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 60, issue C, 2024
- Relative performance evaluation with business group affiliation as a source of common risk

- Yoon K. Choi, Seung Hun Han and Yonghyun Kwon
- Earnings growth rates in business valuation models: The impossible quaternity

- Nguyen Kim-Duc and Pham Khanh Nam
- FinTech entrepreneurial ecosystem in India: Role of incubators and accelerators

- Manmeet Kaur, Wasim Ahmad, K.S. Hari and Ruth Kattumuri
- Measuring the risk appetite of bank-controlling shareholders: The Risk-Weighted Ownership index

- Luca Bellardini, Pierluigi Murro and Daniele Previtali
- Global perspectives on corporate social responsibility, political institutions, and the political economy

- Sadok El Ghoul, Omrane Guedhami and Rana Jamshed
- Do insiders profit from public environmental information? Evidence from insider trading

- Sadok El Ghoul, Zhengwei Fu, Omrane Guedhami and Yongwon Kim
- CSR disclosure, political risk and market quality: Evidence from the Russia-Ukraine conflict

- Danjue Clancey-Shang and Chengbo Fu
- Corporate political risk and environmental performance

- Md Safiullah and Md. Nurul Kabir
- Corporate social responsibility and voting over public goods

- Andrew Samwick and Sophie Wang
- The evolution of corporate social responsibility in China: Do political connection and ownership matter?

- Kienpin Tee, Xihui Haviour Chen and Chee-Wooi Hooy
- Political legitimacy and CSR reporting: Evidence from non-SOEs in China

- Siwen Song, Aelee Jun, Tianpei Luo and Shiguang Ma
- Exploring the drivers of investment in Fintech: Board composition and home bias in banking

- Belinda Laura Del Gaudio, Serena Gallo and Daniele Previtali
- Unlocking the black box of sentiment and cryptocurrency: What, which, why, when and how?

- Donyetta Bennett, Erik Mekelburg, Jack Strauss and T.H. Williams
- Does the stock market anticipate events and supreme court decisions in corporate cases?

- Yehuda Davis, Suresh Govindaraj and Kate Suslava
- Which witch is which? Deconstructing the foreign exchange markets activity

- Alexei G. Orlov and Rajiv Sharma
- Bridging the gap: Uncovering static and dynamic relationships between digital assets and BRICS equity markets

- Shoaib Ali, Nassar S. Al-Nassar and Muhammad Naveed
- The digital economy, market integration and environmental gains

- Benbo Liang, Gailei He and Yuran Wang
- Unlocking the impact of digital technology progress and entry dynamics on firm's total factor productivity in Chinese industries

- Junyu Pan, Javier Cifuentes-Faura, Xin Zhao and Xiaoqian Liu
- Trade openness and income inequality: The moderating role of institutional quality

- Hyun-Jung Nam, Bart Frijns and Doojin Ryu
- Economic policy uncertainty and the inhibitory effect of firms' green technology innovation

- Xiaoxiao Zhou, Mengsi Dai, Xiaowei Ma, Vincent Charles, Umer Shahzad and Xin Zhao
- Synthetic cap rate indices (1991-Covid era)

- Andreas D. Christopoulos, Joshua G. Barratt and Daniel C. Ilut
- U.S. Political corruption and labor investment (in)efficiency

- Hasibul Chowdhury, Timothy Estreich, Ashrafee Hossain and Jiayi Zheng
- Outward foreign investment performance, digital transformation, and ESG performance: Evidence from China

- Muhammad usman Khurram, Wajih Abbassi, Yifan Chen and Lifeng Chen
- Gold-backed cryptocurrencies: A hedging tool against categorical and regional financial stress

- Mohammad Enamul Hoque, Syed Billah, Md Rafayet Alam and Aviral Tiwari
- Wealth as a moderating effect on gender differences in portfolio holdings

- Ylva Baeckström, Onur Kemal Tosun and Raul Riefler
- U.S. multinational corporations' income shifting incentives and share repurchases: Evidence across differential taxation systems

- Baban Eulaiwi, Fatmah Saeed Alghamdi, Ahmed Al-Hadi, Lien Duong and Grantley Taylor
- The impact of oil shocks on the stock market

- César Castro and Rebeca Jiménez-Rodríguez
- Public sector unions and municipal debt

- Hae Mi Choi and Swasti Gupta-Mukherjee
Volume 59, issue C, 2024
- Does social trust mitigate insiders' opportunistic behaviors? Evidence from insider trading

- Yonggang Tian, James S. Ang, Panpan Fu, Chaoqun Ma and Xiuhua Wang
- Is there a tradeoff between management earnings forecasts and sustainability reporting?

