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Managerial Finance

2007 - 2018

Current editor(s): Professor Don T Johnson

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

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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

Volume 43, issue 12, 2017

Financial literacy in emerging economies: Do all components matter for financial inclusion of poor households in rural Uganda? pp. 1310-1331 Downloads
George Okello Candiya Bongomin, John C. Munene, Joseph Mpeera Ntayi and Charles Akol Malinga
How Moroccan institutional investors view dividend policy pp. 1332-1347 Downloads
H. Kent Baker and Imad Jabbouri
Faculty research productivity under alternative appointment types: tenure vs non-tenure track pp. 1348-1357 Downloads
Marcus T. Allen and Carol A. Sweeney
Managerial education and the wealth effect of corporate capital investment in Taiwan pp. 1358-1374 Downloads
Pi-Hsun Tseng, Xuan-Qi Su and Hsiu-Jung Tsai
Exploring the decline in trade credit investment pp. 1375-1391 Downloads
Chris Harris and Scott Roark
IPO overvaluation and returns prior to lockup expiration pp. 1392-1410 Downloads
K. Stephen Haggard and Yaoyi Xi

Volume 43, issue 11, 2017

Saving motives, gender, and the use of financial advisory services pp. 1202-1223 Downloads
Cecilia Hermansson
Corporate leverage: structural equations framework in an emerging economy pp. 1224-1235 Downloads
Saad Ullah, Ahmed Faisal Siddiqui and Rubeena Tashfeen
Political connections, institutional investors monitoring and stock price synchronicity: Evidence from Malaysian firms pp. 1236-1253 Downloads
Chwee Ming Tee
Why do lenient claims handling practices exist in the insurance industry? A survey study of ethical decisions by claims adjusters pp. 1254-1273 Downloads
Lu-Ming Tseng
The effect of loan portfolio diversification on banks’ risks and return: Evidence from an emerging market pp. 1274-1291 Downloads
Lydia Dzidzor Adzobu, Elikplimi Agbloyor and Anthony Aboagye
Proximity to urban centers in mergers and acquisitions pp. 1292-1308 Downloads
Patty Bick, Matthew D. Crook, Andrew A. Lynch and Brian Walkup

Volume 43, issue 10, 2017

Female executives and corporate governance pp. 1056-1072 Downloads
Emilia Vähämaa
Board structure, board committees and corporate performance in Russia pp. 1073-1092 Downloads
Irina Berezinets, Yulia Ilina and Anna Cherkasskaya
The impact of social norms on female corporate board membership inclusion pp. 1093-1116 Downloads
Michaël Dewally, Susan M.V. Flaherty and Stella Tomasi
Earnings management and ownership structure in emerging market: Evidence from banking industry pp. 1117-1136 Downloads
Naima Lassoued, Mouna Ben Rejeb Attia and Houda Sassi
Board and audit committee effectiveness in the post-ASX Corporate Governance Principles and Recommendations era pp. 1137-1151 Downloads
Maryam Safari
Corporate governance changes around bankruptcy pp. 1152-1169 Downloads
Brett C. Olsen and Chris Tamm
Institutional ownership stability and dividend payout policy pp. 1170-1188 Downloads
Surendranath R. Jory, Thanh Ngo and Hamid Sakaki
Boards of directors: a literature review pp. 1189-1198 Downloads
Jacqueline Garner, Taek-yul Kim and Won Yong Kim

Volume 43, issue 9, 2017

Board structure and institutional ownership at the time of IPO pp. 950-965 Downloads
Suman Neupane and Biwesh Neupane
The new capital raised in IPOs pp. 966-981 Downloads
Chuntai Jin, Tianze Li, Steven Xiaofan Zheng and Ke Zhong
Corporate social responsibility and payout decisions pp. 982-998 Downloads
Marwa Samet and Anis Jarboui
Impact of reporting delays on profitability of front-running strategies against mutual funds pp. 999-1015 Downloads
Sitikantha Parida
Fewer reasons to sin: a five-factor investigation of vice stock returns pp. 1016-1033 Downloads
Greg Richey
Red flags for IPO downfalls in New Zealand pp. 1034-1051 Downloads
Huong Dieu Dang and Michael Jolly

Volume 43, issue 8, 2017

Abnormal investment, changes in institutional ownership, and SEO long-run performance pp. 842-864 Downloads
Weiju Young and Ching-Chih Wu
Corporate finance practices in Morocco pp. 865-880 Downloads
H. Kent Baker, Imad Jabbouri and Chaimae Dyaz
Determinants of capital structure in Australia: an analysis of important factors pp. 881-897 Downloads
Hui Li and Petros Stathis
Managerial incentives, R&D investments and cash flows pp. 898-913 Downloads
Liqiang Chen
Fair value, equity cash flow and project finance valuation: ambiguities and a solution pp. 914-927 Downloads
Krzysztof Jackowicz, Pawel Mielcarz and Pawel Wnuczak
Information sources and investing decisions – a path modeling approach pp. 928-947 Downloads
Mohammad Tariqul Islam Khan, Siow-Hooi Tan and Lee-Lee Chong

