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Managerial Finance

2007 - 2020

Current editor(s): Professor Don T Johnson

From Emerald Group Publishing
Bibliographic data for series maintained by Virginia Chapman ().

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Volume 47, issue 1, 2020

The unexpected and stickiness behavior of institutional investors in index funds pp. 4-35 Downloads
Eddie Sanchez and Junho Oh
Transaction-based lending and accrual quality pp. 36-58 Downloads
Stephen Gray and Arjan Premti
Measuring the effect of investor sentiment on liquidity pp. 59-85 Downloads
Lee M. Dunham and John Garcia
Hybrid Balanced Justified Treynor ratio pp. 86-97 Downloads
Saeid Tajdini, Mohsen Mehrara and Reza Tehrani
Bridging the gap between management and finance: entrepreneurial orientation and idiosyncratic risk pp. 98-118 Downloads
Steve Kihm and Rashiqa Kamal

Volume 46, issue 12, 2020

Do mergers and acquisitions affect information asymmetry in the banking sector? pp. 1521-1547 Downloads
John S. Howe and Thibaut G. Morillon
Market reaction of the business cooperation with IT service provider: an investigation of IBM pp. 1549-1567 Downloads
Cheng-Kui Huang, Kwo-Whei Lee and Chien-Huei Chou
The dividend signaling hypothesis and the corporate life cycle pp. 1569-1587 Downloads
Narcisa Meza, Anibal Báez, Javier Rodriguez and Wilfredo Toledo
Firm efficiency and the investment anomalies pp. 1589-1603 Downloads
Kyungyeon (Rachel) Koh and Sanjay K. Nawalkha
Is value premium sector-specific? Evidence from India pp. 1605-1628 Downloads
Vanita Tripathi and Priti Aggarwal

Volume 46, issue 11, 2020

Empirical evidence on the profitability of momentum trading strategies using ETFs pp. 1321-1341 Downloads
Susana Yu and Gwendolyn Webb
Firms' information environment measures: a literature review with focus on causality pp. 1343-1372 Downloads
Christopher von Koch and Magnus Willesson
Firm performance and diversification in the energy sector pp. 1373-1390 Downloads
Wim Westerman, Adri De Ridder and Marijn Achtereekte
Litigation risk and payout policy pp. 1391-1406 Downloads
James Malm and Srinidhi Kanuri
Adaptive market hypothesis and investor sentiments: global evidence pp. 1407-1436 Downloads
Abhinava Tripathi, Vipul Null and Alok Dixit
Dividend policy in India: reconciling theory and evidence pp. 1437-1453 Downloads
Bipin Kumar Dixit, Nilesh Gupta and Suman Saurabh
Bank competition in India: revisiting the application of Panzar–Rosse model pp. 1455-1477 Downloads
Bijoy Rakshit and Samaresh Bardhan
The role of efficiency in capital asset pricing: a research on Nasdaq technology sector pp. 1479-1493 Downloads
Hakan Aygoren and Emrah Balkan
A bibliometric analysis of managerial finance: a retrospective pp. 1495-1517 Downloads
H. Kent Baker, Satish Kumar and Nitesh Pandey

Volume 46, issue 10, 2020

The effect of political risk on shareholder value and the mitigating role of corporate social responsibility (CSR) pp. 1217-1230 Downloads
Pattanaporn Chatjuthamard, Pornsit Jiraporn, Pattarake Sarajoti and Manohar Singh
Transmission of shocks between bond and oil markets pp. 1231-1246 Downloads
Amir Saadaoui, Kais Saidi and Mohamed Kriaa
Gender matters: market perception of future performance pp. 1247-1262 Downloads
Kylie A. Braegelmann and Nacasius U. Ujah
Short selling and dark pool volume pp. 1263-1282 Downloads
Thomas Jason Boulton and Marcus V. Braga-Alves
Underwriter reputation and IPO valuation in an emerging market: evidence from Malaysia pp. 1283-1304 Downloads
Chui Zi Ong, Rasidah Mohd-Rashid and Kamarun Nisham Taufil-Mohd
Institutional investment in repurchase stocks: insider trading information pp. 1305-1319 Downloads
Jin-Ying Wang

