International Journal of Managerial Finance
2005 - 2024
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 16, issue 5, 2020
- Cost efficiency and welfare performance of banks: evidence from an emerging economy pp. 549-574
- David Adeabah and Charles Andoh
- Executive compensation and corporate social responsibility: does a golden parachute matter? pp. 575-598
- Collins E. Okafor and Nacasius U. Ujah
- The role of agency costs in the voluntary adoption of XBRL-based financial reporting pp. 599-622
- Michael De Martinis, Mehdi Khedmati, Farshid Navissi, Mohammed Aminu Sualihu and Zakiya Tofik-Abu
- Income diversification and cost-efficiency of Vietnamese banks pp. 623-643
- Phong Hoang Nguyen and Duyen Thi Bich Pham
- Product market competition, oil uncertainty and corporate investment pp. 645-671
- Hussein Abdoh and Aktham Maghyereh
- Audit quality, political connections and information asymmetry: evidence from banks in gulf co-operation council countries pp. 673-698
- Abiot Tessema
Volume 16, issue 4, 2020
- Bank loan loss provisioning during election years: cross-country evidence pp. 413-431
- Peterson Ozili
- Credit access, tax structure and the performance of Malaysian manufacturing SMEs pp. 433-454
- Calvin W.H. Cheong, Miin Huui Lee and Marc Arul Weissmann
- Lending relationships, credit ratings and bank loan spreads: evidence from Indonesian listed companies pp. 455-479
- Yane Chandera and Lukas Setia-Atmaja
- Income structure, diversification strategy and owners’ benefit in cooperative financial institutions pp. 481-500
- Hoang Van Cuong, Hiep Ngoc Luu, Loan Quynh Thi Nguyen and Vu Tuan Chu
- Financial restatements and sell-side analysts' stock recommendations: evidence from Malaysia pp. 501-524
- Ameen Qasem, Norhani Aripin and Wan Nordin Wan-Hussin
- CEO inside debt and corporate social responsibility pp. 525-546
- Shahbaz Sheikh
Volume 16, issue 3, 2020
- The impact of financial and economic crisis on leverage: the case of Icelandic private firms pp. 297-315
- Twahir Khalfan and Stefan Wendt
- The mediation role of public governance in the relationship between entrepreneurship and economic growth pp. 316-333
- Allam Mohammed Hamdan, Reem Khamis, Ammar Abdulla Al Hawaj and Elisabetta Barone
- Behavior of investor flows in Israeli provident funds pp. 334-356
- Ofer Arbaa and Eva Varon
- Dynamic connectedness between Bitcoin and equity market information across BRICS countries pp. 357-371
- Ahmed Mohamed Dahir, Fauziah Mahat, Bany-Ariffin Amin Noordin and Nazrul Hisyam Ab Razak
- On the dynamic relationship between gold investor sentiment index and stock market pp. 372-392
- Chaiyuth Padungsaksawasdi
- The effects of accounting conservatism on executive compensation pp. 393-411
- Hui Li, Darren Henry and Xiaohui Wu
Volume 16, issue 2, 2019
- Timing the market with own stock: an extensive analysis with buying and selling evidence pp. 141-164
- Dinis Daniel Santos and Paulo Gama
- Audit quality and real earnings management: evidence from the UK manufacturing sector pp. 165-181
- R.P. Sitanggang, Yusuf Karbhari, Bolaji Tunde Matemilola and Mohamed Ariff
- Why discontinue operations? Interrelated elements of the corporate focus hypothesis pp. 182-202
- Richard A. Lord and Yoshie Saito
- Profits, financial leverage and corporate governance pp. 203-223
- Umar Butt
- Determinants of bank shareholder value: evidence from GCC countries pp. 224-252
- Abdulazeez Y.H. Saif-Alyousfi
- Impact of ownership structure and ownership concentration on credit risk of Chinese commercial banks pp. 253-272
- Yang Liu, Sanjukta Brahma and Agyenim Boateng
- Bank mergers and acquisitions in Greece: the financial crisis and its effect on shareholder wealth pp. 273-296
- Ioannis Tampakoudis, Michail Nerantzidis, Demetres Subeniotis, Apostolos Soutsas and Nikolaos Kiosses
Volume 16, issue 1, 2019
- Mutual fund trading around mergers and fund performance pp. 1-20
- Margarita Kaprielyan, Md Miran Hossain and Charles Armah Danso
- Agency costs of board connections and director retention: evidence from UK takeovers pp. 21-48
- Hao Li, Edward Jones and Pierre de Gioia Carabellese
- Assessing the risk of the European Union carbon allowance market pp. 49-60
- Anupam Dutta, Naji Jalkh, Elie Bouri and Probal Dutta
- Managed earnings, prior cost of capital, and firm location pp. 61-82
- Nacasius Ujah Ujah and Collins E. Okafor
- The role of audit quality in preventing firm misreporting: empirical evidence from China pp. 83-100
- Loan Quynh Thi Nguyen, Duong Thuy Le, Hiep Ngoc Luu, Anh Huu Nguyen and Thinh Hoang
- Bond liquidity, risk taking and corporate innovation pp. 101-119
- Ha Nguyen and Huong T.H. Dang
- Bank diversification and performance in an emerging market pp. 120-138
- King Carl Tornam Duho, Joseph Mensah Onumah and Raymond Agbesi Owodo
Volume 15, issue 5, 2019
- Corporate debt maturity and economic development pp. 669-687
- Celia Álvarez-Botas and Víctor M. González-Méndez
- Valuing firm’s financial flexibility under default risk and bankruptcy costs: a WACC based approach pp. 688-699
- Carlo Mari and Marcella Marra
- Market risk, corporate governance, and the regulation during the recent financial crisis pp. 700-718
