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.
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Volume 41, issue C, 2021
- Does financial literacy mitigate gender differences in investment behavioral bias?

- Yuan-Lin Hsu, Hung-Ling Chen, Po-Kai Huang and Wan-Yu Lin
- Shareholder litigation and the risk incentive effect of executive compensation: A re-examination

- Isarin Durongkadej, Siqi Wei and Ramesh Rao
- Does financial structure affect CO2 emissions? Evidence from G20 countries

- Xingyuan Yao and Xiaobo Tang
- Predicting equity premium by conditioning on macroeconomic variables: A prediction selection strategy using the price of crude oil

- Nima Nonejad
- The role of financial deepening and green technology on carbon emissions: Evidence from major OECD economies

- Sudharshan Reddy Paramati, Di Mo and Ruixian Huang
- Learning from SARS: Return and volatility connectedness in COVID-19

- Emawtee Bissoondoyal-Bheenick, Hung Do, Xiaolu Hu and Angel Zhong
- The pricing of bad contagion in cryptocurrencies: A four-factor pricing model

- Syed Jawad Hussain Shahzad, Elie Bouri, Tanveer Ahmad, Muhammad Abubakr Naeem and Xuan Vinh Vo
- Asymmetric News Effects on Cryptocurrency Liquidity: an Event Study Perspective

- Wei Yue, Sijia Zhang and Qiang Zhang
- Firm-specific news and the predictability of Consumer stocks in Vietnam

- Afees Salisu and Xuan Vinh Vo
- Women oppose sin stocks more than men do

- Paweł Niszczota and Michał Białek
- Time-varying risk aversion and its macroeconomic and financial determinants - A comparative analysis in the U.S. and French financial markets

- Özcan Ceylan
- Corporate social responsibility, enterprise risk management, and real earnings management: Evidence from managerial confidence

- Ya-Fen Kuo, Yi-Mien Lin and Hsiu-Fang Chien
- Socially responsible investment and firm value: The role of institutions

- Jing Zhang and Shuang Zi
- Self-Rationing in European Businesses: Evidence from Survey Analysis

- Christos Kallandranis and Konstantinos Drakos
- CSR, Media and Stock Illiquidity: Evidence from Chinese Listed Financial Firms

- Junru Zhang and Zhaoyong Zhang
- Corporate Governance and Dividend Reinvestment Plans: Insights from Imputation Tax in Australia

- Hussein Abedi Shamsabadi, Imen Tebourbi, Mohammad Nourani and Byung S. Min
- The impact of information technology investment announcements on the market value of the Japanese regional banks

- Fumiko Takeda, Koichi Takeda, Toshihiko Takemura and Ryota Ueda
- Does Managerial Education Matter for Credit Risk? Evidence from Taiwan

- Thi Bao Ngoc Nguyen, Li-Feng Lin, Xuan-Qi Su and Jui-Hung Yu
- Herding behavior in the commodity markets of the Asia-Pacific region

- Ashish Kumar, K.N. Badhani, Elie Bouri and Tareq Saeed
- The non-pecuniary determinants of sovereign and bank rating changes

- Md Abdul Wasi, Thu Phuong Pham and Ralf Zurbruegg
- Banks, Funds, and risks in islamic finance: Literature & future research avenues

- Jocelyn Grira and Chiraz Labidi
- Pricing of Green Labeling: A Comparison of Labeled and Unlabeled Green Bonds

- Suk Hyun, Donghyun Park and Shu Tian
- Time-varying impact of pandemics on global output growth

- Rangan Gupta, Xin Sheng, Mehmet Balcilar and Qiang Ji
- The quality of higher education and overeducation: Where should higher education funding go?

- Yunbo Liu, Lu Yin and Jianru Guo
- Transient emotions, perceptions of well-being, and mutual fund flows

- William J. Bazley, Arash Dayani and Sima Jannati
- The impact of Covid-19 on liquidity of emerging market bonds

- Mariya Gubareva
- Internal control material weakness opinions and the market's reaction to securities fraud litigation announcements

- Yu-Cheng Tsai and Hua-Wei Huang
- Does the research done by the institutional investors affect the cost of equity capital?

