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 54, issue C, 2022
- Predictability of stock market returns: New evidence from developed and developing countries

- Xiyang Li, Xiaoyue Chen, Bin Li, Tarlok Singh and Kan Shi
- Do Muslim CEOs and Muslim stakeholders prefer Islamic debt financing?

- Rayenda Brahmana and Hui Wei You
- Capital structure of Islamic banks: How different are they from conventional banks?

- Hafiz Hoque and Heng Liu
- Opportunistic earnings management or performance-related effects? Evidence from dividend-paying firms

- Reza Espahbodi, Nan Liu and Robert A. Weigand
- Impact of oil demand and supply shocks on the exchange rates of selected Southeast Asian countries

- Md. Forhad and Md Rafayet Alam
- Can extra-financial ratings serve as an indicator of ESG risk?

- Claudia Champagne, Frank Coggins and Amos Sodjahin
- In search of COVID-19 and stock market behavior

- Radeef Chundakkadan and Elizabeth Nedumparambil
- Does bank capital reduce liquidity creation?

- Joshua J. Evans and Mamiza Haq
- The return volatility of cryptocurrencies during the COVID-19 pandemic: Assessing the news effect

- Afees Salisu and Ahamuefula Ogbonna
- On spillover effects between cryptocurrency-linked stocks and the cryptocurrency market: Evidence from Australia

- Jozo Frankovic, Bin Liu and Sandy Suardi
- Safe havens in Islamic financial markets: COVID-19 versus GFC

- M. Kabir Hassan, Hadrian Geri Djajadikerta, Tonmoy Choudhury and Muhammad Kamran
- Pandemic-induced fear and stock market returns: Evidence from China

- Zhi Su, Peng Liu and Tong Fang
- Cross-market informed trading in the CDS and option markets

- May Hu, Jason Park, Jane Chen and Peter Verhoevenc
- The COVID-19 pandemic: How important is face-to-face interaction for information dissemination?

- Daniel Cahill, Ho, Choy Yeing (Chloe) and Joey W. Yang
- What drives the systemic banking crises in advanced economies?

- Saktinil Roy
- COVID-19 and A-share banks' stock price volatility: From the perspective of the epidemic evolution in China and the US

- Shanshan Li
- Robinhood investors and corporate misconduct

- Emre Kuvvet
- Up and down together? On the linkage of momentum and reversal

- Daniel Hofmann, Karl Ludwig Keiber and Adalbert Luczak
- Societal trust and corporate underinvestment

- Andreas Knetsch and Astrid Salzmann
- Exchange introduction and market competition: The entrance of MEMX and MIAX

- Ethan D. Watson and Donovan Woods
- Piecing together the extent of retail fractional trading

- David Gempesaw, Joseph J. Henry and Raisa Velthuis
- Social capital, human capital, and board appointments

- Angela Andersen, Alexandre Garel, Aaron Gilbert and Alireza Tourani-Rad
- Conventional and downside CAPM: The case of London stock exchange

- Anna Rutkowska-Ziarko, Lesław Markowski, Christopher Pyke and Saqib Amin
- Board gender diversity and firm risk in UK private firms

- Mahnoor Sattar, Pallab Kumar Biswas and Helen Roberts
- Trend following or reversal: Does culture affect predictions and trading behavior?

- Marc O. Rieger, Mei Wang, Thuy Chung Phan and Yujing Gong
Volume 53, issue C, 2022
- Uncertainty avoidance, loss aversion and stock market participation

- Marc Oliver Rieger
- Financial inclusion and bank profitability: Evidence from a developed market

- Vijay Kumar, Sujani Thrikawala and Sanjeev Acharya
- Euclidean (dis)similarity in financial network analysis

- Hamidreza Esmalifalak
- Does better capitalization enhance bank efficiency and limit risk taking? Evidence from ASEAN commercial banks

- Do Van Anh,
- Does technological inclusion promote financial inclusion among SMEs? Evidence from South-East Asian (SEA) countries

- Francis K. Agyekum, Krishna Reddy, Damien Wallace and Nirosha Wellalage
- Price disparity between Chinese A- and H-shares: Dividends, currency values, and the interest rate differential

- Feng Jiao, Qingfu Liu, Yiuman Tse and Zhiqin Wang
- The impact of mobile banking services on saving behavior in West Africa

- Salamata Loaba
- Trading behaviour and market sentiment: Firm-level evidence from an emerging Islamic market

- Anup Chowdhury, Moshfique Uddin and Keith Anderson
- Employee effort and earnings management

- Jesper Haga, Fredrik Huhtamäki and Dennis Sundvik
- The implications of passive investments for active fund management: International evidence

- Livia Mendes Carneiro, William Eid Junior and Claudia Emiko Yoshinaga
- Does compliance with corporate governance increase profitability? Evidence from an emerging economy: Pakistan