- Mouna Aloui, Bassem Salhi and Anis Jarboui
- Signalling IPO quality through female directors pp. 719-743
- Bazeet Olayemi Badru, Nurwati A. Ahmad-Zaluki and Wan Nordin Wan-Hussin
- Trade credit, firm profitability, and financial constraints pp. 744-770
- Huan Cong Hoang, Qin Xiao and Saeed Akbar
- Board gender diversity and US corporate bonds pp. 771-791
- Renee M. Oyotode-Adebile and Zubair Ali Raja
- Market reactions to changes in the Dow Jones industrial average index pp. 792-812
- Ernest N. Biktimirov and Yuanbin Xu
- Board structure and financial distress in Brazilian firms pp. 813-828
- Guilherme Freitas Cardoso, Fernanda Maciel Peixoto and Flavio Barboza
- Aggressive tax planning and stock price synchronicity: evidence from China pp. 829-857
- Hua Feng, Ahsan Habib and Gao liang Tian
- Bankruptcy protection duration and outcome of Canadian public firms pp. 858-888
- Mohamed A. Ayadi, Skander Lazrak and Dan Xing
Volume 15, issue 4, 2019
- Financial access and economic development: the moderating role of financial consumer protection pp. 406-424
- Maryam Kriese, Joshua Abor and Elikplimi Agbloyor
- Funding structure and technical efficiency pp. 425-443
- Daniel Ofori-Sasu, Joshua Abor and Lord Mensah
- Financial inclusion and financial sector development in Sub-Saharan Africa: a panel VAR approach pp. 444-463
- Ebenezer Bugri Anarfo, Joshua Abor, Kofi Achampong Osei and Agyapomaa Gyeke-Dako
- Working capital financing, firm performance and financial constraints pp. 464-477
- Nufazil Altaf and Farooq Ahmad
- Capital market development and bank efficiency: a cross-country analysis pp. 478-491
- Thanh Ngo and Tu Le
- Corporate cash holding during crisis and beyond: what matters the most pp. 492-510
- Ranajee Ranajee and Rajesh Pathak
- New evidence on fund performance in extreme events pp. 511-532
- Fadillah Mansor, Naseem Al Rahahleh and Muhammad Bhatti
- Is bitcoin a near stock? Linear and non-linear causal evidence from a price–volume relationship pp. 533-545
- Pradipta Kumar Sahoo, Dinabandhu Sethi and Debashis Acharya
- Executive compensation of immigrant-founder firms in the USA pp. 546-563
- Chialing Hsieh, Vivek Pandey and Hongxia Wang
- Relationship between prestige signals and over-subscription ratio pp. 564-579
- Ali Albada, Othman Yong and Soo-Wah Low
- Tax avoidance in management-owned firms: evidence from Brazil pp. 580-592
- Otávio Gomes Cabello, Luiz Eduardo Gaio and Christoph Watrin
- Stock price movements and trading behaviors around merger and acquisition announcements pp. 593-610
- Jin Young Yang, Reuben Segara and Jingwei Feng
- Abnormally long audit report lags and future stock price crash risk: evidence from China pp. 611-635
- Ahsan Habib and Hedy Jiaying Huang
- CEO inside debt, market competition and corporate risk taking pp. 636-657
- Shahbaz Sheikh
- The early bird and the late bird: which catches more worms in Australia? pp. 658-668
- Nirodha Imali Jayawardena, Akihiro Omura and Bin Li
Volume 15, issue 3, 2019
- Legal family, cultural dimensions, and FDI pp. 285-314
- Tanja Steigner, Marian K. Riedy and Antonina Bauman
- Do culture and governance structure influence extent of corporate risk disclosure? pp. 315-334
- Ben Kwame Agyei-Mensah and Samuel Buertey
- An international study of the response of corporate payout policy pp. 335-349
- Edward Hoang and Indrit Hoxha
- Religion, national culture and cross-country differences in the use of trade credit pp. 350-370
- Markus Mättö and Mervi Niskanen
- Individualism, synchronized stock price movements, and stock market volatility pp. 371-403
- Feng Zhan
Volume 15, issue 2, 2019
- Reducing information asymmetry with ICT pp. 130-163
- Simplice Asongu, Sara le Roux, Jacinta Nwachukwu and Chris Pyke
- Investment in working capital and financial constraints pp. 164-190
- Fahmida Laghari and Ye Chengang
- Working capital management and firm’s valuation, profitability and risk pp. 191-204
- Ben Le
- What do we know about the dividend puzzle? – A literature survey pp. 205-235
- Basil Al-Najjar and Erhan Kilincarslan
- Emerging stock market co-movements in South Asia: wavelet approach pp. 236-256
- Debojyoti Das and Kannadhasan Manoharan
- Cash flow volatility and trade credit in Asia pp. 257-271
- Chris Harris, Scott Roark and Zhe Li
Volume 15, issue 1, 2019
- Political connections, government capital injection, and deposit insurance premium pp. 2-18
- Jyh-Horng Lin, Shi Chen and Fu-Wei Huang
- The relationship between trading volume and exchange rate volatility: linear or nonlinear? pp. 19-38
- Satish Kumar
- Determinants of working capital behavior: evidence from Egypt pp. 39-61
- Amr Ahmed Moussa
- Leverage and employee compensation – the perspective of human capital pp. 62-78
- Hsuan-Chu Lin, Shao-Huai Liang, She-Chih Chiu and Chieh-Yuan Chen
- Corporate governance quality and premature revenue recognition: evidence from the UK pp. 79-99
- Jihad Al Okaily, Rob Dixon and Aly Salama
- The effect of diversification on risk and return in banking sector pp. 100-128
- Ritab AlKhouri and Houda Arouri
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