Economics at your fingertips  

Managerial Finance

2007 - 2019

Current editor(s): Professor Don T Johnson

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

Access Statistics for this journal.
Track citations for all items by RSS feed
Is something missing from the series or not right? See the RePEc data check for the archive and series.

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

Volume 45, issue 8, 2019

Cross-impact of leverage and firm performance: developed vs frontier bank-based economies pp. 982-1000 Downloads
Sibanjan Mishra and Ranjan Dasgupta
Whom you borrow from matters: universal banks and firm innovation pp. 1001-1019 Downloads
Haizhi Wang, Desheng Yin, Xiaotian Tina Zhang and Xinting Zhen
International risk spillover in sovereign credit markets: an empirical analysis pp. 1020-1040 Downloads
Saker Sabkha, Christian de Peretti and Dorra Mezzez Hmaied
Impact of ownership structure and dividend on firm performance and firm risk pp. 1041-1061 Downloads
Abhinav Kumar Rajverma, Arun Kumar Misra, Sabyasachi Mohapatra and Abhijeet Chandra
The impact of post-trade transparency on price efficiency and price discovery: Evidence from the Taiwan Stock Exchange pp. 1062-1075 Downloads
Chiou-Fa Lin, Cheng-Huei Chiao and Bin Wang
Optimal risk-taking in corporate defined benefit plans under risk-shifting pp. 1076-1091 Downloads
Tomoki Kitamura and Kozo Omori
The effect of managerial horizon on cash holdings pp. 1092-1110 Downloads
Sanjib Guha and Niazur Rahim
Corporate social responsibility and financial stability: evidence from the Troubled Asset Relief Program pp. 1111-1128 Downloads
Elizabeth Cooper, Christopher Henderson and Andrew Kish
Accruals quality, financial constraints, and corporate cash holdings pp. 1129-1145 Downloads
Hatem Mansali, Imen Derouiche and Karima Jemai
Does founding family involvement affect share repurchase activity? Evidence from US firms from 2006 through 2015 pp. 1146-1163 Downloads
Shane Anthony Van Dalsem

Volume 45, issue 7, 2019

Benchmark on themselves: CEO-directors’ influence on the CEO compensation pp. 810-826 Downloads
Bill Francis, Iftekhar Hasan and Yun Zhu
Is all that glitters gold? A look atFortune magazine’s 100 Fastest-Growing Companies pp. 827-841 Downloads
Anthony Thomas Garcia, Anthony Loviscek and Kangzhen Xie
Political connections, the cost of debt and board attributes: evidence from Malaysia pp. 842-855 Downloads
Chwee Ming Tee
Interactive trilateral foreign exchange exposure: insights from scenario analysis pp. 856-868 Downloads
Thomas O’Brien
Efficient working capital management, bond quality rating, and debt refinancing risk pp. 869-885 Downloads
Amarjit Gill, Afshin Amiraslany, John Obradovich and Neil Mathur
Hedge fund stratagems and long-run SEO firm performance pp. 886-903 Downloads
Robert M. Hull, Sungkyu Kwak and Rosemary Walker
Global financial crisis after ten years: a review of the causes and regulatory reactions pp. 904-924 Downloads
Ashrafee Tanvir Hossain and Lawrence Kryzanowski
The effect of a golden parachute on managed earnings pp. 925-949 Downloads
Nacasius U. Ujah and Collins E. Okafor
How does capital market respond to Certified Emission Reductions (CERs) announcements in India: An event study methodology pp. 950-965 Downloads
Praveen Kumar and Mohammad Firoz
Currency returns during democratic transition: evidence from Tunisia pp. 966-979 Downloads
Ghadi Saad and Taoufik Bouraoui

Volume 45, issue 2, 2019

Preparedness level of Indian public sector banks for implementation of Basel III: An empirical investigation pp. 172-189 Downloads
Krishan Boora and Kavita Jangra
Does the threshold matter? The impact of the monitoring activity on non-performing loans: Evidence from the Italian banking system pp. 190-221 Downloads
Domenico Piatti and Peter Cincinelli
Disintermediation of banks in a developing economy: Profitability and depositor protection in adverse economic conditions pp. 222-243 Downloads
Tahseen Mohsan Khan, Syed Kumail Abbas Rizvi and Ramla Sadiq
How to explain the liquidity risk by the dynamics of discretionary loan loss provisions and non-performing loans? The impact of the global crisis pp. 244-262 Downloads
Youssef Mohamed Riahi
Isolating small Belize banks from the global system pp. 263-277 Downloads
Philippa Duncan
Quiet life hypothesis reborn: is “holdinglisation” relevant? pp. 278-293 Downloads
Maria Christina Liem
Financial crisis solutions in the commercial paper market: An analysis of the CPFF and the TLGP pp. 294-310 Downloads
Joshua Fairbanks, Mark Griffiths and Drew Winters
Impairment of intangible assets and disclosure by Italian banks pp. 311-330 Downloads
Anna Grazia Quaranta, Nico Di Gabriele and Ermanno Zigiotti
The interrelationship between liquidity creation and bank capital in Vietnamese banking pp. 331-347 Downloads
Tu Le
The effect of dividend policy on share price volatility: an analysis of Mediterranean banks’ stocks pp. 348-364 Downloads
Silvio John Camilleri, Luke Grima and Simon Grima