- Fateh Saci and Sajjad M. Jasimuddin
- Large sample size bias in empirical finance

- Michael Michaelides
- Do Competent Managers Hoard Bad News? Self-regulation Theory and Korean Evidence

- Sangho Lee, Sejoong Lee and Ji Yeon Ryu
- Influence of nonspecific factors on the interest rate of online peer-to-peer microloans in China

- Jianfeng Guo, Xiaojie Liu, Changnan Cui and Fu Gu
- How does economic policy uncertainty affect corporate risk-taking? Evidence from China

- Fenghua Wen, Cui Li, Han Sha and Liuguo Shao
- Synthetic forwards and cost of funding in the equity derivative market

- Michele Azzone and Roberto Baviera
- An Evaluation of the Effect of the COVID-19 Pandemic on the Risk Tolerance of Financial Decision Makers

- Wookjae Heo, Abed Rabbani and John E. Grable
- KIBS Import Technological Complexity and Manufacturing Value Chain Upgrading from a Financial Constraint Perspective

- Qunxi Kong, Chenrong Shen, Wei Sun and Wei Shao
- A COVID-19 forecasting system using adaptive neuro-fuzzy inference

- Kim Tien Ly
- The contrarian strategy of institutional investors in Chinese stock market

- Fenghua Wen, Qian Zou and Xiong Wang
- Drivers of the electric vehicle market: A systematic literature review of empirical studies

- Leonhard M. Austmann
- Quest for a parsimonious factor model in the wake of quality-minus-junk, misvaluation and Fama-French-six factors

- Fahad Ali and Numan Ülkü
- The examination of Fama-French Model during the Covid-19

- Dominik Horváth and Yung-Lin Wang
- Does analyst following restrain tunneling? Evidence from brokerage closures and mergers

- Kaijuan Gao, Yiran Shen and Kam C. Chan
- Factor Investing and Risk Management: Is Smart-Beta Diversification Smart?

- Gregory Nazaire, Maria Pacurar and Oumar Sy
- Ex-Ante Risk Factors and Required Structures of the Implied Correlation Matrix

- Wolfgang Schadner
- Stock markets’ reaction to Covid-19: Moderating role of national culture

- Badar Nadeem Ashraf
- Cyber risks and initial coin offerings: Evidence from the world

- Jiafu An, Tinghua Duan, Wenxuan Hou and Xianda Liu
- Banking competition and cost stickiness

- Eunsuh Lee, Chaehyun Kim and Maria A. Leach-López
- Competition risk and expected stock returns

- Roi D. Taussig
- FINANCIAL INCLUSION AND FIRM GROWTH IN ASEAN-5 COUNTRIES: A NEW EVIDENCE USING THRESHOLD REGRESSION

- Rosmah Nizam, Zulkefly Abdul Karim, Tamat Sarmidi and Aisyah Abdul Rahman
- Intraday interactions between high-frequency trading and price efficiency

- Imen Ben Ammar and Slaheddine Hellara
- Information content of order imbalance in an order-driven market: Indian Evidence

- Abhinava Tripathi, Alok Dixit and Vipul,
- Modelling stock market data in China: Crisis and Coronavirus

- Lorenzo Cristofaro, Luis Gil-Alana, Zhongfei Chen and Peter Wanke
- Risk Mitigation and Return Resilience for High Yield Bond ETFs with ESG Components

- Takashi Kanamura
- The influence of stablecoin issuances on cryptocurrency markets

- Lennart Ante, Ingo Fiedler and Elias Strehle
- Do political connections improve corporate performance? Evidence from Chinese listed companies

- Xiaoying Li and Yue Jin
- The Capital Market Impact of Blackrock’s Thermal Coal Divestment Announcement

- Alexander Bassen, Thomas Kaspereit and Daniel Buchholz
- Linking theories of incomplete contracts to empirics in IPO contracting

- Yoonha Kim
- Zombie firms: Prevalence, determinants, and corporate policies

- Sadok El Ghoul, Zhengwei Fu and Omrane Guedhami
- Network Connectedness of World's Islamic Equity Markets

- Md Iftekhar Hasan Chowdhury, Faruk Balli and M. Kabir Hassan
- Dynamic connectedness of currencies in G7 countries: A Bayesian time-varying approach

- Yang Wan and Shi He
- Imperial colonialism and shadow banking: Evidence from northeastern China, 1898–1911

- Tong Fu and Yuanyuan Li
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