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Global Finance Journal

1990 - 2019

Current editor(s): Manuchehr Shahrokhi

From Elsevier
Bibliographic data for series maintained by Dana Niculescu ().

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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 Eskandar Shah
Latin American Corporate Emerging Markets Bond Indices (CEMBIs): Their recent evolution pp. 104-112 Downloads
López-Herrera, Francisco, Santillán-Salgado, Roberto J. 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
Bourdeau-Brien, Michael 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 C. Dudley

Volume 38, issue C, 2018

Is corporate social responsibility a value-increasing investment? Evidence from antitakeover provisions pp. 1-12 Downloads
Shahbaz Sheikh
Does sustainability make banks more cost efficient? pp. 13-23 Downloads
Lien-Wen Liang, Hai-Yen Chang and Hao-Ling Shao
Benchmark error and socially responsible investments pp. 24-29 Downloads
Ray R. Sturm and Casey Margarite Field
Investor implications of divesting from fossil fuels pp. 30-44 Downloads
Irene Henriques and Perry Sadorsky
ESG performance and firm value: The moderating role of disclosure pp. 45-64 Downloads
Ali Fatemi, Martin Glaum and Stefanie Kaiser
CSR engagement and financial risk: A virtuous circle? International evidence pp. 65-81 Downloads
Pierre Chollet and Blaise W. Sandwidi
Are more corporate social investments better? Evidence of non-linearity effect on costs of U.S. Bank loans pp. 82-96 Downloads
Sung C. Bae, Kiyoung Chang and Ha-Chin Yi
Are socially responsible firms less likely to restate earnings? pp. 97-109 Downloads
Iuliia Chepurko, Ajit Dayanandan, Han Donker and John Nofsinger

Volume 37, issue C, 2018

Ownership structure, audit quality, board structure, and stock price crash risk: Evidence from China pp. 1-24 Downloads
Wing Him Yeung and Camillo Lento
The effect of managerial entrenchment on analyst bias pp. 25-38 Downloads
Bahar Ulupinar
Disentangling the impacts of industrial and global diversification on firm risk pp. 39-56 Downloads
Mohammad Jafarinejad, Thanh Ngo and Diego Escobari
Diversification and bank efficiency in six ASEAN countries pp. 57-78 Downloads
Thi Lam Anh Nguyen
Waiting for guidance: Disclosure noise, verification delay, and the value-relevance of good-news versus bad-news management earnings forecasts pp. 79-99 Downloads
Lee Jeremy Cohen, Alan J. Marcus, Zabihollah Rezaee and Hassan Tehranian
The co-insurance effect hypothesis and the cost of bank loans: Evidence from Indonesian pyramidal business groups pp. 100-122 Downloads
Yane Chandera, Cynthia Afriani Utama, Zaäfri Ananto Husodo and Setia-Atmaja, Lukas
Institutional determinants of cash holdings speed of adjustment pp. 123-137 Downloads
Svetlana V. Orlova and Li Sun
Payout policy in industrial and financial firms pp. 138-151 Downloads
H. Kent Baker and Adri De Ridder
The determinants of retail trading activity in emerging markets: A cross-market analysis pp. 152-167 Downloads
Stefano Alderighi
Future exchange rates and Siegel's paradox pp. 168-172 Downloads
Mallahi-Karai, Keivan and Pedram Safari
How corporate governance affects productivity in civil-law business environments: Evidence from Latin America pp. 173-185 Downloads
Sandra Gaitán, Herrera-Echeverri, Hernán and Eduardo Pablo
The impact of Chinese financial markets on commodity currency exchange rates pp. 186-198 Downloads
Xiuying Ma, Zhihua Yang, Xiangyun Xu and Chengqi Wang
A firm-level analysis of the upstream-downstream dichotomy in the oil-stock nexus pp. 199-218 Downloads
Raymond Swaray and Afees Salisu
Unintended consequences of securities regulation: Stock value loss upon potential involuntary delisting in Hong Kong pp. 219-226 Downloads
Kam-Wah Lai and Patrick W. Leung
Do terrorist attacks harm financial markets? A meta-analysis of event studies and the determinants of adverse impact pp. 227-247 Downloads
Jin Suk Park and Mohammad Khaleq Newaz
Spectral measures of risk for international futures markets: A comparison of extreme value and Lévy models pp. 248-261 Downloads
Sharif Mozumder, Taufiq Choudhry and Michael Dempsey
Page updated 2019-10-22