- Irfan Haider Shakri, Jaime Yong and Erwei Xiang
- Firm size and the effectiveness of busy boards in an emerging economy

- Sugato Chakravarty and Prasad Hegde
- Static and dynamic connectedness between NFTs, Defi and other assets: Portfolio implication

- Imran Yousaf and Larisa Yarovaya
- Real asset liquidity, cash holdings, and the cost of corporate debt

- Ali Nejadmalayeri and Adam Usman
- Hedge fund activism and trade credit

- Amanjot Singh
- The information content of ETF options

- Jimmy Lockwood, Larry Lockwood, Hong Miao, Sanjay Ramchander and Dongxiao Yang
- How do banks price liquidity? The role of market power

- Thach V.H. Nguyen and Thai Nguyen
- Do climate risk beliefs shape corporate social responsibility?

- Qiping Huang and Meimei Lin
- The impact of reporting changes on hidden liquidity: Evidence from the Chicago stock exchange

- Justin S. Cox
- FinTech and capital allocation efficiency: Another equity-efficiency dilemma?

- Xueyan Xie and Xiaoyang Zhu
- Words matter: Market responses to changes in U.S. and Chinese trade-related internet search frequency under different U.S. administrations

- Nathan Mauck, Stephen Pruitt and Wenjia Zhang
- Do large-cap exchange-traded funds perform better than their small-cap counterparts in extreme market conditions?☆

- Abbas Valadkhani
- Effects of female directors on gender diversity at lower organization levels and CSR performance: Evidence in Japan

- Thanh Thi Phuong Nguyen and Hanh Minh Thai
Volume 52, issue C, 2022
- It is not only what you say, but how you say it: ESG, corporate news, and the impact on CDS spreads

- Hans-Jörg Naumer and Burcin Yurtoglu
- Corporate social responsibility as a common risk factor

- Souad Lajili Jarjir, Aya Nasreddine and Marc Desban
- Competition in dual markets: Implications for banking system stability

- Tastaftiyan Risfandy, Amine Tarazi and Irwan Trinugroho
- Global systemically important banks regulation: Blessing or curse?

- Stelios Markoulis, Spiridon Martzoukos and Elena Patsalidou
- Economic policy uncertainty and stock market activity: Evidence from China

- Adrian C.H. Lei and Chen Song
- Increasing profitability through contingent convertible capital: Empirical evidence from European banks

- Matthias Petras
- Local culture and tax avoidance: Evidence from gambling preference behavior

- Samar Alharbi, Nader Atawnah, Md Al Mamun and Muhammad Jahangir Ali
- Which market dominates the price discovery in currency futures? The case of the Chicago Mercantile Exchange and the Intercontinental Exchange

- Wei-Xuan Li, Clara Chia-Sheng Chen and James Nguyen
- Risk governance and financial stability: A comparative study of conventional and Islamic banks in the GCC

- Hajar Raouf and Ahmed Habib
- Consequences of fraud and overcoming negative market reaction

- Sarine Karajian and Saif Ullah
- Value-at-risk and the cross section of emerging market hedge fund returns

- Sara Ali, Ihsan Badshah and Riza Demirer
- Clusters of social impact firms: A complex network approach

- Massimo Biasin, Roy Cerqueti, Emanuela Giacomini, Nicoletta Marinelli, Anna Grazia Quaranta and Luca Riccetti
- ESG activities and firm cash flow

- Richard Paul Gregory
- Financial turbulence, systemic risk and the predictability of stock market volatility

- Afees Salisu, Riza Demirer and Rangan Gupta
- Fiduciary or loyalty? Evidence from top management counsel and stock liquidity

- Michael Michael, Muhammad Jahangir Ali, Nader Atawnah and Balachandran Muniandy
- National culture and corporate risk-taking around the world

- Bart Frijns, Frank Hubers, Donghoon Kim, Tai-Yong Roh and Yahua Xu
- The role of ESG scoring and greenwashing risk in explaining the yields of green bonds: A conceptual framework and an econometric analysis

- Francesco Baldi and Alessandro Pandimiglio
- U.S., Anglo-Saxon European, and non-Anglo-Saxon European cash holdings around the financial crisis

- Halit Gonenc, Marc-Oliver Polten and Wim Westerman
- CEO happiness and forecasting

- Karel Hrazdil, Xin Li and Nattavut Suwanyangyuan
- Multinationals and stock return comovement

- Hung X. Do, Nhut H. Nguyen and Quan M.P. Nguyen
- Stock returns and income inequality: Asymmetric evidence from state level data in the U.S

- Mohsen Bahmani-Oskooee, Mehrnoosh Hasanzade and Sahar Bahmani
- Learning, foreign operations and operating performance

- Jittima Tongurai and Chaiporn Vithessonthi
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