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 65, issue C, 2021
- Extreme linkages between foreign exchange and general financial markets

- Chih-Chiang Wu, Wei-Peng Chen and Nattawadee Korsakul
- Coronavirus (Covid-19) outbreak, investor sentiment, and medical portfolio: Evidence from China, Hong Kong, Korea, Japan, and U.S

- Yunpeng Sun, Qun Bao and Zhou Lu
- Corruption and firm efforts on environmental protection: Evidence from a policy shock

- Cheng Yang, Wenzhe Zhang, Yan Sheng and Zhiqing Yang
- Volatility spillovers of A- and B-shares for the Chinese stock market and its impact on the Chinese index returns

- Chien-Ping Chung, Tzu-Hsiang Liao and Hsiu-Chuan Lee
- Guanxi, media coverage and IPO approvals: Evidence from China

- Yan Xiong and Yan Zhao
- Monitoring or tunneling? Information interaction among large shareholders and the crash risk of the stock price

- Jie Li, Lidan Wang, Zhong-Qiang Zhou and Yongjie Zhang
- State ownership, implicit government guarantees, and crash risk: Evidence from China

- Mingfa Ding, Zhongda He, Yuecheng Jia and Mi Shen
- How do zombie firms affect debt financing costs of others: From spillover effects views

- Miao Yu, Yue Mei Guo, Di Wang and Xiaohan Gao
- Firms' cash reserve, financial constraint, and geopolitical risk

- Chien-Chiang Lee and Chih-Wei Wang
- Financial literacy and financial decision-making at older ages

- Joelle H. Fong, Benedict S.K. Koh, Olivia Mitchell and Susann Rohwedder
- Supply-side structural reform and dynamic capital structure adjustment: Evidence from Chinese-listed firms

- Xiaochen Jiang, Jim Huangnan Shen, Chien-Chiang Lee and Chong Chen
- Xi's anti-corruption campaign and the speed of capital structure adjustment

- Yiming Hu and Mingxia Xu
- Institutional trading in volatile markets: Evidence from Chinese stock markets

- Julia Darby, Hai Zhang and Jinkai Zhang
- Economic policy uncertainty and stock price synchronicity: Evidence from China

- Huayu Shen, Runxin Liu, Hao Xiong, Fei Hou and Xiaoyi Tang
- Revisiting momentum profits in emerging markets

- Hilal Anwar Butt, James W. Kolari and Mohsin Sadaqat
- Turnover premia in China's stock markets

- Bing Zhang, Wei Chen and Chung-Ying Yeh
- Overconfident CEOs and shadow banking in China

- Meng-Wen Wu, Li Xu, Chung-hua Shen and Ke-Kun Zhang
- Childhood matters: Family education and financial inclusion

- Yu Yan and Shusen Qi
- Performance of Japanese leveraged ETFs

- Peter Miu, Meng-Lan Yueh and Jing Han
- On the investors' sentiments and the Islamic stock-bond interplay across investments' horizons

- Chaker Aloui, Syed Jawad Hussain Shahzad, Besma Hkiri, Ben Hamida Hela and Muhammad Asif Khan
- Who reacts to what information in securities analyst reports? Direct evidence from the investor trade imbalance

- Wen-liang Gideon Hsieh and Chin-Shen Lee
- Pay more or pay less? The impact of controlling shareholders' share pledging on firms' dividend payouts

- Jingjing Xu and Haijie Huang
- Stock return predictability: Evidence from moving averages of trading volume

- Yao Ma, Baochen Yang and Yunpeng Su
- Does the power gap between a chairman and CEO matter? Evidence from corporate debt financing in China

- Brian Yutao Wang, Mengran Duan and Guangqiang Liu
- Economic policy uncertainty nexus with corporate risk-taking: The role of state ownership and corruption expenditure

- Weike Zhang, Xueyuan Zhang, Xiaoli Tian and Fengwei Sun
- Asymmetric effects of noise in Merton default risk model: Evidence from emerging Asia

