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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 81, issue C, 2023
- Oil price uncertainty, financial distress and real economic activities: Evidence from China

- Li Li, Hongyi Chen and Jingjie Xiang
- Explosive behavior in the Chinese stock market: A sectoral analysis

- Hui Yang and Román Ferrer
- High-dimensional portfolio optimization based on tree-structured factor model

- Xuanming Ni, Tiantian Zheng, Huimin Zhao and Shushang Zhu
- Research on the effect of firm-specific investor sentiment on the idiosyncratic volatility anomaly: Evidence from the Chinese market

- Haozhi Chen and Yue Zhang
- Liquidity changes and decomposition in the Japanese equity market

- Yasuhiro Iwanaga and Takehide Hirose
- The construction of social credit system and corporate innovation: Evidence from China

- Jingjing Zuo, Changqing Huang, Baoyin Qiu and Ruidong Mai
- Are short selling threats beneficial to creditors? Insights from corporate default risk

- Xiaoran Ni and Hongmei Xu
- Non-controlling shareholders' governance participation and corporate misconduct: Evidence from voting in general meetings

- Qiaoshan Lu, Cheng Xiang, Bingxiang Li and Lixuan Feng
- How does the COVID-19 pandemic change the disposition effect in fund investors?

- Xuejun Jin, Hongze Li, Bin Yu and Yijing Zheng
- Corporate risk and financial asset holdings

- Xiaodong Xu, Yayu Mu and Juan Wang
- Momentum effect and contrarian effect in China's A-share market, under registration-based system

- Wenli Huang, Fengbo Zhou, Chenkang Yu, Yue Hu, Hong Zhang and Yueling Xu
- CEO's poverty imprints and corporate financial fraud: Evidence from China

- Yang Liu, Han Zhang and Fukang Zhang
- Digital transformation and income inequality within enterprises – Evidence from listed companies in China

- Minghuan Li, Anxuan Jiang and Jianteng Ma
Volume 80, issue C, 2023
- Equity overvaluation, insider trading activity, and M&A premium: Evidence from China

- Yongshen Zhang, Qing Zhang, Xiaoliang Yu and Qiushu Ma
- CEO remuneration, financial distress and firm life cycle

- Bikram Chatterjee, Jing Jia, Mai Nguyen, Grantley Taylor and Lien Duong
- The role of anchoring on investors’ gambling preference: Evidence from China

- Zhuo Wang, Ziyue Wang and Ke Wu
- The effect of the government's green grip: Evidence from government-initiated corporate environmental ratings and corporate debt financing

- Xiaojuan Liu, Xiaoyijing Chen and Baijun Deng
- Network connectedness of the term structure of yield curve and global Sukuks

- Zaghum Umar, Yasir Riaz, Yasir Shahab and Tamara Teplova
- Return spillover across China's financial markets

- Yu-Lun Chen, Wan-Shin Mo, Rong-Ling Qin and J. Jimmy Yang
- Competition laws and corporate risk-taking around the world

- Zhe Shen, Joseph Sowahfio Sowah, Cephas Simon Peter Dak-Adzaklo and Shan Li
- InsurTech—Promise, threat or hype? Insights from stock market reaction to InsurTech innovation

- Yu Luen Ma and Yayuan Ren
- Prospect theory and mutual fund flows: Evidence from China

- Cheng Wang and Jing Han
- Reform of fiscal hierarchy and corporate innovation: Evidence from the ‘Province-Managing-County’ fiscal reform in China

- Shasha Liu, Yifan Jin and Huixian Zhao
- Urban construction and firm green innovation: Evidence from China's low-carbon pilot city initiative

- Hongying Yin, Yuting Qian, Bin Zhang and Rebeca Pérez
- Public ownership and local bank lending at the time of the Covid-19 pandemic: Evidence from Indonesia

- Akhmad Akbar Susamto, Danes Quirira Octavio, Tastaftiyan Risfandy and Dyah Titis Kusuma Wardani
- CEO inside debt and downside risk: Evidence from internal and external environments

- Chien-Chiang Lee, Chih-Wei Wang and Yu-Ching Wu
- Does prospectus readability matter for bond issuance pricing? Evidence from China

