International Journal of Managerial Finance
2005 - 2025
Current editor(s): Dr Alfred Yawson From Emerald Group Publishing Limited Bibliographic data for series maintained by Emerald Support (). Access Statistics for this journal.
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Volume 19, issue 5, 2022
- Risk mitigation effect of foreign debt: evidence from loan pricing pp. 977-1001

- Yane Chandera
- Clustering of percentage gross spreads and the avoidance of underwriter switching pp. 1002-1023

- Chin-Chong Lee, Shaw Warn Too and Kuan San Ooi
- Testing of coherence between monetary policy stimulus, financial flexibility and profitability of manufacturing firms pp. 1024-1052

- Ajaya Kumar Panda, Swagatika Nanda and Apoorva Hegde
- Earnings management and underperformance after seasoned equity offerings: a cross-country study pp. 1053-1075

- Solomon Opare, Muhammad Houqe and Tony van Zijl
- Executive pay disparity and cost of debt financing pp. 1076-1097

- Hsin-I Chou, Xiaofei Pan and Jing Zhao
- CEO marital status and capital allocation efficiency pp. 1098-1123

- Md Noman Hossain and Md Nazmul Hasan Bhuyan
- Investigation of the multi-layers of imprinting on corporate working capital management pp. 1124-1146

- Zagdbazar Davaadorj, Bolortuya Enkhtaivan and Jamie Weathers
- Is this rating worth it? The benefits of credit ratings in the dynamic tradeoff model pp. 1147-1177

- Karolina Krystyniak and Viktoriya Staneva
- Bankruptcy law, creditors' rights and dividend policy: evidence from a quasi-natural experiment pp. 1178-1202

- Nemiraja Jadiyappa and Ram Kumar Kakani
- Signaling or tunneling: the dividend policies of Chinese ADRs listed in the US pp. 1203-1224

- Kevin M. Zhao
Volume 19, issue 4, 2022
- Impact of financial distress on investment-cash flow sensitivity: evidence from emerging economy pp. 713-743

- Gaurav Gupta and Jitendra Mahakud
- Debt dynamic, debt dispersion and corporate governance pp. 744-771

- Daniel Tut
- Market integration and volatility spillover across major East Asian stock and Bitcoin markets: an empirical assessment pp. 772-802

- Hongjun Zeng and Abdullahi D. Ahmed
- Does economic policy uncertainty affect bank profitability? pp. 803-830

- Peterson Ozili and Thankom G. Arun
- Strategic deviance and trade credit pp. 831-852

- Harshali Damle and Rajesh Kumar Sinha
- State control and stock price crash risk: new evidence of the conservatism of state-owned enterprises pp. 853-889

- Feng Xie, Hamish D. Anderson, Jing Chi and Jing Liao
- International evidence on the relationship between corporate ethics and dividend policy pp. 890-909

- Omar Farooq and Neveen Ahmed
- How are economic policy uncertainty shocks transmitted to capital structure? Chinese evidence pp. 910-929

- Xiao-Ming Li and Mei Qiu
- Uncertainty, bank opacity, and market structure pp. 930-949

- Dang Van Dan and Hoang Chung Nguyen
- Audit quality and liquidity policy pp. 950-974

- Mohammad Hendijani Zadeh
Volume 19, issue 3, 2022
- Does organizational form really matter to investment firms? pp. 473-490

- XiaoXiao Han, Skander Lazrak and Samir Trabelsi
- Powerful political corporate appointments and firm bribery channels pp. 491-518

- Hamish D. Anderson, Jing Liao, Jingjing Yang and Martin Young
- Firm-level political risk and corporate innovation: evidence from US listed firms pp. 519-538

- Huson Ali Ahmed, Mohammad Muttakin and Arifur Khan
- CFO credentials, stock market signaling, and firm performance pp. 539-571

- Sudip Datta, Trang Doan, Abhijit Guha, Mai Iskandar-Datta and Min-Jeong Kwon
- Portfolio weights concentration: optimal strategies and equilibrium implications pp. 572-582

- Paskalis Glabadanidis
- The influence of corporate governance on the performance of family-controlled firms: exploring the effects of legal jurisdiction pp. 615-644

- Ella Guangxin Xu, Joey W. Yang, Yuan George Shan and Chris Graves
- A multi-country study of factors and threshold values affecting sovereign debt-taking behavior pp. 645-669

- Reza Tahmoorespour, Mohamed Ariff, Yaasmin Farzana Abdul Karim, Kian Tek Lee and Sharon Dharsini Anthony
- IFRS experience and earnings quality in the GCC region pp. 670-690

- Nasser S. Kh. Al-Enzy, Reza Monem and Shamsun Nahar
- Stock price crash risk and the adoption of poison pills: evidence from Brazil pp. 691-711