Volume 46, issue 9, 2020

Geographical proximity and value of corporate cash holdings pp. 1101-1122 Downloads
Darshana D. Palkar, Randi L. Sims and Emre Kuvvet
Agency problems and the value of advertising expenditures in an emerging market: role of product market competition pp. 1123-1143 Downloads
Omar Farooq and Zakir Pashayev
Company–customer conflicts and ethical decision-making of life insurance agents: the role of ethics institutionalization pp. 1145-1163 Downloads
Lu-Ming Tseng
Noise trading and stock market bubbles: what the derivatives market is telling us pp. 1165-1182 Downloads
Scott B. Beyer, J. Christopher Hughen and Robert A. Kunkel
The status quo and the investment decisions pp. 1183-1197 Downloads
Sana EL Harbi and Oumeima Toumia
Do sentimental investors price rational information? Evidence from the Boston Celtics pp. 1199-1214 Downloads
Kelly Carter

Volume 46, issue 8, 2020

A win-win situation for both managers and shareholders: A study of ASEAN corporate governance pp. 977-1000 Downloads
Jayalakshmy Ramachandran, Nafis Alam and Chea Ei Goh
Fair value's effects on closed-end funds' discounts and premia: is level 3 the sole perpetrator? pp. 1001-1022 Downloads
Steve Fortin, Ahmad Hammami and Michel Magnan
Generation Y investment decision: an analysis using behavioural factors pp. 1023-1041 Downloads
Mahfuzur Rahman and Soon Sheng Gan
Toward understanding FinTech and its industry pp. 1043-1060 Downloads
Heather S. Knewtson and Zachary A. Rosenbaum
Assessing working capital management efficiency of Indian manufacturing exporters pp. 1061-1079 Downloads
Himanshu Seth, Saurabh Chadha, Namita Ruparel, Puneet Kumar Arora and Satyendra Kumar Sharma
Competition's impact on research and development real activities earnings management pp. 1081-1099 Downloads
Russell Barber and Dana Hollie

Volume 46, issue 7, 2020

The value of voting rights in Italian cooperative banks: a quasi-natural experiment pp. 861-882 Downloads
Marco Botta and Luca Colombo
Impact of liquidity and solvency risk factors on variations in efficiency of US banks pp. 883-895 Downloads
Kekoura Sakouvogui
Predation risk, market power and cash policy pp. 897-911 Downloads
Hidetaka Mitani
Brexit referendum and European stock markets: a sector analysis pp. 913-933 Downloads
Dimitris Kenourgios, Evangelos Dadinakis and Ioannis Tsakalos
Conditional violation of weak-form market efficiency pp. 935-954 Downloads
Benjamin Jansen
The role of customers and employees in the buffer effect of corporate social responsibility in times of crisis pp. 955-975 Downloads
Dorra Ellouze

Volume 46, issue 6, 2019

Cryptocurrency, a successful application of blockchain technology pp. 715-733 Downloads
Mohammad Hashemi Joo, Yuka Nishikawa and Krishnan Dandapani
Security tokens: architecture, smart contract applications and illustrations using SAFE pp. 735-748 Downloads
Hemang Subramanian
Blockchain & distributed financial data pp. 749-760 Downloads
Ehsan Nikbakht, Manuchehr Shahrokhi and Alford Corriette
ICOs, the next generation of IPOs pp. 761-783 Downloads
Mohammad Hashemi Joo, Yuka Nishikawa and Krishnan Dandapani
Crowdfunding in real estate: evolutionary and disruptive pp. 785-801 Downloads
Manuchehr Shahrokhi and A.M. Parhizgari
Blockchain and contract theory: modeling smart contracts using insurance markets pp. 803-814 Downloads
Alpen Sheth and Hemang Subramanian
Blockchain, herding and trust in peer-to-peer lending pp. 815-831 Downloads
Laura Gonzalez
Assessing blockchain potential for improving the cybersecurity of financial transactions pp. 833-848 Downloads
Kane J. Smith and Gurpreet Dhillon
Blockchain challenges in adoption pp. 849-858 Downloads
Nitin Gaur