- Fengyu Li, Mozhu Yang and Tong Zhang
- The fault-tolerant and error-correction mechanism and capital allocation efficiency of state-owned Enterprises in China

- Quan Li, Haodan Sun, Yunqing Tao, Yongwei Ye and Kaiyan Zhan
- Digital financial inclusion, traditional finance system and household entrepreneurship

- Fengfu Mao, Yuanfan Wang and Mengsi Zhu
- Financial mismatch on corporate debt default risk: Evidence from China

- Wang Zhitao and Ma Xiang
- Time-varying MAX preference: Evidence from revenue announcements

- Mei-Chen Lin
- Trend information and cross-sectional returns: The role of analysts

- Yao Ma, Baochen Yang, Jinyong Li and Yue Shen
- Does minimum wages affect executive compensation? – Evidence from China

- Wenyun Yao, Yuhang Qian, Hang Yang and Wei Xu
- Digital economy, financing constraints, and corporate innovation

- Quan Li, Huimin Chen, Yang Chen, Tong Xiao and Li Wang
- The number of bank relationships and bank lending to informationally opaque SMEs

- Yuta Ogane
- CEO experience, managerial overconfidence and investment efficiency: Evidence from a natural experiment in China

- Ying Hao, Junyi Li, Xuegang Cui and Juan Ni
- Dual-class share structure and firm risks

- Soohyung Kim
- What protects me also makes me behave: The role of directors' and officers' liability insurance on empire-building managers in China

- Qingbin Meng, Ziya Zhong, Xinyu Li and Song Wang
- Market intraday momentum: APAC evidence

- Manapon Limkriangkrai, Daniel Chai and Gaoping Zheng
- How does corporate ESG performance affect stock liquidity? Evidence from China

- Kai Wang, Tingting Li, Ziyao San and Hao Gao
- Digital transformation along the supply chain

- Chenhao Guo, Yun Ke and Jinkang Zhang
- Do common institutional owners' activisms deter tax avoidance? Evidence from an emerging economy

- A. Athira and P.J. Jijo Lukose
- The ESG rating, spillover of ESG ratings, and stock return: Evidence from Chinese listed firms

- Hao Li, Hui Guo, Xinyao Hao and Xuan Zhang
- Tail comovements of implied volatility indices and global index futures returns predictability

- Hsiu-Chuan Lee, Yun-Huan Lee and Cuong Nguyen
- Overnight returns and investor sentiment: Further evidence from the Taiwan stock market

- Hang Zhang, Wei-Che Tsai, Pei-Shih Weng and Pin-Chieh Tsai
- Air quality and CEO cross–regional turnover ——The role of compensation or incentive

- Ying Hao, Lixin Huang, Yuxiu Huang and Zi Wei
- Does gender diversity affect financial strength differently in conventional and Islamic banks? Evidence from MENA countries

- Abdullah A. Aljughaiman, Ngan Duong Cao, Vu Quang Trinh, Mohammed Albarrak and Xuan Vinh Vo
- Air pollution and institutional investors' valuation bias during initial public offerings

- Yeguang Chi, Jingbin He, Xinru Ma and Fei Wu
- Can firms with higher ESG ratings bear higher bank systemic tail risk spillover?—Evidence from Chinese A-share market

- Aifan Ling, Jinlong Li and Yugui Zhang
- Do competition and market structure affect sensitivity of bank profitability to the business cycle?

- Małgorzata Olszak and Iwona Kowalska
- Gambling culture and corporate violations: Evidence from China

- Yunyan Chen, Shinong Wu, Yucheng Zhou and Di Huo
- CFO gender and financial statement comparability

- Fangjun Wang, Zhichao Zhang, L.C. Jennifer Ho and Muhammad Usman
- Global financial crisis, funding constraints, and liquidity of VIX futures

- Junmao Chiu, Donald Lien and Wei-Che Tsai
- Risk-off shocks and spillovers in safe havens

- John Beirne and Eric Sugandi
- Environmental, social and governance performance and credit risk: Moderating effect of corporate life cycle

- Liyue Wang and Liuyong Yang
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