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 48, issue C, 2021
- The coming wave of small business succession and the role of stakeholder synergy theory

- Kevin Lindsey, Nathan Mauck and Ben Olsen
- 100 research ideas: extending the frontiers of research in corporate finance

- James Ang
- Corporate governance and dynamics capital structure: evidence from Vietnam

- Thao Nguyen, Min Bai, Yang Hou and Manh-Chien Vu
- The effect of securities class action lawsuits on mergers and acquisitions

- Anup Basnet, Frederick Davis, Thomas Walker and Kun Zhao
- Relationship lending: A source of support or a means of exploitation?

- Inayat Hussain, Robert B. Durand and Mark Harris
- Heterogeneity in the information content of 8-K disclosures about private targets: Acquirer size and target significance

- Onur Bayar, Sougata Das and Emre Kesici
- Foreign bank lending in the U.S. during three U.S. recessions

- Anoop Rai, Rama Seth and Sunil K. Mohanty
- Free trade and the efficiency of financial markets

- Ahmed S. Baig, Benjamin Blau and Nasim Sabah
- Oil shocks and stock market volatility of the BRICS: A GARCH-MIDAS approach

- Afees Salisu and Rangan Gupta
- Sovereign credit ratings: Discovering unorthodox factors and variables

- Swee Yew Choy, Myint Moe Chit and Wing Leong Teo
- What lies behind the asset growth effect?

- Hussein Abdoh and Oscar Varela
- Short selling patterns in cross-listed stocks

- Shan Li, George Mihaylov, Yessy Peranginangin and Ralf Zurbruegg
- Can technical trading beat the foreign exchange market in times of crisis?

- Ehab Yamani
- Macroeconomic news and treasury futures return volatility: Do treasury auctions matter?

- Lee Smales
- Foreign bank entry and bank competition: Cross-country heterogeneity

- Haiyan Yin
- Asset liquidity, business risk, and beta

- Ali Nejadmalayeri
- CEOs versus the board: Implications of strained relations for stock liquidity

- Ebrahim Bazrafshan, Alan J. Marcus and Hassan Tehranian
Volume 47, issue C, 2021
- Aggregate volatility risk: International evidence

- Stanley Peterburgsky
- CEO pay ratios and financial reporting quality

- May Xiaoyan Bao, Xiaoyan Cheng, David Smith and Paul Tanyi
- Thirty years of the Global Finance Journal: A bibliometric analysis

- H. Kent Baker, Satish Kumar and Nitesh Pandey
- The evolution of the application of capital budgeting techniques in enterprises

- Simiso Siziba and John Henry Hall
- Google search and stock returns: A study on BIST 100 stocks

- Cumhur Ekinci and Ali Eray Bulut
- National corruption and international banking

- He Li, James Refalo and Olivier Maisondieu-Laforge
- Board tenure and firm performance

- Joshua Livnat, Gavin Smith, Kate Suslava and Martin Tarlie
- World dividends and tax shocks

- Richard Herron and Katarzyna Platt
- Leveling of the playing field and corporate financing patterns around the world

- April Knill, Bong Soo Lee and James Ang
- Does geopolitical uncertainty affect corporate financing? Evidence from MIDAS regression

- Joye Khoo and Adrian (Wai-Kong) Cheung
Volume 46, issue C, 2020
- Hyperbolic distance function, technical efficiency and stability to shocks: A comparison between Islamic banks and conventional banks in MENA region

- Mohamed Chaffai
- Sharia supervisory boards, governance structures and operational risk disclosures: Evidence from Islamic banks in MENA countries

- Ahmed Elamer, Collins Ntim, Hussein A. Abdou and Chris Pyke
- Impact of the 2008–2009 financial crisis on the external and internal linkages of European frontier stock markets

- Jussi Nikkinen, Vanja Piljak and Timo Rothovius
- Efficiency in Islamic vs. conventional banking: The role of capital and liquidity

- Mohammad Bitar, Kuntara Pukthuanthong and Thomas Walker
- Macroprudential policy in the EU: A political economy perspective

- Elias Bengtsson
- Estimating risk efficiency in Middle East banks before and after the crisis: A metafrontier framework

- Olga Colesnic, Kostantinos Kounetas and Michael Polemis
- US macroeconomic news effects around the US and European financial crises: Evidence from Brazilian and Mexican equity indices

- Syed Mujahid Hussain, Walid Ben Omrane and Khamis Al-Yahyaee
- Vulnerability of fixed-rate funds-supplying operations to overbidding: An experimental approach

- Yukihiko Funaki, Junnosuke Shino and Nobuyuki Uto
- Is the disposition effect in bonds as strong as in stocks? Evidence from an emerging market

- Juliana Hincapié-Salazar and Diego A. Agudelo
- Islamic finance in Russia: A market review and the legal environment

- Madina Kalimullina
Volume 45, issue C, 2020
- Historic risk and implied volatility

- Mehmet F. Dicle and John Levendis
- The bank lending channel in the Malaysian Islamic and conventional banking system

- Guglielmo Maria Caporale, Abdurrahman Nazif Çatık, Mohamad Husam Helmi, Faek Menla Ali and Mohammad Tajik
- What is the investment loss due to uncertainty?

- Theodore Panagiotidis and Panagiotis Printzis
- Internet search volumes of UK banks during the crisis: The role of banking structure and business model

- Ivo Arnold
- Investment efficiency: Dual-class vs. Single-class firms

- Xiaoyan Cheng, Heminigild Mpundu and Huishan Wan
- VPIN, liquidity, and return volatility in the U.S. equity markets

- Serhat Yildiz, Bonnie Van Ness and Robert Van Ness
- Corporate social responsibility and earnings quality: Evidence from China

- 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

- Franziska Collingro and Michael Frenkel
Volume 44, issue C, 2020
- Are investors compensated for their sophistication and informedness for company takeovers – An Australian study

- Chris McAdam
- Better directors or distracted directors? An international analysis of busy boards

- Stephen P. Ferris, Narayanan Jayaraman and Liao, Min-Yu (Stella)
- The effects of ownership structure on dividend policy: Evidence from seasoned equity offerings (SEOs)

- Anh Ngo, Hong Duong, Thanh Nguyen and Liem Nguyen
- Does relative valuation work for banks?

- Gianfranco Forte, Gianfranco Gianfrate and Emanuele Rossi
- Informed trading in hybrid bond markets

- Siri Valseth
- The cost of capital: U.S.-based multinational corporations versus U.S. domestic corporations

- Zhimin Wang, Marilyn Ettinger, Yuying Xie and Li Xu
- The information content of director trading: Evidence from acquisition announcements in Australia

- Md Mosharraf Hossain, Richard Heaney and Jing Yu
- The state of research on sovereign wealth funds

- William L. Megginson and Xuechen Gao
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