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 61, issue C, 2020
- Contrarian profits of the firm-specific component on stock returns

- Joon Chae and Ryumi Kim
- Ownership concentration and stock returns: Evidence from family firms in India

- Shantaram Hegde, Rama Seth and S.R. Vishwanatha
- Market quality around macroeconomic news announcements: Evidence from the Australian stock market

- Ivan Indriawan
- Long memory or regime switching in volatility? Evidence from high-frequency returns on the U.S. stock indices

- Guangyuan Gao, Kin-Yip Ho and Yanlin Shi
- Political favouritism and investment efficiency

- Yunsen Chen, Chenyu Cui, Ting Yang and Xin Zhang
- The impact of government guarantees on banks' wholesale funding costs and lending behavior: Evidence from a natural experiment

- Thi Mai Luong, Russell Pieters, Harald Scheule and Eliza Wu
- IFRS adoption and seasoned equity offering underperformance

- Solomon Opare, Muhammad Nurul Houqe and Tony van Zijl
- The economic depreciation of real estate: Cross-sectional variations and their return implications

- Jiro Yoshida
- Does competitive position of a firm affect the quality of risk disclosure?

- M.V. Shivaani and Nishant Agarwal
- Is bank creditworthiness associated with risk disclosure behavior? Evidence from Islamic and conventional banks in emerging countries

- Rihab Grassa, Nejia Moumen and Khaled Hussainey
- Outcome model or substitute model of D&O insurance on IPO pricing without information asymmetry before issuance

- Lanfeng Kao, Anlin Chen and Chandrasekhar Krishnamurti
- The impact of CEO educational background on corporate cash holdings and value of excess cash

- Seongjae Mun, Seung Hun Han and Dongwook Seo
- Imprinting and peer effects in acquiring state ownership: Evidence from private firms in China

- Bin Li, Ailing Pan, Lei Xu, Xin Liu and Shuqian Qin
- Misinformation corrections of corporate news: Corporate clarification announcements

- Ann Shawing Yang
- The impact of corporate governance on corporate social performance: Cases from listed firms in Taiwan

- Pei-Gi Shu and Sue-Jane Chiang
- Political turnover and stock crash risk: Evidence from China

- Jingwen Yu and Dongren Mai
- The magnet effect of circuit breakers and its interactions with price limits

- Kin Ming Wong, Xiao Wei Kong and Min Li
- Do early birds behave differently from night owls in the stock market?

- Grace Lepone and Zhini Yang
- Usage of conditional orders and the disposition effect in the stock market

- Grace Lepone and Gary Tian
- Corporate deleveraging and financial flexibility: A Chinese case-study

- Karen Lai, Ashna Prasad, George Wong and Iliyas Yusoff
- Distraction effects on stock return co-movements: Confirmation from the Shenzhen and Shanghai stock markets

- Katsiaryna Zhaunerchyk, Afshin Haghighi and Barry Oliver
- Do Islamic indices provide diversification to bitcoin? A time-varying copulas and value at risk application

- Mobeen Ur Rehman, Nadia Asghar and Sang Hoon Kang
- Does cash-based operating profitability explain the accruals anomaly in China?

- Qingjie Du, Yang Wang and K.C. John Wei
- Contagion of future-level sentiment in Chinese Agricultural Futures Markets

- Liyun Zhou and Jialiang Huang
- IPO flipping activity in China and its implications

- Maher Kooli and Xiaozhou Zhou
- Market information traveling on high-speed rails: The case of analyst forecasts

- Dongmin Kong, Lihua Liu and Shasha Liu
- Short selling and corporate tax avoidance: Insights from a financial constraint view

- Jinbo Luo, Xiaoran Ni and Gary Gang Tian
- Entry of foreign banks, state ownership, and corporate innovation

- Leilei Gu, Xiaoran Ni, Yuchao Peng and Huilin Zhang
- Does social capital matter for peer-to-peer-lending? Empirical evidence