- Yuri Gomes Paiva Azevedo, Lucas Allan Diniz Schwarz, Hellen Bomfim Gomes and Marcelo Augusto Ambrozini
Volume 19, issue 2, 2022
- Manager see manager do: the impact of geographic herding on corporate social responsibility pp. 233-247

- John Nofsinger, Fernando M. Patterson and Corey Shank
- Do analysts cater to investor information demand? pp. 248-268

- Benjamin Jansen, Md Miran Hossain and Jon Taylor
- Executive compensation linked to corporate social responsibility and firm risk pp. 269-290

- Lucia Gao, Shahbaz Sheikh and Hong Zhou
- Effect of debt structure concentration on the investment–cash flow sensitivity of Brazilian companies pp. 291-307

- João Paulo Augusto Eça, Wilson Tarantin Júnior and Maurício Ribeiro do Valle
- Does gold–platinum price ratio predict stock returns? International evidence pp. 308-330

- Dezhong Xu, Bin Li and Tarlok Singh
- Bank stock valuation theories: do they explain prices based on theories? pp. 331-350

- Ken-Yien Leong, Mohamed Ariff, Zarei Alireza and Muhammad Bhatti
- The impact of hiring local managers on foreign venture capital performance: evidence from China pp. 351-384

- Wanyi Chen, Qingchuan Hou, Gary Tian and Lanfang Wang
- Responses in divergence of opinion to earnings announcements: evidence from American depository receipts pp. 385-420

- Fanglin Shen, Quantong Guo, Hongyan Liang and Zilong Liu
- Options trading prior to takeover rumors pp. 421-445

- Hamed Khadivar, Frederick Davis and Thomas Walker
- Stock return synchronicity in a weak information environment: evidence from African markets pp. 446-469

- Anthony Kyiu, Edward Jones and Hao Li
Volume 19, issue 1, 2021
- Corporate governance and innovation investment in publicly listed firms: the moderating effect of ownership type and legal jurisdiction pp. 1-21

- Ella Guangxin Xu, Chris Graves, Yuan George Shan and Joey W. Yang
- Debt structure: a solution to the puzzle of capital structure pp. 22-47

- Ehsan Poursoleyman, Gholamreza Mansourfar and Sazali Abidin
- Corporate risk-taking after changes in credit rating pp. 48-62

- Hardjo Koerniadi
- Does corporate social responsibility transparency mitigate corporate cash holdings? pp. 63-87

- Mohammad Hendijani Zadeh, Michel Magnan, Denis Cormier and Ahmad Hammami
- Stock derivatives and seasoned equity offerings pp. 88-107

- Robert Martin Hull, Sungkyu Kwak and Rosemary Walker
- The impact of institutional factors on corporate mechanism of cash adjustment – New evidence from emerging Asia pp. 108-135

- Santanu Das, Ashish Kumar and Asit Bhattacharyya
- The impact of natural disasters on the performance and solvency of US banks pp. 136-154

- Thomas Walker, Yixin Xu, Dieter Gramlich and Yunfei Zhao
- The effect of investor sentiment and the structure of shareholder ownership on corporate investment pp. 155-172

- Hui Li and Bruce Grundy
- Investors' responses to macroeconomic news: the role of mandatory derivatives and hedging activities disclosure pp. 173-202

- Abiot Tessema and Ghulame Rubbaniy
- Testing factor models in an emerging market: evidence from India pp. 203-232

- Kewal Singh, Anoop Singh and Puneet Prakash
Volume 18, issue 5, 2021
- Stock returns, oil prices and leverage: evidence from US firms pp. 785-811

- Md Ruhul Amin and Andre Varella Mollick
- Are social connections of independent directors all the same? Evidence from corporate monitoring pp. 812-832

- Zhe Li, Emre Unlu and Julie Wu
- CEO pay slice and acquisitions in Australia: the role of tournament incentives pp. 833-868

- Hoa Luong, Abeyratna Gunasekarage and Syed Shams
- Mutual fund manager turnover: an empirical investigation of performance pp. 869-887

- Avinash Ghalke and Shripad Kulkarni
- Employee mistreatment and information asymmetry pp. 888-919

- Omer Unsal
- Valuation of short-lived firms following waves of new listings pp. 920-943

- Yoshie Saito
- Did the STOCK Act impact the performance, risk and flow of hedge funds? pp. 944-978

- Laleh Samarbakhsh and Meet Shah
- Bank stability, credit information sharing and a shift toward households' lending: international evidence pp. 979-996

- Tu D.Q. Le and Dat T. Nguyen
- Role of educational, regional and religious attributes of CEOs in performance of Indian family firms pp. 997-1027

- Ranjan DasGupta and Rajesh Pathak
Volume 18, issue 4, 2022
- Multinational enterprises’ internationalization and adoption of sustainable development goals pp. 617-638

- Ranjan DasGupta, Satish Kumar and Rajesh Pathak
- Do global factors drive the interconnectedness among green, Islamic and conventional financial markets? pp. 639-660

