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China Finance Review International

2011 - 2024

Current editor(s): Professor Chongfeng Wu and Professor Haitao Li

From Emerald Group Publishing Limited
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Volume 14, issue 4, 2024

An empirical test of auction efficiency: evidence from MBS auctions of the Federal Reserve pp. 649-665 Downloads
Pietro Bonadi, Ali Hotacsu and Zhaogang Song
Do green economy stocks matter for the carbon and energy markets? Evidence of connectedness effects and hedging strategies pp. 666-693 Downloads
Yingyue Sun, Yu Wei and Yizhi Wang
The valuation demand for accounting conservatism: evidence from firm-level climate risk measures pp. 694-718 Downloads
Su Li, Tony van Zijl and Roger Willett
Unraveling the relationship between sustainability and returns: a multi-attribute utility analysis pp. 719-758 Downloads
Marcos Escobar-Anel and Yiyao Jiao
A novel granular decomposition based predictive modeling framework for cryptocurrencies' prices forecasting pp. 759-790 Downloads
Indranil Ghosh, Rabin K. Jana and Dinesh K. Sharma
Will commodity futures reduce systemic risk in the spot market? Evidence from Chinese commodity market pp. 791-812 Downloads
Qing Liu, Yun Feng and Mengxia Xu
Multi-central bank digital currencies arrangements: a multivocal literature review pp. 813-841 Downloads
Kirti Sood and Simarjeet Singh
Do institutional investors' corporate visits mitigate investors' heterogeneous beliefs? Evidence from China pp. 842-866 Downloads
Runmei Luo and Yong Ye

Volume 14, issue 3, 2023

Dynamic interlinkages between cryptocurrencies, NFTs, and DeFis and optimal portfolio investment strategies pp. 430-455 Downloads
Onur Polat
Is there a nexus between NFT, DeFi and carbon allowances during extreme events? pp. 456-479 Downloads
Bikramaditya Ghosh, Mariya Gubareva, Noshaba Zulfiqar and Ahmed Bossman
Does the big boss of coins—Bitcoin—protect a portfolio of new-generation cryptos? Evidence from memecoins, stablecoins, NFTs and DeFi pp. 480-521 Downloads
Monika Chopra, Chhavi Mehta, Prerna Lal and Aman Srivastava
Investor sentiment and the NFT hype index: to buy or not to buy? pp. 522-548 Downloads
Valeriia Baklanova, Aleksei Kurkin and Tamara Teplova
A robust financing theory of ICOs under demand uncertainty of products of token platforms pp. 549-594 Downloads
Aifan Ling and Jie Sun
Time-varying window-based herding detection in the non-fungible token (NFT) marketplace pp. 595-614 Downloads
Eminda Ishan De Silva, Gayithri Niluka Kuruppu and Sandun Dassanayake
Extended model to explain customer attitude toward NFT and moderating effect of technology optimism pp. 615-629 Downloads
Won-jun Lee
Unveiling the digital desire: UTAUT analysis of NFT investment intentions in Malaysia pp. 630-647 Downloads
Faezal Bin Ramly and Mohd Zaidi Md Zabri

Volume 14, issue 2, 2023

Contagious greenwashing investment pp. 201-227 Downloads
Yutong Sun, Shangrong Jiang and Shouyang Wang
Reduced interest option pricing for green bonds pp. 228-268 Downloads
Chengli Zheng, Jiayu Jin and Liyan Han
Use it or lose it: fiscal year-end corporate investment around the world pp. 269-309 Downloads
Yong H. Kim, Bochen Li, Hyun-Han Shin and Wenfeng Wu
On the prediction of stock price crash risk using textual sentiment of management statement pp. 310-331 Downloads
Xiao Yao, Dongxiao Wu, Zhiyong Li and Haoxiang Xu
The integration of real estate investment trust: a wavelet coherency analysis pp. 332-351 Downloads
Nicholas Addai Boamah, Emmanuel Opoku and Stephen Zamore
Financial inclusion and bank risk-taking nexus: evidence from China pp. 352-362 Downloads
Muhammad Umar and Muhammad Akhtar
Causal effects of corporate taxes on private firms' earnings management: a regression discontinuity analysis pp. 363-389 Downloads
Gaowen Kong
“Work is easy or very tired”: the impact of the heterosexual leadership structure on enterprise innovation investment pp. 390-417 Downloads
Mengjun Huo and Chao Li

Volume 14, issue 1, 2023

A survey on ESG: investors, institutions and firms pp. 3-33 Downloads
P. Raghavendra Rau and Ting Yu
Shaping corporate ESG performance: role of social trust in China's capital market pp. 34-75 Downloads
Tiantian Tang and Liyan Yang
Environmental, social and governance (ESG) - augmented investments in innovation and firms' value: a fixed-effects panel regression of Asian economies pp. 76-102 Downloads
Muhammad Azhar Khalil, Rashid Khalil and Muhammad Khuram Khalil
The impact of China's green credit policy on enterprise digital innovation: evidence from heavily-polluting Chinese listed companies pp. 103-121 Downloads
Qiang Lu, Yang Deng, Xinyi Wang and Aiping Wang
The deterrent effect of central environmental protection inspection: evidence from Chinese listed companies pp. 122-145 Downloads
Xiaoyun Wei and Chuanmin Zhao
The environmental externality of economic growth target pressure: evidence from China pp. 146-172 Downloads
Fangying Pang and Hongji Xie
Funding startups using contingent option of value appreciation: theory and formula pp. 173-190 Downloads
Shaun Shuxun Wang
Does venture-backed innovation support carbon neutrality? pp. 191-200 Downloads
Donghui Li, Yingdong Liu, Minxing Sun, Xinjie Wang and Weike Xu

