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Finance Research Letters
2004 - 2025
Current editor(s): R. Gençay From Elsevier Bibliographic data for series maintained by Catherine Liu (). Access Statistics for this journal.
Is something missing from the series or not right? See the RePEc data check for the archive and series.
Volume 59, issue C, 2024
- Retraction notice to “Does the matching degree between data and human capital affect firm innovation?”

- Xiaohua Hu and Yulian Fei
- Bank efficiency and undesirable output: An analysis of non-performing loans in the Brazilian banking sector

- Fábio Lucas Takahashi and Marcos Roberto Vasconcelos
- Impact of media hype and fake news on commodity futures prices: A deep learning approach over the COVID-19 period

- Ameet Kumar Banerjee, Ahmet Sensoy, John W. Goodell and Biplab Mahapatra
- Environmental attention and uncertainties of cryptocurrency market: Examining linkages with crypto-mining stocks

- Imran Yousaf, Afsheen Abrar, Umair Bin Yousaf and John W. Goodell
- Understanding the relationship between entrepreneur courage quotient and enterprises' sustainable growth

- Lihong Wei, Xiaosan Zhang, Muhan Yang and Liming Lin
- Digital transformation and manufacturing company competitiveness

- Xiaoning Sui, Shuaipeng Jiao, Yongming Wang and Haijun Wang
- Does mandatory tax disclosure mitigate tax expense anomaly? Evidence from FIN 48

- Huimin Song, Xuedan Tao, Wang, Huabing (Barbara), Jinkang Zhang and Linlin Zhang
- Impact of CEO overconfidence on enterprise digital transformation: Moderating effect based on digital finance

- Changchun Zhu, Na Li and Jing Ma
- Enhanced safe-haven status of Bitcoin: Evidence from the Silicon Valley Bank collapse

- Changlun Jin and Xiujuan Tian
- Stealing the show: The negative effects of media coverage on peers’ stock liquidity

- Jingjing Xia
- Global uncertainty factors and price connectedness between US electricity and blockchain markets: Findings from an R-square connectedness approach

- Emmanuel Abakah, Sahib Hossain, Mohammad Abdullah and John W. Goodell
- ESG reputation risks, cash holdings, and payout policies

- Jin Boon Wong and Qin Zhang
- The spillover effect of bank distress: Evidence from the takeover of Baoshang Bank in China

- Yuyun Xu, Zhengyuan Liu and Longyao Zhang
- Climate risk exposure and geographical allocation of business activities: Evidence from Chinese listed companies

- Yuan Sun, Xiaowei Sun and Zehao Wang
- Does corporate culture shape “Tone at the Top”? Evidence from earnings calls

- Man Dang, Premkanth Puwanenthiren, Edward Jones, Nguyen Bui and Thuy Dung Le
- Pricing first-touch digitals with a multi-step double boundary and American barrier options

- Hangsuck Lee, Hongjun Ha and Byungdoo Kong
- State-dependent volatility feedback effect in the ICAPM

- Osman Kilic, Kiseok Nam and Matthew L. O'Connor
- Local creative culture and firm value

- Costa, Mabel D’ and Ahsan Habib
- Fintech, supply chain concentration and enterprise digitization: Evidence from chinese manufacturing listed companies

- Wei He, Yujiao Zhang and Mingshan Wang
- Does supply-chain-finance help to improve the efficiency of outward foreign direct investment?

- Xiaxuan Zheng and Yueyan Chen
- How does second-child behavior affect self-employment?

