Economics at your fingertips  

Global Finance Journal

1990 - 2020

Current editor(s): Manuchehr Shahrokhi

From Elsevier
Bibliographic data for series maintained by Haili He ().

Access Statistics for this journal.
Track citations for all items by RSS feed
Is something missing from the series or not right? See the RePEc data check for the archive and series.

Volume 45, issue C, 2020

Historic risk and implied volatility Downloads
Mehmet F. Dicle and John Levendis
The bank lending channel in the Malaysian Islamic and conventional banking system Downloads
Guglielmo Maria Caporale, Abdurrahman Nazif Çatık, Mohamad Husam Helmi, Faek Menla Ali and Mohammad Tajik
What is the investment loss due to uncertainty? Downloads
Theodore Panagiotidis and Panagiotis Printzis
Internet search volumes of UK banks during the crisis: The role of banking structure and business model Downloads
Ivo J.M. Arnold
Investment efficiency: Dual-class vs. Single-class firms Downloads
Xiaoyan Cheng, Heminigild Mpundu and Huishan Wan
VPIN, liquidity, and return volatility in the U.S. equity markets Downloads
Serhat Yildiz, Bonnie Van Ness and Robert Van Ness
Corporate social responsibility and earnings quality: Evidence from China Downloads
Zabihollah Rezaee, Huan Dou and Huili Zhang
On the financial market impact of euro area monetary policy: A comparative study before and after the Global Financial Crisis Downloads
Franziska Collingro and Michael Frenkel

Volume 44, issue C, 2020

Are investors compensated for their sophistication and informedness for company takeovers – An Australian study Downloads
Chris McAdam
Better directors or distracted directors? An international analysis of busy boards Downloads
Stephen P. Ferris, Narayanan Jayaraman and Liao, Min-Yu (Stella)
The effects of ownership structure on dividend policy: Evidence from seasoned equity offerings (SEOs) Downloads
Anh Ngo, Hong Duong, Thanh Nguyen and Liem Nguyen
Does relative valuation work for banks? Downloads
Gianfranco Forte, Gianfranco Gianfrate and Emanuele Rossi
Informed trading in hybrid bond markets Downloads
Siri Valseth
The cost of capital: U.S.-based multinational corporations versus U.S. domestic corporations Downloads
Zhimin Wang, Marilyn Ettinger, Yuying Xie and Li Xu
The information content of director trading: Evidence from acquisition announcements in Australia Downloads
Md Mosharraf Hossain, Richard Heaney and Jing Yu
The state of research on sovereign wealth funds Downloads
William L. Megginson and Xuechen Gao

Volume 43, issue C, 2020

Financing preferences and practices of Indian SMEs Downloads
H. Kent Baker, Satish Kumar and Purnima Rao
Determinants of profit reinvestment undertaken by SMEs in the small island countries Downloads
Nirosha Hewa WELLALAGE and Krishna Reddy
Lost in Translation: The determinants and the effect of soft information dispersion in bank lending Downloads
Claudio Porzio, Gabriele Sampagnaro and Vincenzo Verdoliva
Does corporate social responsibility help the survivorship of SMEs and large firms? Downloads
Francesco Gangi, Antonio Meles, Stefano Monferrà and Mario Mustilli
Credit rationing and the relationship between family businesses and banks in Italy Downloads
Giovanni Ferri, Pierluigi Murro and Marco Pini
Assessing the credit worthiness of Italian SMEs and mini-bond issuers Downloads
Edward I. Altman, Maurizio Esentato and Gabriele Sabato

Volume 42, issue C, 2019

In search of distress risk in China's stock market Downloads
Li Gao, Wei He and Qian Wang
What is a better cross-hedge for energy: Equities or other commodities? Downloads
Eric Olson, Andrew Vivian and Mark Wohar
Foreign acquisitions and firm performance: The moderating role of prior foreign experience Downloads
Henry Agyei-Boapeah
The risk and return of private equity real estate funds Downloads
Kieran Farrelly and Simon Stevenson
Size effects and economies of scale in European real estate companies Downloads
Brent Ambrose, Franz Fuerst, Nick Mansley and Zilong Wang
Capitalization rates and transaction activity in international office markets: A global perspective Downloads
Steven Devaney, Nicola Livingstone, Pat McAllister and Anupam Nanda
Why companies do not pay cash dividends: The Turkish experience Downloads
H. Kent Baker and Erhan Kilincarslan

