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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.
Is something missing from the series or not right? See the RePEc data check for the archive and series.


Volume 49, issue C, 2021

On the stability of stock-bond comovements across market conditions in the Eurozone periphery Downloads
Thomas Flavin and Dolores Lagoa-Varela
CEO and CFO equity compensation and dividend payout over the firm lifecycle Downloads
Chao Ding, Choy Yeing Ho and Millicent Chang
The effects of International Financial Reporting Standards, auditing and legal enforcement on tax evasion: Evidence from 37 African countries Downloads
Ophias Kurauone, Yusheng Kong, Huaping Sun, Simbarashe Muzamhindo, Takuriramunashe Famba and Farhad Taghizadeh-Hesary
The liquidity of active ETFs Downloads
Son D. Pham, Ben R. Marshall, Nhut H. Nguyen and Nuttawat Visaltanachoti
Bank risk-taking and corporate investment: Evidence from the Global Financial Crisis of 2007–2009 Downloads
Meg Adachi-Sato and Chaiporn Vithessonthi
Are hedge fund managers skilled? Downloads
Maher Kooli and Ivan Stetsyuk
Currency hedging for single-currency equity portfolios: Does cross-asset risk matter? Downloads
Michael Kunkler
A time–frequency comovement and causality relationship between Bitcoin hashrate and energy commodity markets Downloads
Mobeen Ur Rehman and Sang Hoon Kang
Managerial market timing: What is the pot size for long-term shareholders assuming firm management acts in their best interest and does have an informational advantage? Downloads
Jan Vogt
High-speed railway opening and urban green productivity in the post-COVID-19: Evidence from green finance Downloads
Qunxi Kong, Chenrong Shen, Rongrong Li and Zoey Wong
Measuring changes in credit risk: The case of CDS event studies Downloads
Christian Andres, André Betzer and Markus Doumet
Does the location of directors' additional positions matter? A new dimension of board structure Downloads
Liang Sun
Economic fundamentals and the long-run correlation between exchange rates and commodities Downloads
Ilias Tsiakas and Haibin Zhang
COVID-19 and time-frequency connectedness between green and conventional financial markets Downloads
Muhammad Arif, Mudassar Hasan, Suha M. Alawi and Muhammad Abubakr Naeem
Islamic microfinance: A bibliometric review Downloads
M. Kabir Hassan, Muneer Alshater, Rashedul Hasan and Abul Bashar Bhuiyan
Cross-commodity hedging for illiquid futures: Evidence from China's base metal futures market Downloads
Xiangyu Chen and Jittima Tongurai
Asymmetric volatility connectedness between Islamic stock and commodity markets Downloads
Muhammad Tahir Suleman, Ron McIver and Sang Hoon Kang
Do pricing efficiencies in Indian equity ETF market impact its performance? Downloads
Garima Goel and Eshan Ahluwalia
National culture and small firms' use of trade credit: Evidence from Europe Downloads
Andrea Moro, Yacine Belghitar and Cesario Mateus

Volume 48, issue C, 2021

The coming wave of small business succession and the role of stakeholder synergy theory Downloads
Kevin Lindsey, Nathan Mauck and Ben Olsen
100 research ideas: extending the frontiers of research in corporate finance Downloads
James Ang
Corporate governance and dynamics capital structure: evidence from Vietnam Downloads
Thao Nguyen, Min Bai, Yang Hou and Manh-Chien Vu
The effect of securities class action lawsuits on mergers and acquisitions Downloads
Anup Basnet, Frederick Davis, Thomas Walker and Kun Zhao
Relationship lending: A source of support or a means of exploitation? Downloads
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 Downloads
Onur Bayar, Sougata Das and Emre Kesici
Foreign bank lending in the U.S. during three U.S. recessions Downloads
Anoop Rai, Rama Seth and Sunil K. Mohanty
Free trade and the efficiency of financial markets Downloads
Ahmed S. Baig, Benjamin Blau and Nasim Sabah
Oil shocks and stock market volatility of the BRICS: A GARCH-MIDAS approach Downloads
Afees Salisu and Rangan Gupta
Sovereign credit ratings: Discovering unorthodox factors and variables Downloads
Swee Yew Choy, Myint Moe Chit and Wing Leong Teo
What lies behind the asset growth effect? Downloads
Hussein Abdoh and Oscar Varela
Short selling patterns in cross-listed stocks Downloads
Shan Li, George Mihaylov, Yessy Peranginangin and Ralf Zurbruegg
Can technical trading beat the foreign exchange market in times of crisis? Downloads
Ehab Yamani
Macroeconomic news and treasury futures return volatility: Do treasury auctions matter? Downloads
Lee Smales
Foreign bank entry and bank competition: Cross-country heterogeneity Downloads
Haiyan Yin
Asset liquidity, business risk, and beta Downloads
Ali Nejadmalayeri
CEOs versus the board: Implications of strained relations for stock liquidity Downloads
Ebrahim Bazrafshan, Alan J. Marcus and Hassan Tehranian

Volume 47, issue C, 2021

Aggregate volatility risk: International evidence Downloads
Stanley Peterburgsky
CEO pay ratios and financial reporting quality Downloads
May Xiaoyan Bao, Xiaoyan Cheng, David Smith and Paul Tanyi
Thirty years of the Global Finance Journal: A bibliometric analysis Downloads
H. Kent Baker, Satish Kumar and Nitesh Pandey
The evolution of the application of capital budgeting techniques in enterprises Downloads
Simiso Siziba and John Henry Hall
Google search and stock returns: A study on BIST 100 stocks Downloads
Cumhur Ekinci and Ali Eray Bulut
National corruption and international banking Downloads
He Li, James Refalo and Olivier Maisondieu-Laforge
Board tenure and firm performance Downloads
Joshua Livnat, Gavin Smith, Kate Suslava and Martin Tarlie
World dividends and tax shocks Downloads
Richard Herron and Katarzyna Platt
Leveling of the playing field and corporate financing patterns around the world Downloads
April Knill, Bong Soo Lee and James Ang
Does geopolitical uncertainty affect corporate financing? Evidence from MIDAS regression Downloads
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 Downloads
Mohamed Chaffai
Sharia supervisory boards, governance structures and operational risk disclosures: Evidence from Islamic banks in MENA countries Downloads
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 Downloads
Jussi Nikkinen, Vanja Piljak and Timo Rothovius
Efficiency in Islamic vs. conventional banking: The role of capital and liquidity Downloads
Mohammad Bitar, Kuntara Pukthuanthong and Thomas Walker
Macroprudential policy in the EU: A political economy perspective Downloads
Elias Bengtsson
Estimating risk efficiency in Middle East banks before and after the crisis: A metafrontier framework Downloads
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 Downloads
Syed Mujahid Hussain, Walid Ben Omrane and Khamis Al-Yahyaee
Vulnerability of fixed-rate funds-supplying operations to overbidding: An experimental approach Downloads
Yukihiko Funaki, Junnosuke Shino and Nobuyuki Uto
Is the disposition effect in bonds as strong as in stocks? Evidence from an emerging market Downloads
Juliana Hincapié-Salazar and Diego A. Agudelo
Islamic finance in Russia: A market review and the legal environment Downloads
Madina Kalimullina
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