Sonenshine, Ralph & Kumari, Sapna
- S0148619522000236 Investment choices and production dynamics: The role of price expectations, financial deficit, and production constraints
by Ikonnikova, Svetlana A. & del Carpio Neyra, Victor & Berdysheva, Sofia
- S014861952200011X Does rollover risk matter to payout policies? Evidence from Japanese listed firms
by Iwaki, Hiromichi & Saito, Junyu
2022, Volume 119, Issue C
- S0148619521000515 Firm-growth and Functional Strategic Domains: Exploratory evidence for differences between frontier and catching-up economies
by Friesenbichler, Klaus S. & Hoelzl, Werner
- S0148619521000606 Cross-border valuation using the International CAPM and the constant perpetual growth model
by O’Brien, Thomas J.
- S0148619521000618 Policy responses to COVID-19 and stock market reactions - An international evidence
by Deng, Tianjie & Xu, Tracy & Lee, Young Jin
- S0148619522000108 Unexpected money growth, nonfinancial firms as large shareholders and investment-cash flow relationship: Evidence from Vietnam
by Nguyen, Bao Khac Quoc & To, Bao Cong Nguyen & Nguyen, Nham Thi Hong
- S014861952100062X Initiating contact in merger negotiations: Who leads and who follows?
by Jurich, Stephen N. & Walker, M. Mark
2022, Volume 118, Issue C
- S0148619521000394 FOMC minutes sentiments and their impact on financial markets
by Tadle, Raul Cruz
- S0148619521000400 An empirical investigation of the effects of competition, efficiency and risk-taking on profitability: An application in Indian banking
by Rakshit, Bijoy & Bardhan, Samaresh
- S0148619521000485 Do married couples make better family firm leaders: Evidence from China
by Tang, Junhua & Osmer, Eric & Zheng, Yao
- S0148619521000497 Strategic CSR and firm performance: The role of prospector and growth strategies
by Maury, Benjamin
- S0148619521000503 The Chinese credit rating industry: Internationalisation, challenges and reforms
by Bush, Chunping
2021, Volume 117, Issue C
- S0148619521000266 Option value and auto title loans
by Anderson, Michael H. & Jackson, Raymond
- S0148619521000278 Digital financial advice solutions – Evidence on factors affecting the future usage intention and the moderating effect of experience
by Gerlach, Johannes M. & Lutz, Julia K.T.
- S0148619521000369 Can mutual fund managers time commonality in stock market misvaluation?
by Zheng, Yao & Osmer, Eric & Zheng, Liancun
- S0148619521000370 The electricity production cost curve during extreme winter weather
by Michelfelder, Richard A. & Pilotte, Eugene A.
- S0148619521000382 The value of intangible capital transfer in mergers
by Mamun, Abdullah & Mishra, Dev & Zhan, Lei
- S014861952100028X Interdependencies between regulatory capital, credit extension and economic growth
by Stewart, Robert & Chowdhury, Murshed & Arjoon, Vaalmikki
2021, Volume 116, Issue C
- S0148619520304215 Does information sharing matter? Cross-country evidence on foreign bank presence
by Williams, Kamilah & Brown, Leanora
- S0148619521000023 Dependency between sovereign credit ratings and economic risk: Insight from Balkan countries
by Athari, Seyed Alireza & Kondoz, Mehmet & Kirikkaleli, Dervis
- S0148619521000229 Merger & Acquisitions (M&As) as an important strategic vehicle in business: Thematic areas, research avenues & possible suggestions
by Hossain, Mohammed Sawkat
- S0148619521000230 Banks, IPO underwriting, and allocation in Japan
by Hiraki, Takato & Honda, Toshiki & Ito, Akitoshi & Liu, Ming
- S0148619521000242 The joint effects of macroeconomic uncertainty and cyclicality on management and analyst earnings forecasts
by Yang, Xiaohui & Chen, Wei
- S0148619521000254 Price competition vs. quality competition: Evidence from firm surveys
by Morikawa, Masayuki
2021, Volume 115, Issue C
- S0148619520304100 How do equity markets react to COVID-19? Evidence from emerging and developed countries
by Harjoto, Maretno Agus & Rossi, Fabrizio & Lee, Robert & Sergi, Bruno S.