Volume 45, issue 1, 2019

Dividend policy determinants of Sri Lankan firms: a triangulation approach pp. 2-20 Downloads
H. Kent Baker, N. Jayantha Dewasiri, Weerakoon Banda Yatiwelle Koralalage and Athambawa Abdul Azeez
Saving green while going green: The role of expenses in socially responsible equity mutual fund selection pp. 21-35 Downloads
C. Edward Chang, Thomas M. Krueger and H. Doug Witte
Cross-country evidence of Islamic portfolio diversification: are there opportunities in Saudi Arabia? pp. 36-53 Downloads
Md Hakim Ali, Md Akther Uddin, Mohammad Ashraful Ferdous Chowdhury and Mansur Masih
Does peer firm executive compensation affect earnings management? pp. 54-71 Downloads
KoEun Park
The impact of gender and ethnic diversity on REIT operating performance pp. 72-84 Downloads
Robert Hogan and Daniel Huerta
Litigation risk and working capital pp. 88-102 Downloads
James Malm and Nilesh Sah
Do market participants value earnings management? An analysis using the quantile regression method pp. 103-123 Downloads
Leon Li and Nen-Chen Richard Hwang
How financial literacy and demographic variables relate to behavioral biases pp. 124-146 Downloads
H. Kent Baker, Satish Kumar, Nisha Goyal and Vidhu Gaur
System and neural network analysis of intent to buy and willingness to pay insurance premium pp. 147-168 Downloads
Sanjay Tolani, Ananth Rao, Genanew B. Worku and Mohamed Osman

Volume 44, issue 12, 2018

Bank capital and liquidity creation: new evidence from a quantile regression approach pp. 1382-1400 Downloads
Manel Mazioud Chaabouni, Haykel Zouaoui and Nidhal Ziedi Ellouz
Impact of carbon emissions on cost of debt-evidence from India pp. 1401-1417 Downloads
Praveen Kumar and Mohammad Firoz
Corporate payout-form: investors’ preference and catering theory pp. 1418-1433 Downloads
Abdelaziz Chazi, Alexandra Theodossiou and Zaher Zantout
International diversification during financial crises pp. 1434-1445 Downloads
Chu-Sheng Tai
How do institutional investors respond to patent announcements? pp. 1446-1465 Downloads
Viktoriya Lantushenko and Edward F. Nelling
Relationship-specificity and real activities manipulation pp. 1466-1483 Downloads
KoEun Park

Volume 44, issue 11, 2018

Corporate finance approaches of Icelandic private firms after the financial crisis pp. 1274-1291 Downloads
Twahir Khalfan and Jón Þór Sturluson
Technical efficiency: the pathway to credit union cost efficiency in Ghana pp. 1292-1310 Downloads
Benjamin Amoah, Kwaku Ohene-Asare, Godfred Alufar Bokpin and Anthony Q.Q. Aboagye
Cross-sectional variation in revenue-expense relation and cost of equity pp. 1311-1329 Downloads
Sangwan Kim
Information asymmetry and equity issue decision of low-leverage firms: Evidence from an emerging market, India pp. 1330-1346 Downloads
Bipin Sony and Saumitra Bhaduri
The impact of oil price shocks on capital spending in the oil and gas industry: A VAR analysis at the firm level pp. 1347-1363 Downloads
Zahid Iqbal and Shekar Shetty
The cash flow sensitivity of cash in family firms: does the board of directors matter? pp. 1364-1380 Downloads
Assil Guizani, Faten Lakhal and Nadia Lakhal

Volume 44, issue 10, 2018

Does boardroom gender diversity affect the risk profile of acquiring banks? pp. 1174-1199 Downloads
Adnène Sghaier and Taher Hamza
A look at corporate control: the case of Hertz Global Holdings pp. 1200-1209 Downloads
Travis L. Jones and Marcus T. Allen
Risk shifting elimination and risk sharing exposure in equity-based financing – a theoretical exposition pp. 1210-1226 Downloads
Siti Raihana Hamzah, Norizarina Ishak and Ahmad Fadly Nurullah Rasedee
Stock liquidity and free float: evidence from the UK pp. 1227-1236 Downloads
Ghaith El-Nader
Do the S&P 500 index revisions affect corporate bonds and earnings performance? pp. 1237-1249 Downloads
Keith Chan and Ruoyun Zhao
The effects of liquidity trading on insider trade timing when an underlying option is present pp. 1250-1270 Downloads
Han Ching Huang and Pei-Shan Tung

