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 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
Volume 51, issue C, 2022
- Firm valuations and board compensation: Evidence from alternative banking models

- Marwa Elnahass, Aly Salama and Vu Quang Trinh
- Asset securitizations and bank stability: Evidence from different banking systems

- Omneya Abdelsalam, Marwa Elnahass, Ahmed Habib and Julian Williams
- Tokenization of sukuk: Ethereum case study

- Nida Khan, Bilal Kchouri, Nissar Ahmad Yatoo, Zsofia Kräussl, Anass Patel and Radu State
- Shariah governance in Islamic banks: Practices, practitioners and praxis

- Dewi Fatmawati, Noraini Mohd. Ariffin, Nor Hafizah Zainal Abidin and Ahmad Zamri Osman
- Corporate governance and liquidity creation nexus in Islamic banks—Is managerial ability a channel?

- Md Safiullah, M. Kabir Hassan and Md Nurul Kabir
- Technical efficiency of Islamic and conventional banks with undesirable output: Evidence from a stochastic meta-frontier directional distance function

- Md Safiullah and Abul Shamsuddin
- Transition to Islamic equities: Systematic risk and Shari'ah compliance

- Faruk Balli, Md Iftekhar Hasan Chowdhury and Anne de Bruin
- Special issue on Islamic banking: Stability and governance

- Amine Tarazi and Pejman Abedifar
- The impact of news on the volatility of ESG firms

- Omid Sabbaghi
- Does technology-seeking OFDI improve the productivity of Chinese firms under the COVID-19 pandemic?

- Zoey Wong, Afei Chen, Dan Peng and Qunxi Kong
- The Eurozone banking sector in the time of COVID-19: Measuring volatility connectedness

- Matteo Foglia, Abdelhamid Addi and Eliana Angelini
- The effect of issuance documentation disclosure and readability on liquidity: Evidence from green bonds

- Martin Lebelle, Souad Lajili Jarjir and Syrine Sassi
- Spreading the fear: The central role of CBOE VIX in global stock market uncertainty

- Lee Smales
- How COVID-19 changed Italian consumers' behavior

- Enrico Maria Cervellati, Gian Paolo Stella, Umberto Filotto and Andrea Maino
- Revisiting conventional and green finance spillover in post-COVID world: Evidence from robust econometric models

- Gagan Sharma, Tapan Sarker, Amar Rao, Gaurav Talan and Mansi Jain
- Dynamic spillover effects among green bond, renewable energy stocks and carbon markets during COVID-19 pandemic: Implications for hedging and investments strategies

- Aviral Tiwari, Emmanuel Abakah, David Gabauer and Richard Dwumfour
- Do company visits by institutional investors mitigate managerial myopia in R&D investment? Evidence from China

- Yonggen Luo, Huiying Wu, Sammy Xiaoyan Ying and Qiuping Peng
- Price sensitivity of the consumer-investor: Evidence from energy prices and mutual fund fees

- Hae Mi Choi and Swasti Gupta-Mukherjee
- Green property finance and CO2 emissions in the building industry

- Hassan Gholipour Fereidouni, Amir Arjomandi and Sharon Yam
Volume 50, issue C, 2021
- Risk-adjusted profitability and stability of Islamic and conventional banks: Does revenue diversification matter?

- Andrea Paltrinieri, Alberto Dreassi, Simone Rossi and Ashraf Khan
- Muslim CEOs and bank risk-taking: Evidence from Indonesia

- Chai-Aun Ooi, Doddy Setiawan and Chee-Wooi Hooy
- How using derivative instruments and purposes affects performance of Islamic banks? Evidence from CAMELS approach

- Mohamed Rochdi Keffala
- Tail risk in the European sovereign bond market during the financial crises: Detecting the influence of the European Central Bank

- Ralf Fendel and Christian Neumann
- CSR in the bond market: Pricing stakeholders and the moderating role of the institutional context

- Antonio Salvi, Anastasia Giakoumelou and Giorgio Stefano Bertinetti
- Long-term financial performance of corporate social responsibility

- Yoko Shirasu and Hidetaka Kawakita
- The holding behavior of Shariah financial assets within the global Islamic financial sector: A macroeconomic and firm-based model

- Seng Kiong Kok and Stefano Filomeni
- Do Sukuk provide diversification benefits to conventional bond investors? Evidence from Turkey

- Burak Pirgaip, Özgür Arslan-Ayaydin and Mehmet Baha Karan
- State contingent banking and asset price bubbles: The case of Islamic banking industry

- Saad Azmat, M. Kabir Hassan, Hamza Ghaffar and A.S.M. Sohel Azad
- Long-term international diversification of equities

- Sandip Mukherji and Jin-Gil Jeong
- Is there a green fund premium? Evidence from twenty seven emerging markets

- Bushra Naqvi, Nawazish Mirza, Syed Kumail Abbas Rizvi, Małgorzata Porada-Rochoń and Rania Itani
- Power purchase agreements with incremental tariffs in local currency: An innovative green finance tool

- Farhad Taghizadeh-Hesary, Naoyuki Yoshino, Ehsan Rasoulinezhad and Cedric Rimaud
- Idiosyncratic return volatility and the role of firm fundamentals: A cross-country analysis

- Ali Ebrahim Nejad and Saeid Hoseinzade
- Are safe haven assets really safe during the 2008 global financial crisis and COVID-19 pandemic?

- Md. Bokhtiar Hasan, M. Kabir Hassan, Md. Mamunur Rashid and Yasser Alhenawi
- Asymmetric tail dependence between green bonds and other asset classes

- Linh Pham and Canh Phuc Nguyen
- National culture and saving: How collectivism, uncertainty avoidance, and future orientation play roles

- Narapong Srivisal, Kanyarat Lek Sanoran and Kanix Bukkavesa
- Analyst coverage, corporate social responsibility, and firm value: Evidence from China

- May Hu, Wanfang Xiong and Cheng Xu
- Overlapping board connections with banker directors and corporate loan terms: Evidence from syndicated loans

- Asli Togan
- Liquidity and short-run predictability: Evidence from international stock markets

- Jin Suk Park and Mohammad Khaleq Newaz
- Does foreign monetary policy drive Australian banks' wholesale funding costs?

- Simon Cottrell and Sigitas Karpavičius
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