- S0148619520304112 Unemployment insurance claims and COVID-19
by Sjoquist, David & Wheeler, Laura
- S0148619520304124 The impact of COVID-19 on stock market performance in Africa: A Bayesian structural time series approach
by Takyi, Paul Owusu & Bentum-Ennin, Isaac
- S0148619520304136 Did the small business administration’s COVID-19 assistance go to the hard hit firms and bring the desired relief?
by Li, Meng
- S0148619520304148 Economic sentiment during the COVID pandemic: Evidence from search behaviour in the EU
by van der Wielen, Wouter & Barrios, Salvador
- S0148619520304185 Using equity market reactions and network analysis to infer global supply chain interdependencies in the context of COVID-19
by Zhang, Si Ying
- S0148619520304239 Risk perception and oil and gasoline markets under COVID-19
by Ahundjanov, Behzod B. & Akhundjanov, Sherzod B. & Okhunjanov, Botir B.
- S0148619521000011 The long downturn: The impact of the great lockdown on formal employment
by Hoehn-Velasco, Lauren & Silverio-Murillo, Adan & Balmori de la Miyar, Jose Roberto
- S0148619521000096 Did state-owned enterprises do better during COVID-19? Evidence from a survey of company executives in China
by Wu, Howei & Xu, Bin
- S014861952030415X The distributional impact of recessions: The global financial crisis and the COVID-19 pandemic recession
by Shibata, Ippei
2021, Volume 114, Issue C
- S0148619520303982 Home price appreciation and residential lending standards
by Li, Yongjia & Tahsin, Salman
- S0148619520304021 Financial access and interest rate spread: An international assessment
by de Moraes, Claudio & Galvis-Ciro, Juan Camilo & Gargalhone, Micheli
- S0148619520304197 Finance-growth nexus and banking efficiency: The impact of microfinance institutions
by Abrar, Afsheen & Hasan, Iftekhar & Kabir, Rezaul
- S0148619520304203 Do microeconomic and macroeconomic factors influence Italian bank credit risk in different local markets? Evidence from cooperative and non-cooperative banks
by Barra, Cristian & Ruggiero, Nazzareno
- S014861952030401X The pricing effects of entry by Hainan airlines: Evidence from the U.S.-China international air travel market
by Chen, Jihui & Wang, Yi
2021, Volume 113, Issue C
2020, Volume 112, Issue C
- S0148619519303261 Environmental complexity, slack, and firm performance
by Godoy-Bejarano, Jesús M. & Ruiz-Pava, Guillermo A. & Téllez-Falla, Diego F.
- S0148619519304138 On the definition of the investment-uncertainty relationship
by Gutiérrez, Óscar
- S0148619520300412 Simulating corporate tax rate at Laffer curve's peak using microdata
by Gomeh, Carmel & Strawczynski, Michel
- S0148619520300497 The role of advisors’ centrality in the success of Initial Coin Offerings
by Giudici, Giancarlo & Giuffra Moncayo, Giancarlo & Martinazzi, Stefano
- S0148619520300965 Applying the Pre-Commitment Approach to bottom-up stress tests: A new old story
by Casellina, Simone & Pandolfo, Giuseppe & Quagliariello, Mario
2020, Volume 111, Issue C
2020, Volume 110, Issue C
- S0148619519300918 The impact of uncertainty on the macro-financial linkage with international financial exposure
by Punzi, Maria Teresa
- S0148619519301304 Excess liquidity and net interest margins: Evidence from Vietnamese banks
by Nguyen, Thai Vu Hong & Pham, Tra Thi Thu & Nguyen, Canh Phuc & Nguyen, Thanh Cong & Nguyen, Binh Thanh
- S0148619519301742 Board effectiveness: Evidence from firm risk
by Baulkaran, Vishaal & Bhattarai, Sagar
- S0148619519302887 Determinants of capital structure complexity
by Orlova, Svetlana & Harper, Joel T. & Sun, Li
- S0148619519303078 Monetary and implicit incentives of patent examiners
by Langinier, Corinne & Marcoul, Philippe
2020, Volume 109, Issue C
2020, Volume 108, Issue C
2020, Volume 107, Issue C
- S0148619518300419 The wealth effects of merger and acquisition announcements on bondholders: New evidence from the over-the-counter market
by Chen, Fan & Ramaya, Krishnan & Wu, Wei
- S0148619519300177 Banking crisis and bank supervisory accountability
by Lskavyan, Vahe
- S0148619519300931 Equal treatment under the Fed: Interest on reserves, the federal funds rate, and the ‘Third Regime’ of bank behavior
by Dutkowsky, Donald H. & VanHoose, David D.
