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.
Is something missing from the series or not right? See the RePEc data check for the archive and series.
Volume 9, issue 5, 2001
- Performance of Malaysian IPOs: Underwriters reputation and management earnings forecasts pp. 457-486

- Ranko Jelic, Brahim Saadouni and Richard Briston
- The influence of group affiliation and the underwriting process on emerging market IPOs: The case of the Philippines pp. 487-512

- Michael J. Sullivan and Angelo Unite
- The influence of underwriter reputation, keiretsu affiliation, and financial health on the underpricing of Japanese IPOs pp. 513-534

- Judy Beckman, Jacqueline Garner, Beverly Marshall and Hideo Okamura
- Intraday trading halts in the Nikkei futures market pp. 535-561

- Martin Martens and Onno W. Steenbeek
- Causes and effects of employee stock option plans: Evidence from Singapore pp. 563-599

- David Ding and Qian Sun
Volume 9, issue 4, 2001
- Dynamic inconsistency of capital forbearance: Long-run vs. short-run effects of too-big-to-fail policymaking pp. 281-299

- Edward Kane
- Hedge funds: Omniscient or just plain wrong pp. 301-311

- Stephen Brown
- Financial regulation in the 21st century pp. 313-321

- Jeffrey Carmichael
- Controlling shareholders and corporate value: Evidence from Thailand pp. 323-362

- Yupana Wiwattanakantang
- Information flows between non-deliverable forward (NDF) and spot markets: Evidence from Korean currency pp. 363-377

- Jinwoo Park
- Are N+1 heads better than one? The timing and selectivity of Australian-managed investment funds pp. 379-400

- Larry J. Prather, Karen L. Middleton and Antony J. Cusack
- Selecting macroeconomic variables as explanatory factors of emerging stock market returns pp. 401-426

- Christopher M. Bilson, Timothy J. Brailsford and Vincent Hooper
- The effects of monetary policy shocks on exchange rates: Evidence from New Zealand and Australia pp. 427-455

- Katherine J. Wilkinson, Martin Young and Shirley Young
Volume 9, issue 3, 2001
- The impact of firm diversification and focus: The Japanese experience pp. 165-193

- Enyang Guo, Arthur J. Keown and Nilanjan Sen
- The impact of salient political and economic news on the trading activity pp. 195-217

- Yue-cheong Chan, Andy C. W. Chui and Chuck C. Y. Kwok
- The behavior of financial analysts during the Asian financial crisis in Indonesia, Korea, Malaysia, and Thailand pp. 233-263

- James S. Ang and Yulong Ma
- Research productivity of the finance profession in the Asia-Pacific region pp. 265-280

- Kam C. Chan, Carl R. Chen and Thomas L. Steiner
Volume 9, issue 2, 2001
- Doubling: Nick Leeson's trading strategy pp. 83-99

- Stephen Brown and Onno W. Steenbeek
- Investment bank reputation and relaxed listing requirements: Evidence from infrastructure firm IPOs in Hong Kong pp. 101-117

- Kathryn Dewenter and Laura Casares Field
- Corporate governance in New Zealand: The effect of the 1993 Companies Act on the relation between board composition and firm performance pp. 119-145

- Mahmud Hossain, Andrew K. Prevost and Ramesh Rao
Volume 9, issue 1, 2001
- The market effects of CEO turnover in Australian firms pp. 1-27

- Jo-Ann Suchard, Manohar Singh and Robert Barr
- Deregulation and capital market integration: A study of the New Zealand stock market pp. 29-46

- J. B. Chay and Venkat Eleswarapu
- Valuation effects of patent quality: A comparison for Japanese and U.S. firms pp. 65-82

- Mark Hirschey and Vernon J. Richardson
Volume 8, issue 5, 2000
- Editorial pp. iii-iv

- Unknown
- Editorial pp. v-vii

- Unknown
- Institutional affiliation and the role of venture capital: Evidence from initial public offerings in Japan pp. 529-558

- Yasushi Hamao, Frank Packer and Jay Ritter
- Informed traders and their market preference: Empirical evidence from prices and volumes of options and stock pp. 559-585

- Joshua Turkington and David Walsh
- Shareholding structure and corporate performance of partially privatized firms: Evidence from listed Chinese companies pp. 587-610

- Daqing Qi, Woody Wu and Hua Zhang
Volume 8, issue 3-4, 2000
- Reflections of a retiring Keynote Speaker pp. 277-283

- Merton Miller
- The dialectical role of information and disinformation in regulation-induced banking crises pp. 285-308

- Edward Kane
- The accuracy of management dividend forecasts in Australia pp. 309-331

- Philip Brown, Alex Clarke, Janice C. Y. How and Kadir Lim
- Defaults and interest rates in international lending pp. 333-345

- Bhagwan Chowdhry
- The pricing of underwriting services in the Australian capital market pp. 347-373

- Janice C. Y. How and Julian J. L. Yeo
- Overreaction in the Australian equity market: 1974-1997 pp. 375-398

- Clive Gaunt
- Barriers to international investing and market segmentation: Evidence from Indian GDR market pp. 399-417

- Thadavillil Jithendranathan, T. R. Nirmalanandan and Kishore Tandon
- Shareholder wealth effects of rights issues: Evidence from the New Zealand capital market pp. 419-442

- Alastair Marsden
- An empirical analysis of the supply of liquidity by locals in futures markets: Evidence from the Sydney Futures Exchange pp. 443-456

- Alex Frino and Elvis Jarnecic
- Are common stocks a good hedge against inflation? Evidence from the Pacific-rim countries pp. 457-482

- Jaeuk Khil and Bong-Soo Lee
- The value of liquidity: Evidence from the derivatives market pp. 483-503

- Howard Wei-Hong Chan and Sean M. Pinder
- Evaluating managed fund performance using conditional measures: Australian evidence pp. 505-528

- Julia Sawicki and Fred Ong
Volume 8, issue 2, 2000
- Preface pp. vii-vii

- Kalok Chan, G. Karolyi and S. Ghon Rhee
- Understanding the financial crisis in Asia pp. 135-152

- Bhagwan Chowdhry and Amit Goyal
- Capital movements, banking insolvency, and silent runs in the Asian financial crisis pp. 153-175

- Edward Kane
- Banks, the IMF, and the Asian crisis pp. 177-216

- Bong-Chan Kho and René Stulz
- Why do closed-end country funds trade at enormous premiums during currency crises? pp. 217-248

- Nandini Chandar and Dilip Kumar Patro
- Value-at-risk: Applying the extreme value approach to Asian markets in the recent financial turmoil pp. 249-275

- Lan-Chih Ho, Peter Burridge, John Cadle and Michael Theobald
Volume 8, issue 1, 2000
- Monitoring and bank loan pricing pp. 1-24

- Andrew H. Chen, Sumon C. Mazumdar and Yuxing Yan
- Determinants of international credit allocation: An analysis of US lending by Japanese banks, 1988 to 1994 pp. 25-52

- Ronald Shrieves and Drew Dahl
- Dividend changes and earnings performance in Japan pp. 53-66

- Atsuo Fukuda
- Trading volume and short-horizon contrarian profits: Evidence from the Malaysian market pp. 67-84

- Allaudeen Hameed and Serena Ting
- International linkages and macroeconomic news effects on interest rate volatility -- Australia and the US pp. 85-113

- Suk-Joong Kim and Jeffrey Sheen
- Valuation of companies and projects under differential personal taxation pp. 115-133

- Martin Lally
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