- Ling Tuo, Zabihollah Rezaee and Lei Gao
- Limits of arbitrage and their impact on market efficiency: Evidence from China

- Jian Chen, Ahmad Haboub and Ali Khan
- Macroprudential regulation and bank risk: The role of shareholders' and creditors' rights

- Tiago Matos, João C.A. Teixeira and Tiago M. Dutra
- Terror threat and investor sentiment: International evidence

- Thomas J. Boulton and Corey A. Shank
- Stabilizing global foreign exchange markets in the time of COVID-19: The role of vaccinations

- Son Duy Pham, Thao Thac Thanh Nguyen and Xiao-Ming Li
- Climate risk, ESG performance, and ESG sentiment in US commercial banks

- Otgontsetseg Erhemjamts, Kershen Huang and Hassan Tehranian
- Empirical effects of sanctions and support measures on stock prices and exchange rates in the Russia–Ukraine war

- Jens Klose
- Why do undervalued firms repurchase shares? Evidence based on the market-timing effect in China

- Pengfei Ma, Chengcheng Li and Xiaoqiong Wang
- Property crime and lottery-related anomalies

- Ya Gao and Reza Bradrania
- Information asymmetry in non-US stocks: The compounding and mitigating effects of tax havens and corruption

- Darius Fatemi and Jang-Chul Kim
- Foreign investments and firm risk: Evidence from Germany

- Napaporn Likitwongkajon and Chaiporn Vithessonthi
- Monetary winds of change: Exploring the link between policy shifts and bank profitability in developed and emerging European markets

- Achilleas Raftis, Christos Karpetis, Stephanos Papadamou and Eleftherios Spyromitros
- CSR regulation and the working capital management policy

- Nemiraja Jadiyappa and Rachappa Shette
- Corporate governance and CSR disclosure: Evidence from French listed companies

- Tarek Miloud
Volume 58, issue C, 2023
- Green bonds: Do investors benefit from third-party certification?

- Duygu Zirek and Omer Unsal
- Big is beautiful: The impact of bank–borrower relationship and sponsor size on credit spreads and underwriting fees in commercial real estate lending

- Ricarda Haffki, Ferdinand Mager and Kerstin Hennig
- Banking competition and the use of shadow credit: Evidence from lending marketplaces

- Qianli Ma, Lei Xu, Sajid Anwar and Zenghua Lu
- Can the green credit policy reduce carbon emission intensity of “high-polluting and high-energy-consuming” enterprises? Insight from a quasi-natural experiment in China

- Yufeng Wang
- Powerful CEOs and investment efficiency

- Md Raihan Uddin Chowdhury, Feixue Xie and Md Mahmudul Hasan
- Brazilian stock-market efficiency before and after COVID-19: The roles of fractality and predictability

- Leandro dos Santos Maciel
- Extreme negative events and corporate acquisitions: Terrorist attacks

- Chia-Wei Huang and Chih-Yen Lin
- Firm performance & effective mitigation of adverse business scenarios

- Gurupdesh Pandher and Jerry Sun
- Busy board and corporate debt maturity structure

- Md Ruhul Amin, Sharif Mazumder and Elvan Aktas
- Time-varying asymmetric spillovers among cryptocurrency, green and fossil-fuel investments

- Linh Pham, Toan Luu Duc Huynh and Waqas Hanif
- The impact of public health emergencies on small and medium-sized enterprises: Evidence from China

- Qingfu Liu, Chen Shi, Yiuman Tse and Linlin Zhang
- Be nice to the air: Severe haze pollution and mutual fund risk

- Suvra Roy, Harvey Nguyen and Nuttawat Visaltanachoti
- An examination of green bonds as a hedge and safe haven for international equity markets

- Boru Ren, Brian Lucey and Qirui Luo
- Greasing the wheels of irreversible investment: International evidence on the economic effects of corruption

- Kenneth Yung, Qiuye Cai and Deqing Diane Li
- Liquidity spillovers in the global stock markets: Lessons for risk management

- Jorge A. Muñoz Mendoza, Guillermo Ferreira and Vicente A. Márquez Sanders
- Pricing of European currency options considering the dynamic information costs

- Wael Dammak, Salah Ben Hamad, Christian de Peretti and Hichem Eleuch
- Research on the FinTech risk early warning based on the MS-VAR model: An empirical analysis in China

- Ya Bu, Xin Du, Hui Li, Xinghui Yu and Yuting Wang
- The dynamics of market efficiency of major cryptocurrencies

- Faheem Aslam, Bilal Ahmed Memon, Ahmed Hunjra and Elie Bouri
- Attention based dynamic graph neural network for asset pricing

- Ajim Uddin, Xinyuan Tao and Dantong Yu
- Dynamic connectedness, spillover, and optimal hedging strategy among FinTech, Sukuk, and Islamic equity markets

- Mustafa Raza Rabbani, Syed Billah, Muneer Shaik, Mashuk Rahman and Rhada Boujlil
- Equity misvaluation and debt markets

- May Xiaoyan Bao, Aaron Crabtree, Marc Morris and Huishan Wan
- Digital transformation in finance and its role in promoting financial transparency

- Xiaoxue Gao
- Forecasting NFT coin prices using machine learning: Insights into feature significance and portfolio strategies

- Irene Henriques and Perry Sadorsky
- The role of ESG performance in firms' resilience during the COVID-19 pandemic: Evidence from Nordic firms

- Habeeb Yahya
- Quantile connectedness and the determinants between FinTech and traditional financial institutions: Evidence from China

- Yan Chen, Gang-Jin Wang, You Zhu, Chi Xie and Gazi Uddin
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