- Yanping Pu and Xueping Liang
- Unraveling the dynamics of R&D and firm productivity: Empirical insights from 27 Chinese industries with regional and ownership differences

- Xin-Yi Peng, Ching-Yi Lin and Te-Ke Mai
- A study of price linkage in China's carbon-coal market based on the perspective of structural change

- Jiaohui Yu and Jinliang Luo
- Enterprise digital transformation, financial information disclosure and innovation efficiency

- Yaozhong Wang and Pinzhen He
- Information quality and cost of credit bond financing

- Qian Chen, Yang Li, Qiuyun Zhao and Fan Liu
- Digital finance and enterprise innovation efficiency: Evidence from China

- Hainan Wang and Fengshuo Liu
- Do social networks affect household financial vulnerability? Evidence from China

- Bo Chen, Ning Zeng and Kwo Ping Tam
- Choice for smart investment in mutual funds: Single- or multi-period performance ranks

- Yeonjeong Ha and Haejune Oh
- ESG reputation risk matters: An event study based on social media data

- Maxime L.D. Nicolas, Adrien Desroziers, Fabio Caccioli and Tomaso Aste
- Trade policy uncertainty and firm-level pollution emissions: Evidence from China's accession to the WTO

- Yanle Xi, Liang Zhang, Yuxin Zhou and Lamei Wu
- Stock market volatility and economic policy uncertainty: New insight into a dynamic threshold mixed-frequency model

- Qing Zeng, Yusui Tang, Hua Yang and Xi Zhang
- Price limit relaxation and stock price crash risk: Evidence from China

- Shaoqing Jia, Yunbi An, Liuyong Yang and Fangzhao Zhou
- Financial market development and carbon emissions: The transmission mechanisms and the role of political corruption

- Mert Topcu
- The suitability of using Uniswap V2 model to analyze V3 data

- Nir Chemaya and Dingyue Liu
- Macroeconomic impact and stock returns' vulnerability by size, solvency, and financial distress

- Chaeyoon Baek, Seungho Baek and Mina Glambosky
- Bank credit loss and ESG performance

- Elena Bruno, Giuseppina Iacoviello and Caterina Giannetti
- Digital transformation tone signal and the cost of equity: Evidence from Chinese listed companies

- Borui Guo and Xiaoxia Huang
- Corporate financialization during broadband upgrade

- Zhen Chu, Mingwang Cheng, Xuanwei Chen and Wenshun Li
- Multilayer information spillover network between ASEAN-4 and global bond, forex and stock markets

- Muhammad Yahya, Mohammad Reza Allahdadi, Gazi Uddin, Donghyun Park and Gang-Jin Wang
- Mean–variance optimization under affine GARCH: A utility-based solution

- Marcos Escobar-Anel, Ben Spies and Rudi Zagst
- The impact of geopolitical risks on foreign exchange markets: Evidence from the Russia–Ukraine war

- Ashrafee T. Hossain, Abdullah-Al Masum and Samir Saadi
- Do global and local economic policy uncertainties matter for systemic risk in the international banking system

- Yuanyue Deng and Sijing Li
- Social protection spending and financial crises

- Thanh Cong Nguyen, Vítor Castro and Justine Wood
- The impact of COVID-19 on corporate digital innovation in China: A study based on the DDD model

- Panpan Zheng, Zhen Li and Ziyin Zhuang
- Are two financial frictions necessary to match U.S. business and financial cycles?

- Mariusz Górajski and Zbigniew Kuchta
- Central bank digital currency adoption challenges- The case of an emerging nation

- Aswin Alora, Poonam Sahoo and Aghila Sasidharan
- Capital market liberalization and firms’ OFDI performance: Evidence from China

- Weihui Han, Lv Han and Qingqing Yang
- How climate risk drives corporate green innovation: Evidence from China

- Ye Tian, Songbo Chen and Li Dai
- A U-shaped relationship between the crypto fear-greed index and the price synchronicity of cryptocurrencies

- Jying-Nan Wang, Hung-Chun Liu and Yuan-Teng Hsu
- Reverse mixed ownership reform: Does state-owned capital injection inhibit corporate leverage manipulation?

