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Global Finance Journal

1990 - 2025

Current editor(s): Manuchehr Shahrokhi

From Elsevier
Bibliographic data for series maintained by Catherine Liu ().

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Volume 33, issue C, 2017

Cross-border opportunity sets: An international empirical study based on ownership types pp. 1-26 Downloads
James Ang, April Knill and Nathan Mauck
The effect of the split share structure reform on working capital management of Chinese companies pp. 27-37 Downloads
Wei He, Tarun K. Mukherjee and H. Kent Baker
How security prices respond to a surge in investor attention: Evidence from Google Search of ADRs pp. 38-50 Downloads
Wenbin Tang and Lili Zhu
Global portfolio investment network and stock market comovement pp. 51-68 Downloads
Tuugi Chuluun
Recent advances in explaining hedge fund returns: Implicit factors and exposures pp. 69-87 Downloads
Dimitrios Stafylas, Keith Anderson and Moshfique Uddin
Did family firms perform better during the financial crisis? New insights from the S&P 500 firms pp. 88-103 Downloads
Haoyong Zhou, Fan He and Yangbo Wang

Volume 32, issue C, 2017

The evolution and future of the BRICS: Unbundling politics from economics pp. 1-15 Downloads
Manuchehr Shahrokhi, Huifang Cheng, Krishnan Dandapani, Antonio Figueiredo, Ali M. Parhizgari and Yochanan Shachmurove
Leverage-based index revisions: The case of Dow Jones Islamic Market World Index pp. 16-34 Downloads
Haiwei Chen and Thanh Ngo
Time-varying conditional discrete jumps in emerging African equity markets pp. 35-54 Downloads
Saint Kuttu
Ex-dividend date stock behavior and the clientele effect: Evidence around a tax reduction pp. 55-61 Downloads
Ercio Muñoz Saavedra and Arturo Rodriguez
The world price of sentiment risk pp. 62-82 Downloads
Karl Ludwig Keiber and Helene Samyschew
National culture, population age, and other country factors in volume–price volatility relationship pp. 83-96 Downloads
Wei Hua and Peihwang Wei
Asset prices regime-switching and the role of inflation targeting monetary policy pp. 97-112 Downloads
Ioannis Chatziantoniou, George Filis and Christos Floros
External monitoring of private firms: A cross-country empirical analysis pp. 113-127 Downloads
Ehsan Nikbakht, Sayan Sarkar and Andrew C. Spieler
Emerging markets: Is the trend still your friend? pp. 128-148 Downloads
C. Mitchell Conover, Gerald R. Jensen, Robert R. Johnson and Andrew C. Szakmary
Range-based and GARCH volatility estimation: Evidence from the French asset market pp. 149-165 Downloads
Noureddine Benlagha and Sana Chargui
Gains from mergers and acquisitions in Japan pp. 166-178 Downloads
Ali M. Fatemi, Iraj Fooladi and Niloofar Garehkoolchian

Volume 31, issue C, 2016

The curious case of converts pp. 1-17 Downloads
Xiaoyang Li, Shannon Lin and Alan L. Tucker
Oil price shocks and exchange rate movements pp. 18-30 Downloads
Nikanor I. Volkov and Ky-hyang Yuhn
Did EMU membership cause the “Dutch disease” in the PIGS nations? pp. 31-41 Downloads
Bala Batavia and Parameswar Nandakumar
Hostility and deal completion likelihood in international acquisitions: The moderating effect of information leakage pp. 42-56 Downloads
Thanh Ngo and Jurica Susnjara
Do exchange rate changes have symmetric or asymmetric effects on stock prices? pp. 57-72 Downloads
Mohsen Bahmani-Oskooee and Sujata Saha
Liquidity, ownership concentration, corporate governance, and firm value: Evidence from Thailand pp. 73-87 Downloads
Panu Prommin, Seksak Jumreornvong, Pornsit Jiraporn and Shenghui Tong

Volume 30, issue C, 2016

More on intangibles: Do stockholders benefit from brand values? pp. 1-9 Downloads
Adham Chehab, Jeanny Liu and Yibo Xiao
Investor response to online value line rank changes: Foreign versus local stocks pp. 10-26 Downloads
Wikrom Prombutr, James Lockwood, Ying Zhang and Steven V. Le
Debt covenants and credit spread valuation: The special case of Chinese global bonds pp. 27-44 Downloads
Sean Tat Chang and Donald Ross
Stock returns and economic forces—An empirical investigation of Chinese markets pp. 45-65 Downloads
Xiaoyu Chen and Thomas C. Chiang
Islamic finance and economic growth: The Malaysian experience pp. 66-76 Downloads
Salina Kassim
Foreign banks and credit in Mexico pp. 77-93 Downloads
Alejandro Serrano