- S0148619519301055 Financial liberalization and access to credit in emerging and developing economies: A firm-level empirical investigation
by Gopalan, Sasidaran & Sasidharan, Subash
2019, Volume 106, Issue C
- v:106:y:2019:i:c:s014861951830198x Workplace environment and payout policy
by Unsal, Omer & Brodmann, Jennifer
- v:106:y:2019:i:c:s0148619518300596 Credit portability and spreads: Evidence in the Brazilian market
by Azevedo, Paulo F. & Ribeiro, Paulo & Rodrigues, Gabriela
- v:106:y:2019:i:c:s0148619518302534 Factors for success in European crowdinvesting
by Borello, Giuliana & De Crescenzo, Veronica & Pichler, Flavio
- v:106:y:2019:i:c:s0148619518302376 Regulated price and Demand in China’s IPO market
by Geertsema, Paul & Lu, Helen
- v:106:y:2019:i:c:s0148619518302522 Investor skepticism and the incremental effects of small positive sales surprises
by Shih, Michael
2019, Volume 105, Issue C
- v:105:y:2019:i:c:s0148619518301152 Bank size, returns to scale, and cost efficiency
by Sapci, Ayse & Miles, Bradley
- v:105:y:2019:i:c:s0148619518301280 Competition, scale and hedge fund performance: Evidence from merger arbitrage
by Rzakhanov, Zaur & Jetley, Gaurav
- v:105:y:2019:i:c:s0148619518300821 Assessing the degree of competitiveness in the market for outpatient hospital services
by Topolyan, Iryna & Brasington, David & Xu, Xu
- v:105:y:2019:i:c:s0148619518300730 Does corporate governance play any role in investor confidence, corporate investment decisions relationship? Evidence from Pakistan and India
by Shahid, Muhammad Sadiq & Abbas, Muhammad
- v:105:y:2019:i:c:s0148619518302546 The impact of uncertainty on the number of businesses
by Ghosal, Vivek & Ye, Yang
2019, Volume 104, Issue C
2019, Volume 103, Issue C
- 1-12 Foreign direct investment and domestic investment: Do oil sectors matter? Evidence from oil-exporting Gulf Cooperation Council economies
by Elheddad, Mohamed
- 13-24 Do political institutions improve the diminishing effect of financial deepening on growth? Evidence from developing countries
by Williams, Kevin
- 25-37 Trade aid, institutional quality, and trade
by Maruta, Admasu Asfaw
- 38-60 Do fiscal communication and clarity of fiscal announcements affect public debt uncertainty? Evidence from Brazil
by Montes, Gabriel Caldas & Nicolay, Rodolfo Tomás da Fonseca & Acar, Tatiana
- 61-79 Have capital market anomalies worldwide attenuated in the recent era of high liquidity and trading activity?
by Auer, Benjamin R. & Rottmann, Horst
2019, Volume 102, Issue C
- 1-25 Learning expectations using multi-period forecasts
by Koursaros, Demetris
- 26-38 Foreign penetration, competition, and financial freedom: Evidence from the banking industries in emerging markets
by Chen, Jihui & Zhu, Lili
- 39-56 Surprises of corporate governance and Russian firms debt
by Teplova, Tamara V. & Sokolova, Tatiana V.
- 57-63 Systemic financial risk and macroeconomic activity in China
by He, Qing & Liu, Junyi & Gan, Jingyun & Qian, Zongxin
2019, Volume 101, Issue C
- 1-16 Debt retirement at IPO and firm growth
by Fan, Pengda
- 17-37 Environmental inefficiency and bond credit rating
by Chabowski, Brian & Chiang, Wen-Chyuan & Deng, Kailing & Sun, Li
- 38-57 Access to land and permits: Firm-level evidence of impediments to development in transition countries
by Anderson, John E.
- 58-72 Managerial risk taking incentives, corporate social responsibility and firm risk
by Chakraborty, Atreya & Gao, Lucia Silva & Sheikh, Shahbaz
- 73-85 Fama-French, CAPM, and implied cost of equity
by Mishra, Dev R. & O’Brien, Thomas J.