- Ruoyu Zhu, Xiaohui Xin and Kehu Tan
- Risk contagion of NFT: A time-frequency risk spillover perspective in the Carbon-NFT-Stock system

- Jiatong Liu, You Zhu, Gang-Jin Wang, Chi Xie and Qilin Wang
- Local government debt and corporate tax avoidance: Evidence from China

- Pin Peng and Gaoyi Lin
- Management's tone in MD&A disclosure and investment efficiency: Evidence from China

- Weihua Zhou, Yuanjie Li, Deli Wang, Du Xueqin and Yishun Ke
- Green credit, financial regulation and corporate green innovation: Evidence from China

- Yu Chen, Yujiao Zhang and Mingshan Wang
- Green credit, supply chain transparency and corporate ESG performance: evidence from China

- Yingying Zhang, Dongqi Wan and Lei Zhang
- Improvement of firm's environmental performance under the background of green credit: The role of green supplier integration

- Wei He, Sui cheng Li and Rongrong Si
- Equity pledge and debt financing of listed companies

- Jing Hu, Lejia Zhong and Jingyuan Qiao
- Did the 'Early harvest list' of commodity trade under ECFA promote the development of manufacturing industry in Taiwan Province? An empirical analysis based on staggered DID model

- Siyuan Huang and Siqi Lu
- Revenue-sharing contract in a three-tier online supply chain under EB platform financing

- Heng Liu and Qiang Yan
- The impact of digital inclusive finance on the agricultural factor mismatch of agriculture-related enterprises

- Xianna Hong, Qiuhua Chen and Nan Wang
- Does the performance of financial policy improve the total factor productivity in the competition?——Empirical evidence from Chinese listed companies

- Haotian Wu, Jun Mi and Chengming Zhang
- Comparing the performance of Qatari banks: Islamic versus conventional, amidst major shocks

- Thomas Péran and Hasna Sdiri
- Focus on the impact and predictive analysis of digitalization and green finance on the transformation of mineral and energy companies

- Yueqi Li, Huwen Liu, Youngbae Kim and Hae Young Lee
- Proximity in consumer network and company new products decisions

- Yonghong Ma and Zhihua Zhao
- Fusing futures: Financial institutions’ stock price response to fintech acquisitions

- Michael Kueschnig and Andrea Schertler
- Firms' uncertainty perceptions and financial misallocation: Evidence from China

- Yongqian Tu, Aihua Zhang, Limiao He and Jiangyong Qi
- Minimum wage and corporate investment efficiency: Evidence from China

- Zhengjie Zhu and Jia Tian
- Can green credit policy alleviate inefficient investment of heavily polluting enterprises? A quasi-natural experiment based on the Green Credit Guidelines

- Cong Li, Jiaxuan Liu, Yunxu Zhou, Benshuo Yang and Jiawen Sun
- Predicting failure of P2P lending platforms through machine learning: The case in China

- Jen-Yin Yeh, Hsin-Yu Chiu and Jhih-Huei Huang
- Words to use with care? CEO dispositional optimism vs overconfidence

- Sergio Grove, Aaron Nelson, Eduardo D. Villacis Calderon and Kevin E. Dow
- Can ChatGPT assist in picking stocks?

- Matthias Pelster and Joel Val
- Does peer firms' debt default have positive externalities: The investment efficiency perspective

- Long Jin, Yuhang Song and Changchun Pan
- Interlocked executives’ bad reputation in the labor market

- Ning Tang, Jianqiang Chen, Chih-Yung Lin and Le Quoc Tuan
- Beyond origination charges: The pass-through of GSE upfront fee adjustments in 2022

- Di Wu and Nanxin Deng
- Foreign shareholders and executive compensation stickiness: Evidence from China

- Qicheng Zhao, Changyu Hu, Ruiyun Ma, Yugang Yin and Yahui Liu
- From Gambling to Gaming: The Crowding Out Effect

- Shubo Kou and Xiyuan Ma
- Star power: A quasi-natural experiment on how analyst status affects recommendation performance

- Baoqiang Zhan and Chong Wu
- The impact of air pollution on corporate environmental information disclosure–Evidence from heavy pollution industries in China

- Yu Siming, Xu Lingli, Du Peng, Qin Zhaohui, Zhong Qianqian and Zhao Tuanjie
- Can managers’ facial expressions predict future company performance and risk? Evidence from China

