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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 ().

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Volume 19, issue 5, 2022

Risk mitigation effect of foreign debt: evidence from loan pricing pp. 977-1001 Downloads
Yane Chandera
Clustering of percentage gross spreads and the avoidance of underwriter switching pp. 1002-1023 Downloads
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 Downloads
Ajaya Kumar Panda, Swagatika Nanda and Apoorva Hegde
Earnings management and underperformance after seasoned equity offerings: a cross-country study pp. 1053-1075 Downloads
Solomon Opare, Muhammad Houqe and Tony van Zijl
Executive pay disparity and cost of debt financing pp. 1076-1097 Downloads
Hsin-I Chou, Xiaofei Pan and Jing Zhao
CEO marital status and capital allocation efficiency pp. 1098-1123 Downloads
Md Noman Hossain and Md Nazmul Hasan Bhuyan
Investigation of the multi-layers of imprinting on corporate working capital management pp. 1124-1146 Downloads
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 Downloads
Karolina Krystyniak and Viktoriya Staneva
Bankruptcy law, creditors' rights and dividend policy: evidence from a quasi-natural experiment pp. 1178-1202 Downloads
Nemiraja Jadiyappa and Ram Kumar Kakani
Signaling or tunneling: the dividend policies of Chinese ADRs listed in the US pp. 1203-1224 Downloads
Kevin M. Zhao

Volume 19, issue 4, 2022

Impact of financial distress on investment-cash flow sensitivity: evidence from emerging economy pp. 713-743 Downloads
Gaurav Gupta and Jitendra Mahakud
Debt dynamic, debt dispersion and corporate governance pp. 744-771 Downloads
Daniel Tut
Market integration and volatility spillover across major East Asian stock and Bitcoin markets: an empirical assessment pp. 772-802 Downloads
Hongjun Zeng and Abdullahi D. Ahmed
Does economic policy uncertainty affect bank profitability? pp. 803-830 Downloads
Peterson Ozili and Thankom G. Arun
Strategic deviance and trade credit pp. 831-852 Downloads
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 Downloads
Feng Xie, Hamish D. Anderson, Jing Chi and Jing Liao
International evidence on the relationship between corporate ethics and dividend policy pp. 890-909 Downloads
Omar Farooq and Neveen Ahmed
How are economic policy uncertainty shocks transmitted to capital structure? Chinese evidence pp. 910-929 Downloads
Xiao-Ming Li and Mei Qiu
Uncertainty, bank opacity, and market structure pp. 930-949 Downloads
Dang Van Dan and Hoang Chung Nguyen
Audit quality and liquidity policy pp. 950-974 Downloads
Mohammad Hendijani Zadeh

Volume 19, issue 3, 2022

Does organizational form really matter to investment firms? pp. 473-490 Downloads
XiaoXiao Han, Skander Lazrak and Samir Trabelsi
Powerful political corporate appointments and firm bribery channels pp. 491-518 Downloads
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 Downloads
Huson Ali Ahmed, Mohammad Muttakin and Arifur Khan
CFO credentials, stock market signaling, and firm performance pp. 539-571 Downloads
Sudip Datta, Trang Doan, Abhijit Guha, Mai Iskandar-Datta and Min-Jeong Kwon
Portfolio weights concentration: optimal strategies and equilibrium implications pp. 572-582 Downloads
Paskalis Glabadanidis
The influence of corporate governance on the performance of family-controlled firms: exploring the effects of legal jurisdiction pp. 615-644 Downloads
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 Downloads
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 Downloads
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 Downloads
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 Downloads
John Nofsinger, Fernando M. Patterson and Corey Shank
Do analysts cater to investor information demand? pp. 248-268 Downloads
Benjamin Jansen, Md Miran Hossain and Jon Taylor
Executive compensation linked to corporate social responsibility and firm risk pp. 269-290 Downloads
Lucia Gao, Shahbaz Sheikh and Hong Zhou
Effect of debt structure concentration on the investment–cash flow sensitivity of Brazilian companies pp. 291-307 Downloads
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 Downloads
Dezhong Xu, Bin Li and Tarlok Singh
Bank stock valuation theories: do they explain prices based on theories? pp. 331-350 Downloads
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 Downloads
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 Downloads
Fanglin Shen, Quantong Guo, Hongyan Liang and Zilong Liu
Options trading prior to takeover rumors pp. 421-445 Downloads
Hamed Khadivar, Frederick Davis and Thomas Walker
Stock return synchronicity in a weak information environment: evidence from African markets pp. 446-469 Downloads
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 Downloads
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 Downloads
Ehsan Poursoleyman, Gholamreza Mansourfar and Sazali Abidin
Corporate risk-taking after changes in credit rating pp. 48-62 Downloads
Hardjo Koerniadi
Does corporate social responsibility transparency mitigate corporate cash holdings? pp. 63-87 Downloads
Mohammad Hendijani Zadeh, Michel Magnan, Denis Cormier and Ahmad Hammami
Stock derivatives and seasoned equity offerings pp. 88-107 Downloads
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 Downloads
Santanu Das, Ashish Kumar and Asit Bhattacharyya
The impact of natural disasters on the performance and solvency of US banks pp. 136-154 Downloads
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 Downloads
Hui Li and Bruce Grundy
Investors' responses to macroeconomic news: the role of mandatory derivatives and hedging activities disclosure pp. 173-202 Downloads
Abiot Tessema and Ghulame Rubbaniy
Testing factor models in an emerging market: evidence from India pp. 203-232 Downloads
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 Downloads
Md Ruhul Amin and Andre Varella Mollick
Are social connections of independent directors all the same? Evidence from corporate monitoring pp. 812-832 Downloads
Zhe Li, Emre Unlu and Julie Wu
CEO pay slice and acquisitions in Australia: the role of tournament incentives pp. 833-868 Downloads
Hoa Luong, Abeyratna Gunasekarage and Syed Shams
Mutual fund manager turnover: an empirical investigation of performance pp. 869-887 Downloads
Avinash Ghalke and Shripad Kulkarni
Employee mistreatment and information asymmetry pp. 888-919 Downloads
Omer Unsal
Valuation of short-lived firms following waves of new listings pp. 920-943 Downloads
Yoshie Saito
Did the STOCK Act impact the performance, risk and flow of hedge funds? pp. 944-978 Downloads
Laleh Samarbakhsh and Meet Shah
Bank stability, credit information sharing and a shift toward households' lending: international evidence pp. 979-996 Downloads
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 Downloads
Ranjan DasGupta and Rajesh Pathak

