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Pacific-Basin Finance Journal

1993 - 2021

Current editor(s): K. Chan and S. Ghon Rhee

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

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Volume 28, issue C, 2014

Heads we win, tails you lose: Is there equity in Islamic equity funds? pp. 7-28 Downloads
Nazrol K.M. Kamil, Syed Othman Alhabshi, Obiyathulla Bacha and Abul Masih
Do Islamic stock indexes outperform conventional stock indexes? A stochastic dominance approach pp. 29-46 Downloads
Osamah Al-Khazali, Hooi Hooi Lean and Anis Samet
The Shariah compliance challenge in Islamic bond markets pp. 47-57 Downloads
Saad Azmat, Michael Skully and Kym Brown
Capital adequacy and lending and deposit behaviors of conventional and Islamic banks pp. 58-75 Downloads
Mastura Abdul Karim, M. Kabir Hassan, Taufiq Hassan and Shamsher Mohamad
Efficiency of Islamic banks during the financial crisis: An analysis of Middle Eastern and Asian countries pp. 76-90 Downloads
Romzie Rosman, Norazlina Abd Wahab and Zairy Zainol
Professionalizing the role of Shari'ah auditors: How Malaysia can generate economic benefits pp. 91-109 Downloads
Syed Najeeb and Shahul Hameed Mohamed Ibrahim
Performance of global Islamic versus conventional share indices: International evidence pp. 110-121 Downloads
Catherine Soke Fun Ho, Nurul Afiqah Abd Rahman, Noor Hafizha Muhamad Yusuf and Zaminor Zamzamin
Issuer's choice of Islamic bond type pp. 122-135 Downloads
Saad Azmat, Michael Skully and Kym Brown
Failure and potential of profit-loss sharing contracts: A perspective of New Institutional, Economic (NIE) Theory pp. 136-151 Downloads
Aisyah Abdul-Rahman, Radziah Abdul Latif, Ruhaini Muda and Muhammad Azmi Abdullah
Islamic bank incentives and discretionary loan loss provisions pp. 152-174 Downloads
Sayd Farook, M. Kabir Hassan and Gregory Clinch
Matching perception with the reality—Performance of Islamic equity investments pp. 175-189 Downloads
Dawood Ashraf and Nazeeruddin Mohammad

Volume 27, issue C, 2014

Google search intensity and its relationship with returns and trading volume of Japanese stocks pp. 1-18 Downloads
Fumiko Takeda and Takumi Wakao
Momentum effect in Australian equities: Revisit, armed with short-selling ban and risk factors pp. 19-31 Downloads
Bob Li, Thomas Stork, Daniel Chai, Mong Shan Ee and Hong Nee Ang
Do foreign investors improve informational efficiency of stock prices? Evidence from Japan pp. 32-48 Downloads
Wen He and Jianfeng Shen
Measuring liquidity in emerging markets pp. 49-71 Downloads
Wenjin Kang and Huiping Zhang
Predicting future price volatility: Empirical evidence from an emerging limit order market pp. 72-93 Downloads
Pawan Jain and Christine Jiang
Measuring systemic risk in the Korean banking sector via dynamic conditional correlation models pp. 94-114 Downloads
Jaeho Yun and Hyejung Moon
Characterizing information flows among spot, deliverable forward and non-deliverable forward exchange rate markets: A cross-country comparison pp. 115-137 Downloads
Kai-Li Wang, Chris Fawson, Mei-Ling Chen and An-Chi Wu
IPO firm value and its connection with cornerstone and wider signalling effects pp. 138-162 Downloads
Paul B. McGuinness
Legal protection and underpricing of IPOs: Evidence from China pp. 163-187 Downloads
Jianlei Liu, Konari Uchida and Ruidong Gao

Volume 26, issue C, 2014

The house money and break-even effects for different types of traders: Evidence from Taiwan futures markets pp. 1-13 Downloads
Yu Chuan Huang and Shu Hui Chan
Value investing and technical analysis in Taiwan stock market pp. 14-36 Downloads
Kuan-Cheng Ko, Shinn-Juh Lin, Hsiang-Ju Su and Hsing-Hua Chang
Disciplinary tools and bank risk exposure pp. 37-64 Downloads
Mamiza Haq, Robert Faff, Rama Seth and Sunil Mohanty
The profitability of candlestick charting in the Taiwan stock market pp. 65-78 Downloads
Tsung-Hsun Lu
Asymmetric Information and Volatility Forecasting in Commodity Futures Markets pp. 79-97 Downloads
Qingfu Liu, Ieokhou Wong, Yunbi An and Jinqing Zhang
Short-sales constraints and liquidity change: Cross-sectional evidence from the Hong Kong Market pp. 98-122 Downloads
Min Bai and Yafeng Qin
Does market timing persistently affect capital structure? Evidence from stock market liberalization pp. 123-144 Downloads
I-Hsiang Huang
Spillover effect of US monetary policy to ASEAN stock markets: Evidence from Indonesia, Singapore, and Thailand pp. 145-155 Downloads
Lu Yang and Shigeyuki Hamori
Information attributes, information asymmetry and industry sector returns pp. 156-175 Downloads
Narelle Gordon, Edward Watts and Qiongbing Wu
Why are rights offers in Hong Kong so different? pp. 176-197 Downloads
Chin-Chong Lee, Wai-Ching Poon and Jothee Sinnakkannu
How close a relationship does a capital market have with other markets? A reexamination based on the equal variance test pp. 198-226 Downloads
Lixiong Yang, Chingnun Lee and Fu Shuen Shie
Economic policy uncertainty and corporate investment: Evidence from China pp. 227-243 Downloads
Yizhong Wang, Carl R. Chen and Ying Sophie Huang
False discoveries in the performance of Australian managed funds pp. 244-256 Downloads
Sangbae Kim, Francis In, Philip Inyeob Ji and Raphael Jonghyeon Park