- Eping Liu and Haoyuan Qin
- The influence of grain futures market on stock price fluctuation of agricultural listed companies

- Lulu Zhang, Qi Shi and Ning Zhou
- Willingness to take risks for sustainability during the COVID-19 pandemic

- Julia Meyer
- Corporate financialization and the spread of issuing bonds

- Zhiyang Yu, Kaibin Yu, Ying Ye and Canghong Wang
- ESG performance and corporate solvency

- Haiyan Yu and Tao Su
- Analyst coverage and corporate financing

- Guangwu Dong, Chengrun Tian, Xining Wang and Sanchuan Wang
- Corporate strategic differences and earnings management

- Kun Tian, Yang Li, Canghong Wang and Tingyuan Zhou
- Enterprise digital transformation and stock price crash risk

- Zhentang Liang and Yunying Zhao
- What matters to reshaping consumption patterns in China? Digital inclusion and supply chain

- Xiang Ye and Pengpeng Yue
- Who Loses Most When Big Banks Suddenly Fail? Evidence from Silicon Valley Bank Collapse

- Xia Liu, William Megginson, Nhu Tran and Siqi Wei
- Can urban low-carbon transitions promote enterprise digital transformation?

- Xinmin Chen, Yuhong Huang and Yajia Gao
- Futures, provisional sales, and earnings management in the global gold mining industry

- Alessandro Paolo Rigamonti, Giulio Greco and Alessandro Capocchi
- The impact of economic policy uncertainty on IPO underpricing: Evidence from China

- Wanbin Pan, Yanliang Liu and Libin Tao
- Forecasting US Stock Market Volatility: Evidence from ESG and CPU indices

- Usman Ghani, Bo Zhu, Quande Qin and Maria Ghani
- Demographic change and natural interest rate of China

- Buben Fu and Bin Wang
- More resources are better? Strategic alliance involvement and cost stickiness

- Wenrui Chen, Yun Hong, Xinghe Liu, Cheng Xu and Jun Gao
- A note on the Gumbel convergence for the Lee and Mykland jump tests

- João Pedro Vidal Nunes and João Pedro Ruas
- Incorporating green assets in equity portfolios

- Vaibhav Lalwani
- Mandatory CSR disclosure and stock liquidity: Evidence from Chinese listed firms

- Shuyu Xue, Huilin Wu, Yishu Ling and Ye Lu
- How state-owned equity participation promotes the digital transformation of nonstate-owned enterprises: Evidence from China

- Zhe Chen, Yushan Cao and Kaicheng Liao
- Estimation of fixed effects partially linear varying coefficient spatial autoregressive model with disturbances correlated in space and time

- Bogui Li and Hao Chen
- The global spillovers of unconventional monetary policies on tail risks

- Irma Alonso Alvarez, Pedro Serrano and Antoni Vaello-Sebastià
- Stock market reactions and optimism bias in analysts’ earnings forecasts: An analysis of China's stock markets

- Xu Ji, Yan Dong, Gianluca Vagnani and Xiaoqi Yang
- A high-frequency data dive into SVB collapse

- David Y. Aharon and Shoaib Ali
- Capital market opening and commercial bank risk: Evidence from “Shanghai–Hong Kong Stock Connect”

- Wanqi Wang and Zhaoguang Qu
- Shareholder bargaining power and labor income share: Evidence from a quasi-natural experiment in China

- Guannan Liu, Anqi Wang, Kedi Wang and Qiuyun Zhao
- Higher-order moment risk spillovers across various financial and commodity markets: Insights from the Israeli–Palestinian conflict

- Jinxin Cui and Aktham Maghyereh
- Measuring systemic risk contribution: A higher-order moment augmented approach

- Peiwen Wang and Guanglin Huang
- Navigating the storm: How the COVID-19 pandemic transformed the M&A landscape

- Haowen Tian and Junkai Wang
- Revisiting the nexus of REITs returns and macroeconomic variables

- Ming-Che Wu and Chien-Ming Wang
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