|
|
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 76, issue C, 2022
- Home bias in reward-based crowdfunding and its impact on financing performance: Evidence from China

- Cuixia Jiang, Li Zhou, Qifa Xu and Yezheng Liu
- China's illiquidity premium: Due to risk-taking or mispricing?

- Zhi Su, Tongtong Lyu and Libo Yin
- Extreme risk connectedness among global major financial institutions: Links to globalization and emerging market fear

- Yin Liao and Zheyao Pan
- Former CEO director and executive-employee pay gap

- Miaomiao Ye, Mengzhe Li and Qiannan Zeng
- Capital market opening and stock price crash risk – Evidence from the Shanghai-Hong Kong stock connect and the Shenzhen-Hong Kong stock connect

- Ping Zhang, Yezhou Sha, Yu Wang and Tewei Wang
- Restricted shares and CSR: Evidence from foreign strategic investors in China

- Di Cui, Mingfa Ding, Zhongda He and Mi Shen
- Economic policy uncertainty, bank loan, and corporate innovation

- Jing Tian, Haiwei Li and Pin You
- Heterogeneity of dividend smoothing: A strategic response to peer competition in China

- Mingqin Chen, Jing Xie and Yue Li
- Institutional investors' corporate site visits and pay-performance sensitivity

- Wenxin Wu, Xuezhi Zhang and Zixun Zhou
- Dynamic connectedness between non-fungible tokens, decentralized finance, and conventional financial assets in a time-frequency framework

- Zaghum Umar, Onur Polat, Sun-Yong Choi and Tamara Teplova
- Local educational experiences of executives, school geographical relationship and trade credit: Evidence from listed firms in China

- Hong Yu, Muyang Zhang and Ruolu Zhu
- Can ESG certification help company get out of over-indebtedness? Evidence from China

- Xiaobing Lai and Fan Zhang
- The spillover effects of innovation content disclosure in MD&A

- Qigui Liu, Junyi Wang and Wenqiang Chi
- Does government initiated corporate social responsibility lower the default risk? Evidence from the targeted poverty alleviation campaign in China

- Dexiang Wu, Huihui Cheng, Cuicui Luo and Liyan Han
- Conventional monetary policy, COVID-19, and stock markets in emerging economies

- Bernard Njindan Iyke and M.M.J.D. Maheepala
- Do institutional investors' corporate site visits improve ESG performance? Evidence from China

- Yahan Jiang, Cai Wang, Sha Li and Jing Wan
- Government intervention, leverage adjustment, and firm performance: Evidence from defaulting firms

- Mingming Li, Haiming Liu and Yao-Min Chiang
- Six-factor asset pricing and portfolio investment via deep learning: Evidence from Chinese stock market

- Haixiang Yao, Shenghao Xia and Hao Liu
- Environmental taxes and corporate cash holdings: Evidence from China

- Guangqiang Liu, Lingyun Zhang and Ziqin Xie
- Structural news shock, financial market uncertainty and China's business fluctuations

- Yibing Ding, Ziyu Liu and Dayu Liu
Volume 75, issue C, 2022
- Does betting against beta strategy work in major Asian Markets?

- Sanjay Sehgal, Sarika Rakhyani and Florent Deisting
- Can a decentralized power structure affect executive compensation? Evidence from Chinese business groups

- Zhe Zhang, Linlang Zhang and Kam C. Chan
- The turn-of-the-month effect and trading of types of investors

- Yu Kyung Lee and Ryumi Kim
- Can multiple blockholders restrain corporate financialization?