2018, Volume 100, Issue C
- 7-25 Fintech and regtech: Impact on regulators and banks
by Anagnostopoulos, Ioannis
- 26-42 Integrating the ‘Troublemakers’: A taxonomy for cooperation between banks and fintechs
by Drasch, Benedict J. & Schweizer, André & Urbach, Nils
- 43-54 Do fintech lenders penetrate areas that are underserved by traditional banks?
by Jagtiani, Julapa & Lemieux, Catharine
- 55-63 Some financial regulatory implications of artificial intelligence
by Wall, Larry D.
- 64-75 Why do businesses go crypto? An empirical analysis of initial coin offerings
by Adhami, Saman & Giudici, Giancarlo & Martinazzi, Stefano
- 76-78 Financial stability and monetary policy issues associated with digital currencies
by Nelson, Bill
2018, Volume 99, Issue C
- 1-14 A preferred habitat for liquidity in term repos: Before, during and after the financial crisis
by Baig, Ahmed & Winters, Drew B.
- 15-27 Breaking up isn’t hard to do: Interest on reserves and monetary policy
by Dutkowsky, Donald H. & VanHoose, David D.
- 28-38 Corruption, economic development, and auto loan delinquency: Evidence from China
by Duan, Huiqiong & Snyder, Thomas & Yuan, Weici
- 39-53 Do bank CEOs really increase risk in vega? Evidence from a dynamic panel GMM specification
by Bharati, Rakesh & Jia, Jingyi
2018, Volume 98, Issue C
- 1-18 Systematic risk factors and bank failures
by Sun, Junjie & Wu, Deming & Zhao, Xinlei
- 19-31 An event study analysis of too-big-to-fail after the Dodd-Frank act: Who is too big to fail?
by Allen, Kyle D. & Cyree, Ken B. & Whitledge, Matthew D. & Winters, Drew B.
- 32-39 Who carried more credibility?: An analysis of the market responses to news from the Japanese government, the Japanese central bank and international credit rating agencies
by Du, Wenti
- 40-55 Corporate social responsibility, product market competition, and firm value
by Sheikh, Shahbaz
2018, Volume 97, Issue C
2018, Volume 96, Issue C
- 1-14 External cost of leverage adjustment: Evidence from defined benefit pension plans
by Kim, Tae-Nyun & Kim, Kihun
- 15-41 Banking competition, banking stability, and economic growth: Are feedback effects at work?
by Jayakumar, Manju & Pradhan, Rudra P. & Dash, Saurav & Maradana, Rana P. & Gaurav, Kunal
- 42-58 Institutions: Key variable for economic development in Latin America
by Vianna, Andre C. & Mollick, Andre V.
- 59-68 Financial development, remittances, and poverty reduction: Empirical evidence from a macroeconomic viewpoint
by Inoue, Takeshi
- 69-89 The impact of the Volcker rule on targeted banks, systemic risk, liquidity, and financial reporting quality
by Elayan, Fayez A. & Aktas, Rafet & Brown, Kareen & Pacharn, Parunchana
2018, Volume 95, Issue C
- 3-25 Cross-border vs. domestic acquisitions: Evidence from India
by Chidambaran, N.K. & Krishnakumar, Dipali & Sethi, Madhvi
- 26-46 Basel III: Effects of capital and liquidity regulations on European bank lending
by Roulet, Caroline
- 47-58 Informed and uninformed investors in Iran: Evidence from the Tehran Stock Exchange
by Jalilvand, Abolhassan & Noroozabad, Mojtaba Rostami & Switzer, Jeannette
- 59-74 The impact of M&A strategies on the operating performance and investments of European IPO firms
by Giudici, Giancarlo & Bonaventura, Matteo
- 75-86 The effect of the European Markets in Financial Instruments Directive on affiliated analysts’ earnings forecast optimism
by Prokop, Jörg & Kammann, Benno
- 87-102 Cross-border arbitrage and acquirers’ returns in the Eurozone crisis
by Ayton, Julie & Rao-Nicholson, Rekha
- 103-118 The impact of accounting laws and standards on bank risks: Evidence from transition countries
by Fang, Yiwei & Fornaro, James & Li, Lingxiang & Zhu, Yun
- 119-140 Incentive compensation, accounting discretion and bank capital
by Koch, Timothy W. & Waggoner, Daniel F. & Wall, Larry D.
- 141-163 Does it pay to get connected? An examination of bank alliance network and bond spread
by Hasan, Iftekhar & Meslier, Céline & Tarazi, Amine & Zhou, Mingming
2017, Volume 94, Issue C