Details about Sadok El Ghoul
Access statistics for papers by Sadok El Ghoul.
Last updated 2023-09-08. Update your information in the RePEc Author Service.
Short-id: pel319
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Working Papers
2021
- Greenwashing and product market competition
Post-Print, HAL View citations (19)
See also Journal Article in Finance Research Letters (2021)
2015
- Internationalization and bank risk
Research Working Paper, Federal Reserve Bank of Kansas City View citations (33)
See also Journal Article in Management Science (2017)
Undated
- Firm Growth and Political Institutions
Finance Working Papers, School of Business Administration, American University of Sharjah View citations (15)
See also Journal Article in Journal of Multinational Financial Management (2015)
- International Diversification and Corporate Social Responsibility
Finance Working Papers, School of Business Administration, American University of Sharjah
- The Effects of Analyst Forecast Properties on the Cost of Debt: International Evidence
Finance Working Papers, School of Business Administration, American University of Sharjah
Journal Articles
2023
- Does public corruption affect analyst forecast quality?
Journal of Banking & Finance, 2023, 154, (C)
- Economic policy uncertainty, institutional environments, and corporate cash holdings
Research in International Business and Finance, 2023, 65, (C) View citations (1)
- Event studies in international finance research
Journal of International Business Studies, 2023, 54, (2), 344-364 View citations (1)
- Firm inflexibility and the implied cost of equity
Finance Research Letters, 2023, 52, (C)
- Foreign Institutional Investors, Legal Origin, and Corporate Greenhouse Gas Emissions Disclosure
Journal of Business Ethics, 2023, 182, (4), 903-932 View citations (1)
- Governance and leverage: International evidence
The Financial Review, 2023, 58, (2), 261-285 View citations (1)
- National culture and bank liquidity creation
Journal of Financial Stability, 2023, 64, (C) View citations (6)
- Social trust and firm innovation*
Journal of International Financial Markets, Institutions and Money, 2023, 84, (C)
2022
- Does social trust affect international contracting? Evidence from foreign bond covenants
Journal of International Business Studies, 2022, 53, (6), 1011-1044 View citations (3)
- Economic policy uncertainty and insider trading
Journal of Financial Research, 2022, 45, (4), 817-854 View citations (1)
- Fund names versus family names: Implications for mutual fund flows
The Financial Review, 2022, 57, (3), 509-531
- Geographic deregulation and banks’ cost of equity capital
Journal of International Money and Finance, 2022, 120, (C)
- Political corporate social responsibility: The role of deliberative capacity
Journal of International Business Studies, 2022, 53, (8), 1766-1784 View citations (1)
- What does COVID-19 teach us about the role of national culture? Evidence from social distancing restrictions
Journal of International Financial Markets, Institutions and Money, 2022, 80, (C) View citations (3)
2021
- Bank systemic risk around COVID-19: A cross-country analysis
Journal of Banking & Finance, 2021, 133, (C) View citations (40)
- Board Reforms and Dividend Policy: International Evidence
Journal of Financial and Quantitative Analysis, 2021, 56, (4), 1296-1320 View citations (7)
- Corporate Capital Structure and Firm Value: International Evidence on the Special Roles of Bank Debt
Review of Corporate Finance, 2021, 1, (1-2), 1-41 View citations (3)
- Corporate social responsibility in emerging market economies: Determinants, consequences, and future research directions
Emerging Markets Review, 2021, 46, (C) View citations (9)
- Credit ratings quality in uncertain times
Journal of International Financial Markets, Institutions and Money, 2021, 75, (C) View citations (3)
- Cross-country determinants of institutional investors’ investment horizons
Finance Research Letters, 2021, 39, (C) View citations (1)
- Dividends and economic policy uncertainty: International evidence
Journal of Corporate Finance, 2021, 66, (C) View citations (25)
- Does CSR matter in times of crisis? Evidence from the COVID-19 pandemic
Journal of Corporate Finance, 2021, 67, (C) View citations (77)
- Flying under the radar: The real effects of anonymous trading
Journal of Corporate Finance, 2021, 71, (C)
- Greenwashing and product market competition
Finance Research Letters, 2021, 42, (C) View citations (22)
See also Working Paper (2021)
- Institutional investment horizons and firm valuation around the world
Journal of International Business Studies, 2021, 52, (2), 212-244 View citations (12)
- Institutional investment horizons, corporate governance, and credit ratings: International evidence
Journal of Corporate Finance, 2021, 67, (C) View citations (7)
- International evidence on state ownership and trade credit: Opportunities and motivations
Journal of International Business Studies, 2021, 52, (6), 1121-1158 View citations (5)
- State Ownership and Debt Structure
Review of Corporate Finance, 2021, 1, (1-2), 223-257 View citations (4)
- The role of creditor rights on capital structure and product market interactions: International evidence
Journal of International Business Studies, 2021, 52, (1), 121-147 View citations (1)
- Zombie firms: Prevalence, determinants, and corporate policies
Finance Research Letters, 2021, 41, (C) View citations (3)
2020
- Are insiders equal? Evidence from earnings management in closely held East Asian firms
Research in International Business and Finance, 2020, 54, (C)
- National culture and the choice of exchange rate regime
Journal of International Money and Finance, 2020, 101, (C) View citations (6)
- Post-privatization state ownership and bank risk-taking: Cross-country evidence
Journal of Corporate Finance, 2020, 64, (C) View citations (11)
- Rating standards around the world: A puzzle?