- Fuxiu Jiang, Yanyan Shen and Xinni Cai
- Economic policy uncertainty and bank systemic risk: A cross-country analysis

- Yuejiao Duan, Xiaoyun Fan and Yu Wang
- Insiders' stock pledging disclosures and credit ratings: Evidence from India

- Amanjot Singh and Harminder Singh
- Time-varying monetary policy shocks and the dynamics of Chinese commodity prices

- Yongjian Lyu, Heling Yi, Jin Cao and Mo Yang
- Female senior managers and the gender equality environment: Evidence from south Korean firms

- Jun Myung Song
- Short selling and corporate diversification in emerging markets: Insights from controlling shareholder tunneling

- Jiaoliang Jiang
- Cognitive ability and household portfolio diversification: Evidence from China

- Kun Wu, Yanhong Li, Xianjun Cai and Junming Yin
- Real estate climate index and aggregate stock returns: Evidence from China

- Yuexiang Jiang, Tao Fu, Huaigang Long, Adam Zaremba and Wenyu Zhou
- Should managers be incentivized with stock or options? Evidence from China

- Fang Chen, Jianjun Jia, Yuen Lin and George Xiang
- Domestic liquidity of cross-listed stocks: Evidence from the ADR market

- Hamza Ghaffar, Saad Azmat and M. Kabir Hassan
- Economic policy uncertainty and price pass-through effect of exchange rate in China

- Yonglian Wang, Lijun Wang, Changchun Pan and Songzhi Hong
- Purifying political ecology: How anti-corruption campaign affects capital structure decisions?

- Kai Wu and Jiming Liu
- Business groups and corporate bond costs: Evidence from China

- Liubing Cheng, Yanyan Chen and Yan Zhang
- Retail investor attention and information asymmetry: Evidence from China

- Xing Chen and Chongfeng Wu
- Talk less and do more: Expected strategic adjustments vs. actual changes in the Chinese firms

- Dayong Dong, Mo Yang, Gaoju Yang, Chang-Chih Chen and Xinyi Zhang
- Liquidity shock and stock returns in the Japanese equity market

- Yasuhiro Iwanaga and Takehide Hirose
- Does green credit policy impact corporate cash holdings?

- Na Yuan and Yihong Gao
- Connectedness between the COVID-19 related media coverage and Islamic equities: The role of economic policy uncertainty

- Zaghum Umar, Khaled Mokni and Ana Escribano
- Large transactions and the MAX effect: Evidence from China

- Jia Bi, Pingshu Gui and Yifeng Zhu
- Information quality and IPO underpricing: The role of underwriter pricing and allocation powers

- Catherine Heyjung Sonu
- Tail risks, firm characteristics, and stock returns

- Chen Wang, Xiong Xiong and Dehua Shen
- The dynamic impact of monetary policy on financial stability in China after crises

- Hao Wang, Ning Xu, Haiyan Yin and Hao Ji
- Economic policy uncertainty and stock price informativeness

- Liang Tang and Xiangyu Wan
- How did the oil price affect Japanese yen and other currencies? Fresh insights from the COVID-19 pandemic

- Kaifeng Li, Neluka Devpura and Sijia Cheng
- Economic policy uncertainty and enterprise investment decision: Evidence from China

- Tingli Liu, Xiao Chen and Songling Yang
- Stop-loss early termination clause and hedge fund performance

- Xin Hong, Ningjing Pang and Zhibin Wang
Volume 74, issue C, 2022
- Price limit and stock market quality: Evidence from a quasi-natural experiment in the Chinese stock market

- Xiaotao Zhang, Ziqiao Wang, Jing Hao and Feng He
- Does stock market liquidity affect dividends?

- Roni Michaely and Meijun Qian
- Corporate resilience to the COVID-19 pandemic: The role of digital finance

- Yanchun Xia, Zhilin Qiao and Guanghua Xie
- Triple A default

- Kaihua Deng and Guannan Qiao
- Distance, information and bank lending in China

- Yang Zou and Xiaoming Wang
- Does managerial compensation influence price efficiency?

