Details about Chaiporn Vithessonthi
Access statistics for papers by Chaiporn Vithessonthi.
Last updated 2024-10-08. Update your information in the RePEc Author Service.
Short-id: pvi291
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Working Papers
2017
- Environmental Efforts and Firm Performance
PIER Discussion Papers, Puey Ungphakorn Institute for Economic Research
2016
- Bank Systemic Risk and Corporate Investment
PIER Discussion Papers, Puey Ungphakorn Institute for Economic Research
- Consequences of Bank Loan Growth: Evidence from Asia
PIER Discussion Papers, Puey Ungphakorn Institute for Economic Research 
See also Journal Article The consequences of bank loan growth: Evidence from Asia, International Review of Economics & Finance, Elsevier (2023) View citations (2) (2023)
- Corporate Debt Maturity and Future Firm Performance Volatility
PIER Discussion Papers, Puey Ungphakorn Institute for Economic Research View citations (1)
See also Journal Article Corporate debt maturity and future firm performance volatility, International Review of Economics & Finance, Elsevier (2019) View citations (13) (2019)
- Monetary Policy, Bank Lending and Corporate Investment
PIER Discussion Papers, Puey Ungphakorn Institute for Economic Research 
See also Journal Article Monetary policy, bank lending and corporate investment, International Review of Financial Analysis, Elsevier (2017) View citations (11) (2017)
Journal Articles
2024
- Foreign investments and firm risk: Evidence from Germany
Global Finance Journal, 2024, 59, (C)
2023
- Financial openness and financial market development
Journal of Multinational Financial Management, 2023, 67, (C) View citations (6)
- Internationalization and firm performance
Global Finance Journal, 2023, 56, (C)
- The consequences of bank loan growth: Evidence from Asia
International Review of Economics & Finance, 2023, 83, (C), 252-270 View citations (2)
See also Working Paper Consequences of Bank Loan Growth: Evidence from Asia, PIER Discussion Papers (2016) (2016)
2022
- Internationalization, foreign exchange exposure and firm risk
International Review of Financial Analysis, 2022, 83, (C) View citations (1)
- Learning, foreign operations and operating performance
Global Finance Journal, 2022, 52, (C) View citations (1)
2021
- Bank risk-taking and corporate investment: Evidence from the Global Financial Crisis of 2007–2009
Global Finance Journal, 2021, 49, (C) View citations (1)
- The short- and long-run effects of foreign investments on firm performance: Evidence from Asia Pacific
International Review of Economics & Finance, 2021, 75, (C), 366-385 View citations (4)
2020
- Bank regulations, bank competition and bank risk-taking: Evidence from Japan
Journal of Multinational Financial Management, 2020, 56, (C) View citations (7)
- Do foreign investments increase firm value and firm performance? Evidence from Japan
Research in International Business and Finance, 2020, 51, (C) View citations (5)
2019
- Corporate debt maturity and future firm performance volatility
International Review of Economics & Finance, 2019, 60, (C), 216-237 View citations (13)
See also Working Paper Corporate Debt Maturity and Future Firm Performance Volatility, PIER Discussion Papers (2016) View citations (1) (2016)
2018
- The impact of the banking sector on economic structure and growth
International Review of Financial Analysis, 2018, 56, (C), 193-207 View citations (13)
2017
- Bank systemic risk and corporate investment: Evidence from the US
International Review of Financial Analysis, 2017, 50, (C), 151-163 View citations (8)
- Capital investment and internationalization
Journal of Economics and Business, 2017, 90, (C), 31-48
- Corporate governance, capital structure and firm performance: Evidence from Thailand
Research in International Business and Finance, 2017, 42, (C), 689-709 View citations (40)
- Monetary policy, bank lending and corporate investment
International Review of Financial Analysis, 2017, 50, (C), 129-142 View citations (11)
See also Working Paper Monetary Policy, Bank Lending and Corporate Investment, PIER Discussion Papers (2016) (2016)
2016
- Capital investment, internationalization, and firm performance: Evidence from Southeast Asian countries
Research in International Business and Finance, 2016, 38, (C), 393-403 View citations (6)
- Deflation, bank credit growth, and non-performing loans: Evidence from Japan
International Review of Financial Analysis, 2016, 45, (C), 295-305 View citations (49)
- Financial development, international trade integration, and stock market integration: Evidence from Asia
Journal of Multinational Financial Management, 2016, 35, (C), 79-92 View citations (9)
- Financial markets development, business cycles, and bank risk in South America
Research in International Business and Finance, 2016, 36, (C), 472-484 View citations (10)
- Short- and long-run effects of internationalization and R&D intensity on firm performance
Journal of Multinational Financial Management, 2016, 34, (C), 28-45 View citations (20)
2015
- Busy CEOs and the performance of family firms
Research in International Business and Finance, 2015, 33, (C), 144-166 View citations (9)
- The effect of firm size on the leverage–performance relationship during the financial crisis of 2007–2009
Journal of Multinational Financial Management, 2015, 29, (C), 1-29 View citations (23)
- The effect of leverage on performance: Domestically-oriented versus internationally-oriented firms
Research in International Business and Finance, 2015, 34, (C), 265-280 View citations (20)
2014
- Financial markets development and bank risk: Experience from Thailand during 1990–2012
Journal of Multinational Financial Management, 2014, 27, (C), 67-88 View citations (7)
- Monetary policy and the first- and second-moment exchange rate change during the global financial crisis: Evidence from Thailand
Journal of International Financial Markets, Institutions and Money, 2014, 29, (C), 170-194 View citations (9)
- The effect of financial market development on bank risk: evidence from Southeast Asian countries
International Review of Financial Analysis, 2014, 35, (C), 249-260 View citations (22)
- The spillover effects of unremunerated reserve requirements: Evidence from Thailand
Journal of Banking & Finance, 2014, 45, (C), 338-351 View citations (1)
- What explains the initial return of initial public offerings after the 1997 Asian financial crisis? Evidence from Thailand
Journal of Multinational Financial Management, 2014, 27, (C), 89-113
2013
- Do monetary policy announcements affect stock prices in emerging market countries? The case of Thailand
Journal of Multinational Financial Management, 2013, 23, (5), 446-469 View citations (4)
- The perils of a central bank's capital control: How substantial is the effect on firm value?
Journal of International Financial Markets, Institutions and Money, 2013, 23, (C), 111-135 View citations (3)
- Unremunerated reserve requirements, exchange rate volatility, and firm value
Journal of International Financial Markets, Institutions and Money, 2013, 23, (C), 358-378 View citations (7)
2012
- The impact of capital account liberalization measures
Journal of International Financial Markets, Institutions and Money, 2012, 22, (1), 16-34 View citations (9)
- The impact of monetary policy decisions on stock returns: Evidence from Thailand
Journal of International Financial Markets, Institutions and Money, 2012, 22, (3), 487-507 View citations (10)
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