Volume 41, issue C, 2019

First-move advantage in seasoned equity offerings: Evidence from European banks pp. 1-12 Downloads
Marco Botta
Why have many U.S.-listed Chinese firms announced delisting recently? pp. 13-31 Downloads
Gang Hu, Ji-Chai Lin, Owen Wong and Manning Yu
Stock market integration between the UK and the US: Evidence over eight decades pp. 32-43 Downloads
Olalekan Aladesanmi, Fabrizio Casalin and Hugh Metcalf
Competitive environment and innovation intensity pp. 44-59 Downloads
Marcia Millon Cornett, Otgontsetseg Erhemjamts and Hassan Tehranian
Cross-asset relations, correlations and economic implications pp. 60-78 Downloads
David G. McMillan
Faith-based norms and portfolio performance: Evidence from India pp. 79-89 Downloads
M. Dharani, M. Kabir Hassan and Andrea Paltrinieri
The substitution hypothesis of agency conflicts: Evidence on Shariah compliant equities pp. 90-103 Downloads
Wajahat Azmi, Zaheer Anwer, Shamsher Mohamad and Mohamed Shah
Latin American Corporate Emerging Markets Bond Indices (CEMBIs): Their recent evolution pp. 104-112 Downloads
Francisco López-Herrera, Roberto Santillan-Salgado and Alejandra Cabello
Government venture capital and cross-border investment pp. 113-127 Downloads
Arash Soleimani Dahaj and Brian Paul Cozzarin
The real earnings management of cross-listing firms pp. 128-145 Downloads
Klaus S. Beckmann, Diego Escobari and Thanh Ngo
Is the venture capital market liquid? Evidence from India pp. 146-157 Downloads
James Dominic and Arun Kumar Gopalaswamy

Volume 40, issue C, 2019

Thresholds in the nexus between financial deepening and firm performance: Evidence from Indonesia pp. 1-12 Downloads
Wahyoe Soedarmono, Irwan Trinugroho and Bruno S. Sergi
The effectiveness of foreign exchange intervention in Latin America: A nonlinear approach to the coordination channel pp. 13-27 Downloads
Fredy Gamboa-Estrada
Short-sale constraints and stock price informativeness pp. 28-34 Downloads
Ali Ebrahimnejad and Saeid Hoseinzade
Duration of poor performance and risk shifting by hedge fund managers pp. 35-47 Downloads
Ying Li, A. Steven Holland and Hossein B. Kazemi
Municipal financing costs following disasters pp. 48-64 Downloads
Michael Bourdeau-Brien and Lawrence Kryzanowski
The impact of political connections and business groups on cash holdings: Evidence from Chinese listed firms pp. 65-73 Downloads
Tsui-Jung Lin, Hai-Yen Chang, Hui-Fun Yu and Ching-Pao Kao
Stock Market Valuation, Foreign Investment, and Cross-Country Arbitrage pp. 74-84 Downloads
Liu Wang
Tests of technical trading rules and the 52-week high strategy in the corporate bond market pp. 85-103 Downloads
William Montgomery, Ahmad Raza and Numan Ülkü

Volume 39, issue C, 2019

Introduction to the special issue: Prudential financial regulation pp. 1-2 Downloads
Douglas Evanoff
Evolving micro- and macroprudential regulations in the United States: A primer pp. 3-9 Downloads
Diana Hancock
Regulatory responses to banking crisis: Lessons from Japan pp. 10-16 Downloads
Masami Imai
The regulatory response to the sovereign-bank nexus pp. 17-20 Downloads
Luc Laeven
The costs and benefits of bank capital requirements pp. 21-25 Downloads
Gianni De Nicolò
Capital regulation: What is an appropriate minimum level? pp. 26-29 Downloads
Mark Carey
The interplay between liquidity regulation, monetary policy implementation and financial stability pp. 30-38 Downloads
Todd Keister
An overview of regulatory stress-testing and steps to improve it pp. 39-43 Downloads
Matt Pritsker
Predicting European bank stress tests: Survival of the fittest pp. 44-57 Downloads
James W. Kolari, Félix López-Iturriaga and Ivan Pastor Sanz
Principles for financial regulatory reform pp. 58-62 Downloads
William Dudley
Page updated 2020-12-03