- Hung-Yi Huang, Cheng Yan and Kung-Cheng Ho
- The value of CSR during the COVID-19 crisis: Evidence from Chinese firms

- Yuyang Yi, Zongyi Zhang and Cheng Xiang
- The impact of rollover restriction on stock price crash risk

- Xiaoxiao Wang and Haiming Liu
- Economic policy uncertainty and institutional investment returns: The case of New Zealand

- Sara Ali, Ihsan Badshah, Riza Demirer and Prasad Hegde
- Heterogeneity in optimal investment and drawdown strategies in retirement

- Adam Butt, Gaurav Khemka and Geoffrey J. Warren
- Do underwriters with foreign shareholders help protect bond investors? Evidence from bond covenants in China

- Chunqiang Zhang, Lu Gao, Xi Gao and Kam C. Chan
- Can a mighty dragon crush a snake in its old haunt? The impact of QFII on board independence in China

- Liang Guo, Lawrence King, Kai Wang and Shuo Yan
- Order submission, information asymmetry, and tick size

- Hongyu Zhu and Ryuichi Yamamoto
- Does social network improve corporate financing efficiency? Evidence from China

- Hongying Yin, Xin Jin, Xiaofeng Quan and Junli Yu
- Pay of political directors in China

- Xiaoming Wang and Tingting Xu
- How does economic policy uncertainty influence managers' learning from peers' stock prices? Evidence from China

- Xieyang Shen, Sijie Yang, Yulin Chen and Jianyu Zeng
- Do multiple large shareholders matter in financial firms? Evidence from China

- Wenlong Bian, Yan Ren and Hao Zhang
- Environmental, social and governance performance, corporate transparency, and credit rating: Some evidence from Chinese A-share listed companies

- Chao Li, Mian Wu, Xi Chen and Wenli Huang
- Do local and non-local retail investor attention impact stock returns differently?

- Ying Yuan, Xiaoqian Fan and Yiou Li
- Economic uncertainty and cross section of stock returns: Australian evidence

- Matthew Simkus, Helen Truong, Khoa Hoang and Ronghong Huang
- Overnight returns, daytime reversals, and future stock returns: Is China different?

- Muhammad A. Cheema, Mardy Chiah and Yimei Man
- Measuring news media sentiment using big data for Chinese stock markets

- Shulin Shen, Le Xia, Yulin Shuai and Da Gao
- Environmental performance and corporate risk-taking: Evidence from China

- Danyu Zhu, Xin Gao, Zijun Luo and Weidong Xu
- Passive investors and concentration of intraday liquidity: Evidence from the Tokyo Stock Exchange

- Kiichi Kitajima
- CEO political connection and stock sentiment beta: Evidence from China

- Shangkun Yi, Jian Wang, Xiaoting Wang and Hongrui Feng
- Financial constraints and financing sources in mergers and acquisitions

- Yulia Merkoulova and Branislav Zivanovic
- COVID-19 and policy responses: Early evidence in banks and FinTech stocks

- Jakhongir Kakhkharov and Robert J. Bianchi
- How resilient are Islamic financial markets during the COVID-19 pandemic?

- Md. Bokhtiar Hasan, Md. Mamunur Rashid, Muhammad Shafiullah and Tapan Sarker
- Muslim CEOs, risk-taking and firm performance

- Chai-Aun Ooi and Chee-Wooi Hooy
- Does COVID-19 matter for systemic financial risks? Evidence from China's financial and real estate sectors

- Wenli Huang, Cheng Lan, Yueling Xu, Zhaonan Zhang and Haijian Zeng
- An examination of herding behaviour of the Chinese mutual funds: A time-varying perspective

- Tingting Cheng, Shuo Xing and Wenying Yao
- Reexamining the impact of closing call auction on market quality: A natural experiment from the Shanghai stock exchange

- Qian Han, Chengzhi Zhao, Jing Chen and Qian Guo
- Nonlinear dependence and spillovers between cryptocurrency and global/regional equity markets

- Waqas Hanif, Jose Areola Hernandez, Victor Troster, Sang Hoon Kang and Seong-Min Yoon
- Paying for pollution: Air quality and executive compensation

- Zhenyi Yang, Tiecheng Leng, Luyao Pan and Xiaoming Wang
| | |
|