Volume 18, issue 4, 2022

Multinational enterprises’ internationalization and adoption of sustainable development goals pp. 617-638 Downloads
Ranjan DasGupta, Satish Kumar and Rajesh Pathak
Do global factors drive the interconnectedness among green, Islamic and conventional financial markets? pp. 639-660 Downloads
Sitara Karim and Muhammad Abubakr Naeem
Do stock markets value green operations? Evidence from India pp. 661-676 Downloads
Nemiraja Jadiyappa and Raveesh Krishnankutty
Board characteristics and environmental disclosures: evidence from sensitive and non-sensitive industries of India pp. 677-700 Downloads
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 Downloads
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 Downloads
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 Downloads
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 Downloads
Faisal Alqahtani, Besma Hamdi and Michael Skully
Informational content of options around analyst recommendations pp. 445-465 Downloads
Qingxia Wang, Robert Faff and Min Zhu
Board independence and private information-based trading: evidence from Malaysia pp. 466-487 Downloads
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 Downloads
Snow Han
Individual investors' responses to mutual fund fire sales and sell-side analysts' price-correcting revisions pp. 510-533 Downloads
Jinglin Jiang and Weiwei Wang
How do founder-CEOs sell their remaining ownership shares? Theory and evidence pp. 534-561 Downloads
Xu Niu
Financial expert CEOs, political intervention, and corporate investment decisions: evidence from the anti-corruption campaign pp. 562-593 Downloads
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 Downloads
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 Downloads
Guoping Liu and Jerry Sun
Bank-appointed directors and idiosyncratic volatility: evidence from India pp. 222-239 Downloads
Nemiraja Jadiyappa, Anto Joseph and Garima Sisodia
Capital structure and earnings quality in microfinance institutions pp. 240-260 Downloads
Naima Lassoued
The stability of dividends and its predictability: a cross-country analysis pp. 261-285 Downloads
Rajesh Pathak and Ranjan Das Gupta
Board performance and its relation to dividend payout: evidence from Malaysia pp. 286-316 Downloads
Ravichandran Subramaniam and Mahenthiran Sakthi
The firm growth-cash flow sensitivity: do financial constraints matter? pp. 317-335 Downloads
Abdul Rashid and Mahir Ahmed Hersi
Confidentiality in loan credit agreements pp. 336-364 Downloads
Ca Nguyen and Alejandro Pacheco
Innovation intensity of military-connected firms pp. 365-397 Downloads
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 Downloads
Dror Parnes

Volume 18, issue 1, 2020

Tax avoidance and stock price crash risk: mitigating role of managerial ability pp. 1-27 Downloads
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 Downloads
Farah Zamir, Greg Shailer and Abubakr Saeed
Corporate social responsibility and corporate payout policy: the impact of product market competition pp. 49-74 Downloads
Shahbaz Sheikh
Banking sector earnings management using loan loss provisions in the Fintech era pp. 75-93 Downloads
Peterson Ozili
Heterogeneous firm-level responses to the US 2018 tariff announcement pp. 94-117 Downloads
Yafeng Qin, Zikai Yang and Min Bai
Institutional blockholders and the variability of firm performance pp. 118-137 Downloads
Peng Huang and Yue Lu
When no news is good news: failing to increase dividends pp. 138-155 Downloads
David Michayluk, Karyn Neuhauser and Scott Walker
Threat of hostile takeover and the cost of seasoned equity offerings pp. 156-180 Downloads
Ali Sheikhbahaei and Syed Shams
The flexibility of corporate payouts vis-à-vis capital investment: some UK evidence pp. 181-201 Downloads
Ioannis Chasiotis and Andreas G. Georgantopoulos
Page updated 2025-08-13