- Sitara Karim and Muhammad Abubakr Naeem
- Do stock markets value green operations? Evidence from India pp. 661-676

- Nemiraja Jadiyappa and Raveesh Krishnankutty
- Board characteristics and environmental disclosures: evidence from sensitive and non-sensitive industries of India pp. 677-700

- P.S. Raghu Kumari, Harnesh Makhija, Dipasha Sharma and Abhishek Behl
- Whether corporate green bonds act as armour during crises? Evidence from a natural experiment pp. 701-724

- Garima Sisodia, Anto Joseph and James Dominic
- Revisiting the financial market interdependence during COVID-19 times: a study of green bonds, cryptocurrency, commodities and other financial markets pp. 725-755

- Amar Rao, Mansi Gupta, Gagan Deep Sharma, Mandeep Mahendru and Anirudh Agrawal
- The best-fitting model(s) of equal risk contribution: evidence from environmental-friendly portfolio pp. 756-782

- Bayu Adi Nugroho
Volume 18, issue 3, 2021
- Nonlinear linkages between bank asset quality and profitability: evidence from dynamic and quantile approaches using a global sample pp. 425-444

- Faisal Alqahtani, Besma Hamdi and Michael Skully
- Informational content of options around analyst recommendations pp. 445-465

- Qingxia Wang, Robert Faff and Min Zhu
- Board independence and private information-based trading: evidence from Malaysia pp. 466-487

- Jiunn-Shyan Khong, Chee-Wooi Hooy and Chun-Teck Lye
- Is the new issue puzzle real? Evidence from implied cost of capital pp. 488-509

- Snow Han
- Individual investors' responses to mutual fund fire sales and sell-side analysts' price-correcting revisions pp. 510-533

- Jinglin Jiang and Weiwei Wang
- How do founder-CEOs sell their remaining ownership shares? Theory and evidence pp. 534-561

- Xu Niu
- Financial expert CEOs, political intervention, and corporate investment decisions: evidence from the anti-corruption campaign pp. 562-593

- Hamish D. Anderson, Jing Liao and Shuai Yue
- Information search in times of market uncertainty: an examination of aggregate and disaggregate uncertainty pp. 594-612

- Marshall A. Geiger, Rajib Hasan, Abdullah Kumas and Joyce van der Laan Smith
Volume 18, issue 2, 2021
- The effect of independent directors' financial expertise on the use of private information in setting bank CEO bonuses pp. 205-221

- Guoping Liu and Jerry Sun
- Bank-appointed directors and idiosyncratic volatility: evidence from India pp. 222-239

- Nemiraja Jadiyappa, Anto Joseph and Garima Sisodia
- Capital structure and earnings quality in microfinance institutions pp. 240-260

- Naima Lassoued
- The stability of dividends and its predictability: a cross-country analysis pp. 261-285

- Rajesh Pathak and Ranjan Das Gupta
- Board performance and its relation to dividend payout: evidence from Malaysia pp. 286-316

- Ravichandran Subramaniam and Mahenthiran Sakthi
- The firm growth-cash flow sensitivity: do financial constraints matter? pp. 317-335

- Abdul Rashid and Mahir Ahmed Hersi
- Confidentiality in loan credit agreements pp. 336-364

- Ca Nguyen and Alejandro Pacheco
- Innovation intensity of military-connected firms pp. 365-397

- Iman Harymawan, Fajar Kristanto Gautama Putra, Amalia Rizki and Mohammad Nasih
- Corporate risk-taking with long-term, short-term and subordinate credit ratings pp. 398-423

- Dror Parnes
Volume 18, issue 1, 2020
- Tax avoidance and stock price crash risk: mitigating role of managerial ability pp. 1-27

- Mukesh Garg, Mehdi Khedmati, Fanjie Meng and Prabanga Thoradeniya
- Do corporate social responsibility disclosures influence investment efficiency in the emerging markets of Asia? pp. 28-48

- Farah Zamir, Greg Shailer and Abubakr Saeed
- Corporate social responsibility and corporate payout policy: the impact of product market competition pp. 49-74

- Shahbaz Sheikh
- Banking sector earnings management using loan loss provisions in the Fintech era pp. 75-93

- Peterson Ozili
- Heterogeneous firm-level responses to the US 2018 tariff announcement pp. 94-117

- Yafeng Qin, Zikai Yang and Min Bai
- Institutional blockholders and the variability of firm performance pp. 118-137

- Peng Huang and Yue Lu
- When no news is good news: failing to increase dividends pp. 138-155

- David Michayluk, Karyn Neuhauser and Scott Walker
- Threat of hostile takeover and the cost of seasoned equity offerings pp. 156-180

- Ali Sheikhbahaei and Syed Shams
- The flexibility of corporate payouts vis-à-vis capital investment: some UK evidence pp. 181-201

- Ioannis Chasiotis and Andreas G. Georgantopoulos
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