Volume 13, issue 4, 2023

Risk-taking by banks: evidence from European Union countries pp. 537-567 Downloads
Maria Teresa Garcia and Ana Jin Ye
The underlying coherent behavior in intraday dynamic market equilibrium pp. 568-598 Downloads
Leilei Shi, Xinshuai Guo, Andrea Fenu and Bing-Hong Wang
Spillover effects of crash and jump events: evidence from Chinese market pp. 599-620 Downloads
Muhammad Usman, Waheed Akhter and Abdul Haque
COVID-19, various government interventions and stock market performance pp. 621-632 Downloads
Helong Li, Huiqiong Chen, Guanglong Xu and Weiguo Zhang
The impact of chief executive officer turnover on strategic change: a model of mediating effect and joint moderating effect pp. 633-666 Downloads
Renhuai Liu, Chao Li and Mengjun Huo
Investor behavior and psychological effects: herding and anchoring biases in the MENA region pp. 667-681 Downloads
Faten Tlili, Mustapha Chaffai and Imed Medhioub
The dynamics of oil prices, uncertainty measures and unemployment: a time and frequency approach pp. 682-713 Downloads
Opeoluwa Adeniyi Adeosun, Richard O. Olayeni, Mosab I. Tabash and Suhaib Anagreh
Does the research meeting affect the shareholding ratio of institutional investors in listed companies? Empirical evidence from China pp. 714-733 Downloads
Jingqin Zhang and Yong Ye

Volume 13, issue 3, 2023

Disagreement in economic forecasts and equity returns: risk or mispricing? pp. 309-341 Downloads
Turan G. Bali, Stephen J. Brown and Yi Tang
The changing investor demographics of an emerging IPO market during the COVID-19 pandemic pp. 342-361 Downloads
Lokman Tutuncu
Uncertainty governance in the stock market during the COVID-19: evidence of the strictest economies in the world pp. 362-387 Downloads
Sakine Owjimehr and Hooman Hasanzadeh Dastfroosh
The impact of the COVID-19 pandemic on bank systemic risk: some cross-country evidence pp. 388-409 Downloads
Yuanyun Yan, Bang Jeon and Ji Wu
Risk spillovers connectedness between the US Fintech industry VaR, behavioral biases and macroeconomic instability factors: COVID-19 implications pp. 410-443 Downloads
Oumayma Gharbi, Yousra Trichilli and Mouna Boujelbéne
The hedging role of US and Chinese stock markets against economic and trade policy uncertainty: lessons from recent turbulences pp. 444-470 Downloads
Sutap Kumar Ghosh, Md. Naiem Hossain and Hosneara Khatun
The COVID-19 pandemic, economic policy uncertainty and the hedging role of cryptocurrencies: a global perspective pp. 471-508 Downloads
Muhammad Aftab, Inzamam Ul Haq and Mohamed Albaity
Pandemic, risk-adaptation and household saving: evidence from China pp. 509-533 Downloads
Yixing Zhang, Xiaomeng Lu, Haitao Yin and Rui Zhao

Volume 13, issue 2, 2023

Spillovers between non-commercial traders’ activity and spot prices? Analysis of the financialization mechanism in the crude oil market pp. 157-182 Downloads
Antonio Focacci
Fund style drift and stock price crash risk – analysis of the mediating effect based on corporate financial risk pp. 183-206 Downloads
Yanlin Sun, Siyu Liu and Shoudong Chen
Family ownership and capital structure: evidence from ASEAN countries pp. 207-229 Downloads
Trang Khanh Tran and Lan Thi Mai Nguyen
Firms' financial structure with contingent convertible debt, risky debt and multiple growth options pp. 230-262 Downloads
Ons Triki and Fathi Abid
Is Baidu index really powerful to predict the Chinese stock market volatility? New evidence from the internet information pp. 263-284 Downloads
Qiaoqi Lang, Jiqian Wang, Feng Ma, Dengshi Huang and Mohamed Wahab Mohamed Ismail
Does VPIN provide predictive information for realized volatility forecasting: evidence from Chinese stock index futures market pp. 285-303 Downloads
Conghua Wen, Fei Jia and Jianli Hao

Volume 13, issue 1, 2021

Equilibrium policy portfolios when some investors are restricted from holding certain assets pp. 1-22 Downloads
Otto Randl, Arne Westerkamp and Josef Zechner
Temporal changes in global stock markets during COVID-19: an analysis of dynamic networks pp. 23-45 Downloads
Kashif Zaheer, Faheem Aslam, Yasir Tariq Mohmand and Paulo Ferreira
Lottery preference and stock market participation: evidence from China pp. 46-62 Downloads
Tingting Zhang, Desheng Wei, Zhifeng Liu and Xihao Wu
Public pension and borrowing behavior: evidence from rural China pp. 63-78 Downloads
Conglong Fang and Qinghua Shi
The dynamic interaction between investor attention and green security market: an empirical study based on Baidu index pp. 79-101 Downloads
Yang Gao, Yangyang Li and Yaojun Wang
How does investor sentiment impact stock volatility? New evidence from Shanghai A-shares market pp. 102-120 Downloads
Dejun Xie, Yu Cui and Yujian Liu
Does governance quality matter in the nexus of inclusive finance and stability? pp. 121-139 Downloads
Mallika Saha and Kumar Debasis Dutta
The role of model bias in predicting volatility: evidence from the US equity markets pp. 140-155 Downloads
Yan Li, Lian Luo, Chao Liang and Feng Ma
Page updated 2025-02-09