Volume 44, issue 9, 2018

Is the “sell in May and go away” adage the result of an election-year effect? pp. 1070-1082 Downloads
Doug Waggle and Pankaj Agrrawal
US cross-listings and director compensation: a cross-country analysis pp. 1083-1100 Downloads
Min-Yu (Stella) Liao
A three-stage dynamic model of financial distress pp. 1101-1116 Downloads
Umar Farooq, Muhammad Ali Jibran Qamar and Abdul Haque
Investors’ herding practice: do IFRS and national economic culture matter? pp. 1117-1133 Downloads
Mohammed Lawal Danrimi, Mazni Abdullah and Ervina Alfan
Conflict-induced forced CEO turnover and firm performance pp. 1134-1154 Downloads
Kuntara Pukthuanthong, Saif Ullah, Thomas J. Walker and Jing Zhang
Involuntary delisting in the Japanese stock market pp. 1155-1171 Downloads
Jinwoo Park, Kengo Shiroshita, Naili Sun and Yun W. Park

Volume 44, issue 4, 2018

Asymmetric price responses to stock addition to and deletion from the Athens Stock Exchange Index pp. 406-423 Downloads
George Papachristou, Stephanos Papadamou and Eleftherios Spyromitros
Valuation effects of REIT mergers and the role of diversification pp. 424-438 Downloads
John C. Alexander and Thomas M. Springer
Cross-herding behavior between the stock market and the crude oil market during financial distress: Evidence from the New York stock exchange pp. 439-458 Downloads
Houda BenMabrouk
Capital regulation, competition and risk-taking behavior of Indian banks in a simultaneous approach pp. 459-477 Downloads
Santi Gopal Maji and Preeti Hazarika
A latent variable analysis of corporate social responsibility and firm value pp. 478-494 Downloads
Boonlert Jitmaneeroj
Investing in the healthcare sector: mutual funds or ETFs pp. 495-508 Downloads
Haiwei Chen, James Estes and William Pratt

Volume 44, issue 3, 2018

Actively managed ETFs vs actively managed mutual funds pp. 303-325 Downloads
D. Eli Sherrill and Kate Upton
Portfolio turnover activity and mutual fund performance pp. 326-356 Downloads
Claudia Champagne, Aymen Karoui and Saurin Patel
Trading on ETF mispricings pp. 357-373 Downloads
Yvonne Kreis and Johannes W. Licht
Energy mutual funds and oil prices pp. 374-388 Downloads
Alper Gormus, John David Diltz and Ugur Soytas
Life after death: acquired fund performance pp. 389-402 Downloads
Anni Lapatto and Vesa Puttonen

Volume 44, issue 2, 2018

Comparative value relevance of accounting information among Asian countries: Focusing on Korea, Japan, and China pp. 110-126 Downloads
Gee-Jung Kwon
Quality investing in the Indian stock market pp. 127-141 Downloads
Vaibhav Lalwani and Madhumita Chakraborty
Did the Sarbanes-Oxley Act result in a strategic shift in M&A motives? pp. 142-159 Downloads
Harjeet S. Bhabra and Ashrafee T. Hossain
Market timing and pseudo market timing: an empirical examination of IPOs in India pp. 160-177 Downloads
Kavita Wadhwa and Sudhakara Reddy Syamala
Politics in banking: does political party control impact bank risk and return? pp. 178-188 Downloads
Alex Fayman, Ling T. He and K. Michael Casey
US Table Tennis Association: A case study of financial performance using effectiveness indicators and efficiency ratios pp. 189-206 Downloads
Peter Omondi-Ochieng
Product market competition, cash flow and corporate investments pp. 207-221 Downloads
Hussein Ali Ahmad Abdoh and Oscar Varela
Corporate governance structure and strategic change: evidence from major acquisitions pp. 222-240 Downloads
Seung Hee Choi and Samuel H. Szewczyk
Purchasing power return, a new paradigm of capital investment appraisal pp. 241-256 Downloads
David DeBoeuf, Hongbok Lee, Don Johnson and Maksim Masharuev
The information content of an increase in federal funds rate from a zero lower bound environment pp. 257-277 Downloads
Violeta Diaz, Harikumar Sankaran and Subramanian Rama Iyer
Reference points and method of payment in mergers pp. 278-290 Downloads
Inga Chira and Jeff Madura

Volume 44, issue 1, 2018

Advances in the corporate finance literature: a survey of recent studies on Korea pp. 5-25 Downloads
Hongbok Lee and Kwangwoo Park
The cost of debt and the characteristics of audit firms pp. 27-45 Downloads
Yong-Sang Woo, Minjung Kang and Ho-Young Lee
The more connected, the better? Impact of connectedness on volatility and price discovery in the Korean financial sector pp. 46-73 Downloads
DeokJong Jeong and Sunyoung Park
Assessing venture capital industry growth in Korea pp. 74-85 Downloads
Hae Jin Chung and Moon Young Kang
A note on the long-term performance of Korean ADRs pp. 86-91 Downloads
Mark Schaub
Controlling shareholders and financial constraints around the world pp. 92-108 Downloads
Jin Ho Park, Kwangwoo Park and Ronald Ratti
Page updated 2020-01-18