- Arti Omar and P. Krishna Prasanna
- Market intraday momentum in Australia

- Tu Ho, Jin Roc Lv and Emma Schultz
- Economic policy uncertainty and corporate tax avoidance: Evidence from China

- Huayu Shen, Fei Hou, Miaowei Peng, Hao Xiong and Haohao Zuo
Volume 64, issue C, 2020
- The effect of say on pay on CEO compensation and spill-over effect on corporate cash holdings: Evidence from Australia

- Muhammad Atif, Allen Huang and Benjamin Liu
- Managerial acquisitiveness and corporate tax avoidance

- Ferdinand A. Gul, Mehdi Khedmati and Syed M.M. Shams
- Forecasting China's stock market variance

- Hang Cheng and Yongdong Shi
- Investor sentiment and the economic policy uncertainty premium

- Gilbert Nartea, Hengyu Bai and Ji Wu
- Impact of foreign entry into the banking sector: The case of Thailand in 1999–2014

- Wanxue Lu and Fumiharu Mieno
- The agency cost of political connections: Evidence from China's File 18

- Yi Hu, Changyun Wang, Gang Xiao and Jianyu Zeng
- Funding liquidity risk and banks' risk-taking: Evidence from Islamic and conventional banks

- Houcem Smaoui, Karim Mimouni, Héla Miniaoui and Akram Temimi
- Islamic stock market versus conventional: Are islamic investing a ‘Safe Haven’ for investors? A systematic literature review

- Andrea Delle Foglie and Ida Panetta
- Busy directors and firm performance: Evidence from Australian mergers

- Sorin Ovidiu Daniliuc, Lingwei Li and Marvin Wee
- Financial stability of banks in India: Does liquidity creation matter?

- Juhi Gupta and Smita Kashiramka
- The value of corporate social responsibility during the crisis: Chinese evidence

- Jing Zhang, Shuang Zi, Pei Shao and Yuchao Xiao
- Chinese economic policy uncertainty and U.S. households' portfolio decisions

- Kiryoung Lee, Yoontae Jeon and Chanik Jo
- Testing the mood seasonality hypothesis: Evidence from down under

- Deok-Hyeon Lee, Byoung-Kyu Min and Yuchao Xiao
- Managerial rents vs. shareholder value in closed-end funds: Evidence from China

- Jacquelyn E. Humphrey, David Hunter, Khoa Hoang and Wang Chun Wei
- Sequential forecasting of downside extreme risk during overnight and daytime: Evidence from the Chinese Stock Market☆

- Zhihong Jian, Xupei Li and Zhican Zhu
- The effectiveness of foreign debt in hedging exchange rate exposure: Multinational enterprises vs. exporting firms

- Soon Sung Kim, Jaiho Chung, Joon Ho Hwang and Ju Hyun Pyun
- The impact of weather on order submissions and trading performance

- Yi-Wei Chuang, Wei-Che Tsai and Pei-Shih Weng
- Do country-level legal, corporate governance, and cultural characteristics influence the relationship between insider ownership and dividend policy?

- Woo Sung Kim, Halil Kiymaz and Sekyung Oh
- Cross-sectional and time-series momentum returns: Is China different?

- Muhammad A. Cheema, Mardy Chiah and Yimei Man
- Deregulation of short-selling constraints and cost of bank loans: Evidence from a quasi-natural experiment

- Shenglan Chen, Robin K. Chou, Xiaoling Liu and Yuhui Wu
- The role of equity underwriting relationships in mergers and acquisitions

- Hsuan-Chi Chen, Keng-Yu Ho, Pei-Shih Weng and Chia-Wei Yeh
- Do stocks outperform bank deposits in China?

- Jiexiang Huang, Wei Guo and Jin E. Zhang
- Decomposing value: Changes in size or changes in book-to-market?

- Daniel Chai, Mardy Chiah and Angel Zhong
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