Global Finance Journal
1990 - 2025
Current editor(s): Manuchehr Shahrokhi From Elsevier Bibliographic data for series maintained by Catherine Liu (). Access Statistics for this journal.
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Volume 67, issue C, 2025
- Business expectations and public policies amid exogenous shocks: The COVID-19 case in Latin America

- Paula Margaretic, Santiago Mingo and Agustin Sotelo
- Gender diversity in the boardroom: The role of female directors in mitigating stock price crash risk

- Robin Chen, Shenru Li, Quang Thai Truong and Chia-Ying Chan
- Cryptocurrency’s price volatility and adaptive learning

- Joy D. Xiuyao Yang
- Ethnic green culture in leadership and corporate green investment: Evidence from China

- Yuan Du, Lu Sun, Wei Cui and Hongxin Wang
- Navigating ESG rating divergence: Implications for labor investment efficiency and firm adaptation strategy

- Liangpeng Wu, Yujing Tang, Lei Meng, Qingyuan Zhu and Dequn Zhou
- Risk management disclosure and risk premia of commercial banks in China: evidence from global systemic importance assessment indicators

- Yonghai Wang and Gaomiao Wang
- Net stable funding ratio: Implication for Bank stability in Europe

- Imtynan Khalifeh, Francois Benhmad, Chawki El Moussawi and Amine Tarazi
- The diminishing lustre: Gold's market volatility and the fading safe haven effect

- Hussain Faraj, David McMillan and Mariam Al-Sabah
- Terrorism and cross-border mergers and acquisitions

- Edward R. Lawrence, Mehul Raithatha and Iván M. Rodríguez
- Greenwashing, greenhushing, and the path to green banking

- Gennaro De Novellis, Alessia Pedrazzoli, Daniela Pennetta and Valeria Venturelli
- Global competitiveness and market liquidity

- Jang-Chul Kim, Sharif Mazumder, Ali Nejadmalayeri and Qing Su
- Cryptocurrencies and alternative bonds: Novel evidence on co-movement and risk sharing

- Osamah AlKhazali, Destan Kirimhan, Mustafa Raza Rabbani, Syed Mabruk Billah and Muneer Shaik
- Financial structure and economic efficiency in Sub-Saharan Africa

- Ficawoyi Donou-Adonsou
- Disaggregated geopolitical risks and global stock returns

- Md Khaled Hossain Rafi and Syed Riaz Mahmood Ali
- Accounting disclosures and stock price efficiency: Evidence from mandatory IFRS adoption

- Karel Hrazdil, Yan Li and Thomas Scott
- The devil is in the details: Does information in credit rating announcements affect dividend policy?

- Konstantinos Kakouris, Evangelos Charalambakis and Dimitrios Psychoyios
- Name concentration risk in Multilateral Development Banks’ portfolios: Measurement and capital adequacy implications

- Eva Lütkebohmert, Julian Sester and Hongyi Shen
- Impact of vertical mergers on rivals' cost of debt

- Mohammadali Fallah, Palani-Rajan Kadapakkam and Mauro Oliveira
- Technological progress and carbon emissions: Evidence from the European Union

- Hyun-Jung Nam, Doojin Ryu and Peter G. Szilagyi
- Hydroclimatic risk mispricing: Evidence from China

- Jiaming Su and Yongqiao Wang
- Green dreams, risky assets? A study of high-yield green bonds

- Sang Baum Kang, Satwik Sinha and Jiyong Eom
- Sailing through uncertainty: Shipping's role in financial shock transmission and hedging strategies

- Spyros Papathanasiou, Theodore Syriopoulos, Dimitris Kenourgios and Drosos Koutsokostas
- The power of attention: examining the roles of institutional investor and macroeconomic news attention in shaping share liquidity

- John Garcia
- When ESG news talks: How media sentiment shapes corporate financial behavior in China

- Weijie Tan, Yiqian Liu and Mingming Teng
- Responsive CSR as damage control and the effect of institutional owner commitment

- Steven A. Dennis, Hua-Hsin Tsai and Marc Tony Via
- How do voting powers matter in equity finance? Evidence from chinese private placements

- Peiyuan Zhu
- January effect, Lunar New Year effect, and liquidity preference

- Jinjing Liu
- The stock market effects of committing and setting GHG targets: evidence from the science-based targets initiative

- Santiago Guerrero-Escobar, Gerardo Hernández-del-Valle and Marco Hernández-Vega
- Assessing dynamic connectedness in global supply chain infrastructure portfolios: The impact of risk factors and extreme events

- Haibo Wang
- ESG fund performance and fund manager trading strategy: Evidence from China

- Tiantian Tang, Jiahui Guo, Liping Zou and Lu Luo
- Ownership concentration and equity transactions: The ambivalent role of controlling shareholders in firm performance in Latin American contexts

- Jimmy Saravia, Silvia Saravia-Matus, Cristhian J. Cachope and Paula M. Almonacid
- Regulatory enforcement actions and bank liquidity creation: Evidence from China

- Yuanbiao Huang and Jinlei Li
- Analytical fixed income pricing in discrete time: A new family of models

- Marcos Escobar-Anel, Lars Stentoft and Xize Ye
- Unbundling institutions for corporations

- Dong Wook Lee, Jee Eun Lee and Lingxia Sun
- Social capital and leasing

- Joshua Zhang, Hasibul Chowdhury, Jacquelyn E. Humphrey and Mostafa Monzur Hasan
- From noise to signals: Investor attention as a catalyst for the momentum effect in the Chinese stock market

- Zhi-Yu Zhang, Chi Xie, Gang-Jin Wang, You Zhu and Xiao-Xin Li
- Corporate environmental responsibility and financial constraints for unlisted SMEs

- Barkat Ullah
- Watchdogs of greenwashing: The role of long-term institutional cross-ownership

- Wenjing Yin, Gaomiao Wang and Yumiao Yu
- Effects of domestic and foreign financial stress on stock returns in Asia-Pacific countries

- Oguzhan Ozcelebi, Rim El Khoury, R. Gopinathan and Seong-Min Yoon
- Do ESG rating changes matter? Evidence from Chinese stock market

- Dianhao Liu and Jun Zhou
Volume 66, issue C, 2025
- Not just the news: Higher moments of macroeconomic variables and sovereign bond returns

- Yulin Li, John K. Wald and Zijun Wang
- Financial inclusion, inequality, and retirement trends among older workers

- Isaac Marcelin and Wei Sun
- Foreign institutional investors and share pledging: Evidence from China's stock market openness reform

- Jin Jiang, Baolong Liu and Rui Ye
- ESG rating disagreement and the cost of equity capital

- Zhukun Lou, Sujie Li, Jingyi Tong and Jing Zhao
- Does green bond issuance affect firm value? Evidence from China

- Nannan Ban, Xinxin Che, Thomas Walker and Yunfei Zhao
- Beyond the headlines: Sentiment divergence and financial distress

- John Garcia
- ESG in the headlines: Media-driven reputational risk and stock performance

- Bole Zhou and Wanjun Ge
- CFO overseas experience and stock price crash risk

- Kai Tang and Yuxiang Cheng
- Institutions and the sovereign-bank nexus in the MENA

- Mohamad Faour and Khaled Saad
- Mean-variance optimization and the cross-section of stock returns

- Vaibhav Lalwani
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