Volume 46, issue 5, 2019

How to develop successful and ethical investment analysts: Marquette University’s Applied Investment Management program pp. 590-598 Downloads
Matteo Arena and David K. Krause
Value added: West Virginia University’s approach to innovative experiential learning pp. 599-609 Downloads
Naomi E. Boyd, Gulnara Zaynutdinova, Michael Burdette and Nathan Burks
TVA investment challenge: an experiential learning program pp. 610-623 Downloads
Mahmoud Mustafa Haddad, Arnold L. Redman and Nell S. Gullett
The SIM program at Saint Louis University: Structure, portfolio performance and use of LinkedIn to maintain an alumni network pp. 624-635 Downloads
Brian Betker and Thomas W. Doellman
A tale of two SMIPs: equity and fixed income pp. 636-646 Downloads
Thomas S. Howe, Vladimir Kotomin, Min-Yu (Stella) Liao and Abhishek Varma
From stock selection to multi-asset investment management: The evolution of a student-managed investment fund pp. 647-661 Downloads
Asli Ascioglu and Kevin John Maloney
RPI’s James Fund: ETFs, decision making, & manager transitions pp. 662-674 Downloads
Thomas Shohfi
A dual portfolio approach to a student managed fund pp. 675-684 Downloads
Daniel Huerta and Mark Pyles
Formation of a student managed investment fund: risk management and oversight pp. 685-691 Downloads
Derek Horstmeyer
Risk management in student-managed funds: Earnings announcements and the collar strategy pp. 692-702 Downloads
J. Christopher Hughen and Peter P. Lung
West Point: teaching leadership and risk management through investing pp. 703-708 Downloads
Aaron W. Stark and Isaac Wisniewski

Volume 46, issue 4, 2019

Student Managed Funds – a panel discussion pp. 458-472 Downloads
Hunter M. Holzhauer, Timothy A. Krause, Judson Russell, Deborah Harrell and Arindam Bandopadhyaya
A student-managed investment fund course design structure pp. 473-480 Downloads
Michael Phillips, John Volker and Susan Cockrell
Variation in the structure and administration of student-managed investment funds pp. 481-488 Downloads
Charles M. Boughton and Katherine L. Jackson
Student investment groups: enhancing the liberal arts experience pp. 489-498 Downloads
Brian D. Bergquist, Dawn L. Keig and Timothy J. Wilkinson
Structuring stock investment funds with a limited number of qualified students pp. 499-512 Downloads
David A. DeBoeuf
The learning experience continues: two decades and counting for CSULB’s SMIF program pp. 513-529 Downloads
Peter Ammermann, Pia Gupta and Yulong Ma
The essence of investing: experiential education with a student-run portfolio pp. 530-547 Downloads
Elizabeth Tashjian
Student managed fund (SMF) at the University of Connecticut: History, purpose, performance and the future pp. 548-564 Downloads
Chinmoy Ghosh, Paul Gilson and Michel Rakotomavo
Rebsamen investment fund integration in finance education pp. 565-575 Downloads
Samar Ashour, Craig G. Rennie and Sergio Santamaria
Confessions of a faculty advisor: Development of a student managed investment fund program under constraints pp. 576-586 Downloads
Erin Oldford