Volume 29, issue C, 2016

Finance methodology of Free Cash Flow pp. 1-11 Downloads
Uzi Yaari, Andrei Nikiforov, Emel Kahya and Yochanan Shachmurove
Volatility spillovers between oil prices and the stock market under structural breaks pp. 12-23 Downloads
Bradley Ewing and Farooq Malik
Intra-day realized volatility for European and USA stock indices pp. 24-41 Downloads
Stavros Degiannakis and Christos Floros
Corporate social responsibility and stakeholder governance around the world pp. 42-69 Downloads
Hoje Jo, Moon H. Song and Albert Tsang
Asymmetric information, volatility components and the volume–volatility relationship for the CAC40 stocks pp. 70-84 Downloads
Skander Slim and Meriam Dahmene

Volume 28, issue C, 2015

Trades in commodities, financial assets, and currencies: A triangle of arbitrage, hedging and speculative designs pp. 1-9 Downloads
Dilip K. Ghosh, Augustine Arize and Dipasri Ghosh
Female directors in bank boardrooms and their influence on performance and risk-taking pp. 10-23 Downloads
Mohamed Azzim Gulamhussen and Sílvia Fonte Santa
Realized spill-over effects between stock and foreign exchange market: Evidence from regional analysis pp. 24-37 Downloads
Hung Do, Robert Brooks and Sirimon Treepongkaruna
Global dividend payout patterns: The US and the rest of the world and the effect of financial crisis pp. 38-67 Downloads
Recep Bildik, Ali Fatemi and Iraj Fooladi
Political risk and the factors that affect international bids pp. 68-83 Downloads
Mina Glambosky, Kimberly Gleason and Maryna Murdock
Tracking error decomposition and return attribution for leveraged exchange traded funds pp. 84-94 Downloads
Vipul K. Bansal and John F. Marshall
Price discovery in the dual-platform US Treasury market pp. 95-110 Downloads
Zhuowei Sun, Peter Dunne and Youwei Li
Should we trust the Z-score? Evidence from the European Banking Industry pp. 111-131 Downloads
Laura Chiaramonte, Ettore Croci and Federica Poli
US stock market regimes and oil price shocks pp. 132-146 Downloads
Timotheos Angelidis, Stavros Degiannakis and George Filis

Volume 27, issue C, 2015

Do firms change earnings management behavior after receiving financial forecast warnings? pp. 1-17 Downloads
Yu-Hsuan Chung, Lee Hsien Pan, Shaio Yan Huang and K.C. Chen
Corporate social responsibility and stakeholder governance around the world pp. 18-45 Downloads
Hoje Jo, Moon H. Song and Albert Tsang
Informational efficiency and spurious spillover effects between spot and derivatives markets pp. 46-72 Downloads
Vasilios Sogiakas and George Karathanassis
Liquidity and stock returns: Evidence from international markets pp. 73-97 Downloads
Thomas C. Chiang and Dazhi Zheng
Causal nexus between economic growth, inflation, and stock market development: The case of OECD countries pp. 98-111 Downloads
Rudra P. Pradhan, Mak Arvin and Sahar Bahmani
Does stealth trading coexist with high levels of insider trading? Evidence from Kuwait pp. 112-118 Downloads
Bader Alhashel

Volume 26, issue C, 2015

An examination of U.S. institutional and individual investor sentiment effect on the Turkish stock market pp. 1-17 Downloads
Mustafa Sayim and Hamid Rahman
A method for evaluating the extreme risk sources of financial markets: The case of stock markets in China pp. 18-28 Downloads
Junpeng Di and Pingfang Zhu
International shocks and growth in emerging markets pp. 29-46 Downloads
S. Poshakwale and G. Ganguly
A tracking error approach to leveraged ETFs: Are they really that bad? pp. 47-63 Downloads
Vipul K. Bansal and John F. Marshall
Specified purpose acquisition companies in shipping pp. 64-79 Downloads
Yochanan Shachmurove and Milos Vulanovic
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