- Haitian Lu, Bo Wang, Haizhi Wang and Tianyu Zhao
- Geographic proximity, information flows and corporate innovation: Evidence from the high-speed rail construction in China

- Xuezhi Zhang, Wenxin Wu, Zixun Zhou and Lin Yuan
- Why are some Chinese firms failing in the US capital markets? A machine learning approach

- Gonul Colak, Mengchuan Fu and Iftekhar Hasan
- Platform building in initial coin offering market: Empirical evidence

- Zenu Sharma and Yun Zhu
- Australian policy uncertainty and corporate investment

- Xikai Chen, Cao Hoang Anh Le, Yaowen Shan and Stephen Taylor
- Business sentiment and the cross-section of global equity returns

- Adam Zaremba, Adam Szyszka, Huaigang Long and Dariusz Zawadka
Volume 60, issue C, 2020
- Earnings dispersion in the spotlight: The effects of media coverage on stock liquidity

- Hawfeng Shyu, Feng Gao, Peng Wu and Song Zhu
- News coverage and portfolio returns: Evidence from China

- Cong-Cong Li, Hai-Chuan Xu and Wei-Xing Zhou
- Internal capital markets, ownership structure, and investment efficiency: Evidence from Taiwanese business groups

- James Juichia Lin and Yin-Hua Yeh
- Heterogeneous institutional preferences and informativeness: Evidence from China

- Wenbin Liao, Jianing Du and Ping-Wen Sun
- Individual financial advisor's reputation concern and M&A performance: Evidence from China

- Huaili Lyu and Wenming Wang
- Superstition and stock price crash risk

- Min Bai, Limin Xu, Chia-Feng (Jeffrey) Yu and Ralf Zurbruegg
- What are the drivers of inefficiency in the Gulf Cooperation Council banking industry? A comparison between conventional and Islamic banks

- Ali Salman Saleh, Amir Moradi-Motlagh and Rami Zeitun
- Gold and portfolio diversification: A stochastic dominance analysis of the Dow Jones Islamic indices

- Osamah M. Alkhazali and Taisier A. Zoubi
- Political risk and bank stability in the Middle East and North Africa region

- Mohammad Al-Shboul, Aktham Maghyereh, Abul Hassan and Philip Molyneux
- Aggregate profit instability and time variations in momentum returns: Evidence from China

- Libo Yin and Ya Wei
- Corporate net income and payout smoothing under Shari'ah compliance

- Faruk Balli, Anne De Bruin, Hatice Balli and Jamshid Karimov
- Sovereign ratings and national culture

- Huong Dang and Graham Partington
- Return dispersion and fund performance: Australia – The land of opportunity?

- Ying Cao, Anna von Reibnitz and Geoffrey J. Warren
- Risk and return of online channel adoption in the banking industry

- Dongwei He, Chun-Yu Ho and Li Xu
- The market reaction to green bond issuance: Evidence from China

- Jiazhen Wang, Xin Chen, Xiaoxia Li, Jing Yu and Rui Zhong
- Integrated reporting and earnings quality: The moderating effect of agency costs

- Victoria A. Obeng, Kamran Ahmed and Seema Miglani
- The real effect of mandatory disclosure in Japanese firms

- Hideaki Sakawa, Naoki Watanabel, Akihiro Yamada and Geeta Duppati
- Corruption and equity market performance: International comparative evidence

- Walid Ahmed
- Competition and bank systemic risk: New evidence from Japan's regional banking

- Wataru Hirata and Mayumi Ojima
- Stock return predictability from a mixed model perspective

- Zhifeng Dai and Huan Zhu
- Can government industrial policy enhance corporate bidding? The evidence of China

- Yenn-Ru Chen, Xiaoquan Jiang and Chia-Hsiang Weng
- Family control and cost of debt: Evidence from China

- Hao Gao, Jing He, Yong Li and Yuanyu Qu
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