Volume 46, issue 3, 2019

Do institutional investors have homogeneous influence on corporate social responsibility? Evidence from investor investment horizon pp. 301-322 Downloads
Yun Meng and Xiaoqiong Wang
Analysts’ optimism and stock crash risk pp. 323-343 Downloads
Hyunkwon Cho and Robert Kim
Ownership dilution and earnings management: evidence from Indian IPOs pp. 344-359 Downloads
Priyesh Valiya Purayil and Jijo Lukose P.J.
Multi-factor asset pricing models in emerging and developed markets pp. 360-380 Downloads
Vaibhav Lalwani and Madhumita Chakraborty
Markov-switching impacts of housing-market expectations on credit markets pp. 381-400 Downloads
MeiChi Huang
Some evidence from a principal component approach to measure a new investor sentiment index in the Tunisian stock market pp. 401-420 Downloads
Ahmed Bouteska
Measures of firm risk-taking: revisiting Bowman’s paradox pp. 421-434 Downloads
Lujer Santacruz
Analyzing seasonal anomalies for Israel: evidence from pre- and post-global financial crisis pp. 435-450 Downloads
Dinesh Jaisinghani, Muskan Kaur and Mohd Merajuddin Inamdar

Volume 46, issue 2, 2019

CFO appointment and debt-equity choice pp. 179-196 Downloads
Suchismita Mishra, Bakhtear Talukdar and Arun Upadhyay
Social media information and analyst forecasts pp. 197-216 Downloads
Abu Amin, Rajib Hasan and Mahfuja Malik
Share classes, families and asset purchases: Canadian evidence pp. 217-236 Downloads
Lingfeng Guo, Lawrence Kryzanowski and Yinlin Nie
Sarbanes-Oxley, agency conflicts and the marginal value of capital expenditure pp. 237-253 Downloads
Gurmeet S. Bhabra and Jacob Rooney
An overview of C-SOX and directions for future research pp. 254-266 Downloads
Harjeet S. Bhabra, Ashrafee Tanvir Hossain and Vidyoot Roy Karmakar
Auditors’ quality, footnotes, and earnings persistence pp. 267-282 Downloads
Mohammad A. Karim and Sayan Sarkar
Considering production time in allocating costs and estimating profits at a Fortune 500 manufacturing corporation: A case study pp. 283-298 Downloads
Anne-Marie T. Lelkes and Thomas M. Krueger

Volume 46, issue 1, 2019

Multiple banking relationships, agency costs and firm value: evidence from India pp. 1-18 Downloads
Nemiraja Jadiyappa, Bhanu Sireesha, L. Emily Hickman and Pavana Jyothi
A study on volatility and return spillover of exchange-traded funds and their benchmark indices in India pp. 19-39 Downloads
Buvanesh Chandrasekaran and Rajesh H. Acharya
Characteristics of New Zealand dividend omissions and resumptions pp. 40-55 Downloads
Nicholas Kraiger and Warwick Anderson
Pricing three cases of performance fees using options methodology pp. 56-71 Downloads
Tom Messmore and Travis L. Jones
Evidence on aggregate volatility risk premium for the French stock market pp. 72-91 Downloads
Amal Zaghouani Chakroun and Dorra Mezzez Hmaied
Long-run equity performance of firms that restate financial statements pp. 92-108 Downloads
Gisung Moon, Hongbok Lee and Doug Waggle
Applying Merton’s valuation adjustment for incomplete information … and do you need to? pp. 109-119 Downloads
Thomas O’Brien
The change in investor reaction to 10-K filings after Regulation Full Disclosure and the Sarbanes–Oxley Act pp. 120-138 Downloads
Rakesh Bharati, Susan Crain and Shrikant Jategaonkar
A three-stage model of the volatility-volume relation in the Junk bond market during the 2007-2008 financial crisis pp. 139-158 Downloads
Ehab Yamani
Pre-IPO cash flow volatility and aftermarket valuation pp. 159-176 Downloads
Justin S. Cox
Page updated 2021-01-16