Emerging Markets Review, 2020, 45, (C) View citations (1)
- State ownership and stock liquidity: Evidence from privatization
Journal of Corporate Finance, 2020, 65, (C) View citations (7)
- Who wins and who loses from bank geographic deregulation? Analysis of financially constrained and unconstrained firms
Journal of Corporate Finance, 2020, 65, (C) View citations (4)
2019
- Collectivism and the costs of high leverage
Journal of Banking & Finance, 2019, 106, (C), 227-245 View citations (9)
- Does corporate social responsibility reduce the costs of high leverage? Evidence from capital structure and product market interactions
Journal of Banking & Finance, 2019, 100, (C), 135-150 View citations (38)
- New Evidence on the Role of the Media in Corporate Social Responsibility
Journal of Business Ethics, 2019, 154, (4), 1051-1079 View citations (33)
2018
- Corporate Environmental Responsibility and the Cost of Capital: International Evidence
Journal of Business Ethics, 2018, 149, (2), 335-361 View citations (92)
- Organization Capital and the Cost of Equity Financing in Medium‐Sized Manufacturing Firms
Contemporary Accounting Research, 2018, 35, (3), 1616-1644 View citations (4)
- Policy uncertainty, investment, and the cost of capital
Journal of Financial Stability, 2018, 39, (C), 28-45 View citations (80)
- State Ownership and Corporate Cash Holdings
Journal of Financial and Quantitative Analysis, 2018, 53, (5), 2293-2334 View citations (43)
- The market value of government ownership
Journal of Corporate Finance, 2018, 50, (C), 44-65 View citations (29)
- Zero-Leverage Puzzle: An International Comparison
Review of Finance, 2018, 22, (3), 1063-1120 View citations (23)
2017
- Country-level institutions, firm value, and the role of corporate social responsibility initiatives
Journal of International Business Studies, 2017, 48, (3), 360-385 View citations (163)
- Do state and foreign ownership affect investment efficiency? Evidence from privatizations
Journal of Corporate Finance, 2017, 42, (C), 408-421 View citations (73)
- Does corporate social responsibility affect mutual fund performance and flows?
Journal of Banking & Finance, 2017, 77, (C), 53-63 View citations (63)
- Internationalization and Bank Risk
Management Science, 2017, 63, (7), 2283-2301 View citations (53)
See also Working Paper (2015)
2016
- Collectivism and Corruption in Commercial Loan Production: How to Break the Curse?
Journal of Business Ethics, 2016, 139, (2), 225-250 View citations (12)
- Cross-country evidence on the importance of Big Four auditors to equity pricing: The mediating role of legal institutions
Accounting, Organizations and Society, 2016, 54, (C), 60-81 View citations (20)
- Cross-listing and corporate social responsibility
Journal of Corporate Finance, 2016, 41, (C), 123-138 View citations (73)
- Cross†Country Evidence on the Importance of Auditor Choice to Corporate Debt Maturity
Contemporary Accounting Research, 2016, 33, (2), 718-751 View citations (16)
- Family control and corporate social responsibility
Journal of Banking & Finance, 2016, 73, (C), 131-146 View citations (78)
- Firm Internationalization and Corporate Social Responsibility
Journal of Business Ethics, 2016, 134, (2), 171-197 View citations (99)
- National Culture and Profit Reinvestment: Evidence from Small and Medium-Sized Enterprises
Financial Management, 2016, 45, (1), 37-65 View citations (8)
- The Global Financial Crisis, Family Control, and Dividend Policy
Financial Management, 2016, 45, (2), 291-313 View citations (38)
- Trade credit provision and national culture
Journal of Corporate Finance, 2016, 41, (C), 475-501 View citations (71)
2015
- Firm growth and political institutions
Journal of Multinational Financial Management, 2015, 31, (C), 104-125 View citations (16)
See also Working Paper
2014
- Creditor rights and capital structure: Evidence from international data
Journal of Corporate Finance, 2014, 25, (C), 40-60 View citations (75)
- Political rights and equity pricing
Journal of Corporate Finance, 2014, 27, (C), 326-344 View citations (20)
2013
- Collectivism and corruption in bank lending
Journal of International Business Studies, 2013, 44, (4), 363-390 View citations (73)
- Corporate Social Responsibility and Credit Ratings
Journal of Business Ethics, 2013, 117, (4), 679-694 View citations (196)
- Does Information Asymmetry Matter to Equity Pricing? Evidence from Firms’ Geographic Location
Contemporary Accounting Research, 2013, 30, (1), 140-181 View citations (43)
- Institutional Investment Horizons and the Cost of Equity Capital
Financial Management, 2013, 42, (2), 441-477 View citations (42)
- The governance role of multiple large shareholders: evidence from the valuation of cash holdings
Journal of Management & Governance, 2013, 17, (2), 419-451 View citations (32)
2012
- Does Religion Matter to Equity Pricing?
Journal of Business Ethics, 2012, 111, (4), 491-518 View citations (72)
- Institutional investment horizon and investment–cash flow sensitivity
Journal of Banking & Finance, 2012, 36, (4), 1164-1180 View citations (50)
- National culture and corporate debt maturity
Journal of Banking & Finance, 2012, 36, (2), 468-488 View citations (130)
2011
- Does corporate social responsibility affect the cost of capital?
Journal of Banking & Finance, 2011, 35, (9), 2388-2406 View citations (790)
- The Role of IRS Monitoring in Equity Pricing in Public Firms
Contemporary Accounting Research, 2011, 28, (2), 643-674 View citations (11)
2009
- DO MULTIPLE LARGE SHAREHOLDERS PLAY A CORPORATE GOVERNANCE ROLE? EVIDENCE FROM EAST ASIA
Journal of Financial Research, 2009, 32, (4), 395-422 View citations (74)
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