Volume 25, issue C, 2013

Investor heterogeneity and the cross-sectional stock returns in China pp. 1-20 Downloads
Wei Opie and Hong Feng Zhang
How product market competition affects dividend payments in a weak investor protection economy: Evidence from Taiwan pp. 21-39 Downloads
Lanfeng Kao and Anlin Chen
How does the stock market value bank diversification? Empirical evidence from Japanese banks pp. 40-61 Downloads
Michiru Sawada
Are foreign investors really beneficial? Evidence from South Korea pp. 62-84 Downloads
Jacqueline L. Garner and Won Yong Kim
The impact of shareholding structure on firm investment: Evidence from Chinese listed companies pp. 85-100 Downloads
Alex A. Chen, Hong Cao, Dayong Zhang and David G. Dickinson
Anonymity and order submissions pp. 101-118 Downloads
Huu Nhan Duong and Petko S. Kalev
Is there a volatility effect in the Hong Kong stock market? pp. 119-135 Downloads
Gilbert Nartea and Ji Wu
Interbank market, stock market, and bank performance in East Asia pp. 136-156 Downloads
Masahiro Inoguchi
Effects of dividend tax and signaling on firm valuation: Evidence from taxable stock dividend announcements pp. 157-180 Downloads
Nan-Ting Kuo and Cheng Few Lee
Tax reform and the identity of marginal traders around ex-dividend days pp. 181-199 Downloads
Yun-lan Tseng and Shing-yang Hu
Are stock markets in Asia related to carry trade? pp. 200-216 Downloads
Hung-Gay Fung, Yiuman Tse and Lin Zhao
Analyst coverage, optimism, and stock price crash risk: Evidence from China pp. 217-239 Downloads
Nianhang Xu, Xuanyu Jiang, Kam C. Chan and Zhihong Yi
Investor response to a natural disaster: Evidence from Japan's 2011 earthquake pp. 240-252 Downloads
Matthew Hood, Akiko Kamesaka, John Nofsinger and Teruyuki Tamura
Bank competition and financial stability: A comparison of commercial banks and mutual savings banks in Korea pp. 253-272 Downloads
Jin Q. Jeon and Kwang Kyu Lim
Capital gains, illiquidity, and stock returns pp. 273-293 Downloads
Xiaoyan Lei, Yuegang Zhou and Xiaoneng Zhu
Investor participation and underpricing in lottery-allocated Chinese IPOs pp. 294-314 Downloads
Zhe Shen, Jerry Coakley and Norvald Instefjord

Volume 24, issue C, 2013

Revisiting early warning signals of corporate credit default using linguistic analysis pp. 1-21 Downloads
Yang-Cheng Lu, Chung-Hua Shen and Yu-Chen Wei
An analysis of the impact of media coverage on stock price crashes and jumps: Evidence from Japan pp. 22-38 Downloads
Hiroyuki Aman
Ex-dividend prices and investor trades: Evidence from Taiwan pp. 39-65 Downloads
Hung-Ling Chen, Edward H. Chow and Cheng-Yi Shiu
The quality of securities firms' earnings forecasts and stock recommendations: Do informational advantages, reputation and experience matter in China? pp. 66-88 Downloads
Jan Bartholdy and Tiyi Feng
Does the organisational form of the target influence market reaction to acquisition announcements? Australian evidence pp. 89-108 Downloads
Syed M.M. Shams, Abeyratna Gunasekarage and Sisira R.N. Colombage
Hedging performance of Chinese stock index futures: An empirical analysis using wavelet analysis and flexible bivariate GARCH approaches pp. 109-131 Downloads
Yang Hou and Steven Li
Insider trading, accrual abuse, and corporate governance in emerging markets — Evidence from Taiwan pp. 132-155 Downloads
Hui-wen Tang, Anlin Chen and Chong-Chuo Chang
Conflicts of interest between banks and firms: Evidence from Japanese mergers pp. 156-178 Downloads
Huong N. Higgins
Corporate governance and payout policy: Evidence from Korean business groups pp. 179-198 Downloads
Lee-Seok Hwang, Hakkon Kim, Kwangwoo Park and Rae Soo Park
Short sales, margin purchases and bid–ask spreads pp. 199-220 Downloads
Yan Zhao, Lee-Young Cheng, Chong-Chuo Chang and Cih-Ying Ni
Corporate governance, growth opportunities, and the choices of cross-listings: The case of Chinese ADRs pp. 221-234 Downloads
Lee Hsien Pan, Chien-Ting Lin and Pei-Chi Yang
Does CEO pay dispersion matter in an emerging market? Evidence from China's listed firms pp. 235-255 Downloads
Fang Hu, Xiaofei Pan and Gary Tian
What affects the cool-off duration under price limits? pp. 256-278 Downloads
Pin-Huang Chou, Robin K. Chou, Kuan-Cheng Ko and Chun-Yi Chao
The dark side of independent venture capitalists: Evidence from Japan pp. 279-300 Downloads
Yue Sun, Konari Uchida and Mamoru Matsumoto
The relationship between satellite and home market volumes: Evidence from cross-listed Singapore futures contracts pp. 301-311 Downloads
Alex Frino, Frederick H.deB. Harris, Andrew Lepone and Jin Boon Wong
Political connections, founder-managers, and their impact on tunneling in China's listed firms pp. 312-339 Downloads
Liangbo Ma, Shiguang Ma and Gary Tian
Page updated 2022-01-22