Pacific-Basin Finance Journal
1993 - 2025
Current editor(s): K. Chan and S. Ghon Rhee From Elsevier Bibliographic data for series maintained by Catherine Liu (). Access Statistics for this journal.
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Volume 71, issue C, 2022
- Impact of managerial power on regulatory inquiries from stock exchanges: Evidence from the text tone of Chinese listed companies' annual reports

- Qingzi Cao, Fan Yang and Minglang Liu
- Owners’ portfolio diversification and internal capital allocation

- Yung-Ling Chi
- Global leveraged buyout deal performance: A cross-border cross-cultural perspective

- Xiao Jia and Maurice McCourt
- The impact of COVID-19 pandemic on the volatility connectedness network of global stock market

- Tingting Cheng, Junli Liu, Wenying Yao and Albert Bo Zhao
- CFO gender and tax aggressiveness: Evidence from China

- Xiaoxia Liu, Minghui Li, Jamie Yixing Tong and Feida Zhang
- Money funds manage returns

- Yu Cai and Qing Wang
- Predicting the Australian equity risk premium

- Doureige Jurdi
- Product market advertising and stock price crash risk

- Tianjiao Zhang, Zhe Shen and Qian Sun
- Small business owners’ Fintech credit in crises: Theory and evidence from farmers under the COVID-19

- Yun Liu, Yun Zhang, Yifei Zhang and He Xiao
- The evolution of bank revenue and risk in the Asia-Pacific Region

- Barry Williams and Gulasekaran Rajaguru
- The effect of Chinese lunar calendar on individual investors' trading

- Yin-Siang Huang, Junmao Chiu, Chih-Yung Lin and Robin,
- Monetary policy uncertainty and firm risk-taking

- Weijie Luo, Yong Wang and Xiaoge Zhang
- The world price of tail risk

- Kuan-Hui Lee and Cheol-Won Yang
- Corporate bonds with implicit government guarantees

- Ran Zhang, Yifei Li and Yuan Tian
- What explains the dispersion effect? Evidence from institutional ownership

- Chuan-Yang Hwang, Kit Pong Wong and Long Yi
- CEO power and labor-friendly policy

- Humyra Jabeen Bristy, Jianlei Han and Gary Gang Tian
- Financial aid and financial inclusion: Does risk uncertainty matter?

- Chien-Chiang Lee, Chih-Wei Wang and Shan-Ju Ho
- Confucianism and IPO underpricing

- Haiming Liu and Yao-Min Chiang
- How is the change in left-tail risk priced in China?

- Kaisi Sun, Hui Wang and Yifeng Zhu
- Spillovers between the Islamic gold-backed cryptocurrencies and equity markets during the COVID-19: A sectorial analysis

- Imran Yousaf and Larisa Yarovaya
- The effectiveness of government stock purchase during market crash: Evidence from China

- Minying Cheng, Ling Jin, Zhisheng Li and Bingxuan Lin
- The effects of economic policy uncertainty and country governance on banks' liquidity creation: International evidence

- Chih-Wei Wang, Chien-Chiang Lee and Ming-Chien Chen
Volume 70, issue C, 2021
- Dissecting the segmentation of China's repo markets

- Xiaoqing Eleanor Xu
- National culture and the choice between bank debt and public debt

- Andy C. W. Chui, Xiao Li and Walid Saffar
- Reversal effect and corporate bond pricing in China

- Heming Zhang and Guanying Wang
- Environmental uncertainty, financing constraints and corporate investment: Evidence from China

- Kaifeng Li, Bobo Xia, Yun Chen, Ning Ding and Jie Wang
- Passive trading and firm performance: A quasi-natural experiment using the TSE-OSE merger in Japan

- Sana Mohsni, Isaac Otchere and Kazuo Yamada
- How do Islamic equity markets respond to good and bad volatility of cryptocurrencies? The case of Bitcoin

- Walid Ahmed
- Institutional ownership and insider trading profitability: Evidence from an emerging market

- Tao Li and Yu Ji
- Do ethical perceptions help explain under-representation of women in investment management? A comparison of students from the U.S. and China

- Ying Sophie Huang, Tyler K. Jensen, Randy D. Jorgensen and Regina M. Taylor
- Systemically important banks in Asian emerging markets: Evidence from four systemic risk measures

- Thach N. Pham, Robert Powell and Deepa Bannigidadmath
- Beta estimation in New Zealand

- Ben R. Marshall, Nhut H. Nguyen and Nuttawat Visaltanachoti
- Do managers hedge disaster risk? Extreme earthquake shock and firm innovations

- Yonghui Rao, Zijiang Hu and Susan Sunila Sharma
- Does banking competition stimulate regional innovation? Evidence from China

- Wen Huang, Ying Wu and Li Deng
- False discoveries in the anomaly research: New insights from the Stock Exchange of Melbourne (1927–1987)

- Nusret Cakici, Adam Zaremba, Robert J. Bianchi and Nga Pham
- Maturity mismatches of Chinese listed firms

- Yizhong Wang, Ting Wang and Lifang Chen
- Corruption risk and stock market effects: Evidence from the defence industry

- Chandrasekhar Krishnamurti, Domenico Pensiero and Eswaran Velayutham
Volume 69, issue C, 2021
- Not one but three decisions in sukuk issuance: Understanding the role of ownership and governance

- Dawood Ashraf, Muhammad Suhail Rizwan and Saad Azmat
- Dividend payout policy of Shariah compliant firms: Evidence from United States

- Zaheer Anwer, Shamsher Mohamad, Andrea Paltrinieri and M. Kabir Hassan
- A survey of Islamic finance research – Influences and influencers

- Abdullah Khan, Syed Aun R. Rizvi, Mohsin Ali and Omair Haroon
- The implied volatility smirk in the Chinese equity options market

- Tian Yue, Sebastian A. Gehricke, Jin E. Zhang and Zheyao Pan
- Green bond issuance and corporate cost of capital

- Ran Zhang, Yanru Li and Yingzhu Liu
- Profitability of moving-average technical analysis over the firm life cycle: Evidence from Taiwan

- Kuan-Hau Chen, Xuan-Qi Su, Li-Feng Lin and Yi-Cheng Shih
- Does stock liquidity affect bankruptcy risk? DID analysis from Vietnam

- Hai Trinh, Canh Phuc Nguyen, Wei Hao and Udomsak Wongchoti
- Does investor attention increase stock market volatility during the COVID-19 pandemic?

- Hua Wang, Liao Xu and Susan Sunila Sharma
- Economic policy uncertainty and corporate risk-taking: Loss aversion or opportunity expectations

- Cheng Zhang, Chunhong Yang and Cheng Liu
- Resurrecting the size effect in Japan: Firm size, profitability shocks, and expected stock returns

- Muhammad A. Cheema, Mardy Chiah and Angel Zhong
- Market timing in private equity placements: Empirical evidence from China

- Yong Huang, Konari Uchida, Xuanying Yu and Daolin Zha
- Stock market liberalization and institutional herding: Evidence from the Shanghai-Hong Kong and Shenzhen-Hong Kong Stock Connects

- Yuyang Zhao, Cheng Xiang and Wenwu Cai
- Prospect theory and stock returns: Evidence from foreign share markets

- Junbo Wang, Chunchi Wu and Xiaoling Zhong
- Digesting anomalies: A q-factor approach for the Thai market

- Ben Charoenwong, Sampan Nettayanun and Kanis Saengchote
- Mixed ownership reform and corporate tax avoidance: Evidence of Chinese listed firms

- Wei Wang, Hua Wang and Ji Wu
- The choice of equity financing: Floating-priced warrants versus SEOs

- Zhihua Yao
- Long-term impacts of index reconstitutions: Evidence from the CSI 300 additions and deletions

- Gang Chu, John W. Goodell, Xiao Li and Yongjie Zhang
- Information bias and its spillover effect on return volatility: A study on stock markets in the Asia-Pacific region

- Ajaya Kumar Panda, Pradiptarathi Panda, Swagatika Nanda and Atul Parad
- Do controlling shareholders expropriate employees? Evidence from workplace fatalities in China

- Hang Liu, Jin-hui Luo and Xin Wang
- How resilient are the Asia Pacific financial markets against a global pandemic?

- Md Lutfur Rahman and Mohammed Abdullah Al Mamun
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