Volume 43, issue 7, 2017

Impact of investors’ protection, transparency level and legal origin on initial public offering (IPO) initial returns pp. 738-760 Downloads
Sheela Sundarasen, Sanjay Goel and Fairuz Ahmad Zulaini
The influence of earnings management and bank structure on bank performance: International evidence pp. 761-773 Downloads
Nacasius U. Ujah, Jorge Brusa and Collins E. Okafor
Forecasting the yield curve of government bonds: a dynamic factor approach pp. 774-793 Downloads
Walid Ben Omrane, Chao He, Zhongzhi Lawrence He and Samir Trabelsi
The information content of dividend initiation announcements: The case of information technology firms pp. 794-811 Downloads
Susana Yu and Gwendolyn Webb
Mutual funds in Greece: case study of domestic equity mutual funds during a financial crisis pp. 812-827 Downloads
Drosos Koutsokostas and Spyros Papathanasiou
Market states and mutual fund risk shifting pp. 828-838 Downloads
Marius Popescu and Zhaojin Xu

Volume 43, issue 6, 2017

Determinants of bank margins in a dual banking system pp. 630-645 Downloads
Siew Peng Lee and Mansor Isa
Pay-for-performance incentives in the finance sector and the financial crisis pp. 646-662 Downloads
Sanjiv Jaggia and Satish Thosar
Dividend policy and corporate valuation pp. 663-678 Downloads
Richard Hauser and John H. Thornton
SPACs: post-merger survival pp. 679-699 Downloads
Milos Vulanovic
The influence of board diversity in human capital and social capital in crisis pp. 700-719 Downloads
Chai-Aun Ooi, Chee-Wooi Hooy and Ahmad Puad Mat Som
Uncorporates: changes in master limited partnerships pp. 720-735 Downloads
Lynn K. Kendall and Nina Rogers

Volume 43, issue 5, 2017

The benefit of labor cost disclosure: evidence from analyst earnings forecast accuracy pp. 510-527 Downloads
Sangwan Kim, KoEun Park, Joshua Rosett and Yong-Chul Shin
Corporate social responsibility, gender, and CEO turnover pp. 528-544 Downloads
Elizabeth Cooper
Does investor personality moderate the relationship between information sources and trading behavior? Evidence from Chinese stock market pp. 545-566 Downloads
Muhammad Zubair Tauni, Zia-ur-Rehman Rao, Hong-Xing Fang and Minghao Gao
Differential informativeness of analyst reports by investor types: Evidence from the Korean stock market pp. 567-594 Downloads
Kyung Soon Kim, Jinwoo Park and Yun Park
Corporate social responsibility performance communication and portfolio management pp. 595-613 Downloads
Rashid Ameer and Radiah Othman
Electronic finance – recent developments pp. 614-626 Downloads
Krishnan Dandapani

Volume 43, issue 4, 2017

The disappearing abnormal returns to a fundamental signal strategy pp. 406-424 Downloads
John Dorey, Sangwan Kim and Yong-Chul Shin
Bank lending and bank relationships in China: guanxi or commercial? pp. 425-439 Downloads
Wei Yin and Kent Matthews
The impact of the quality of VC financing and monitoring on the survival of IPO firms pp. 440-451 Downloads
Sophie Pommet
The Sarbanes-Oxley Act and corporate acquisitions pp. 452-470 Downloads
Harjeet Singh Bhabra and Ashrafee Tanvir Hossain
Going European from American: does style matter? pp. 471-487 Downloads
Rajesh Pathak, Satish Kumar and Ranajee Ranajee
Managerial ability, growth opportunities, and IPO performance pp. 488-507 Downloads
Justin S. Cox

Volume 43, issue 3, 2017

An investigation of the impact of financial literacy, risk attitude, and saving motives on the attenuation of mutual fund investors’ disposition bias pp. 282-298 Downloads
Sara Jonsson, Inga-Lill Söderberg and Mats Wilhelmsson
CSR, agency costs and investment-cash flow sensitivity: a mediated moderation analysis pp. 299-312 Downloads
Marwa Samet and Anis Jarboui
Corporate hedging, firm focus and firm size: the case of REITs pp. 313-330 Downloads
Peihwang Wei, Li Xu and Bei Zeng
Working capital management practices in India: survey evidence pp. 331-353 Downloads
H. Kent Baker, Satish Kumar, Sisira Colombage and Harsh Partap Singh
Cash flow volatility-return relation and financial constraints: international evidence pp. 354-378 Downloads
Darshana D. Palkar
Performance evaluation of equity unit trusts in South Africa pp. 379-402 Downloads
Bonolo Maggie Thobejane, Beatrice Desiree Simo-Kengne and John Weirstrasd Muteba Mwamba

Volume 43, issue 2, 2017

Modeling product market competition and reporting quality: the transitional economy of China pp. 154-166 Downloads
Amjad Iqbal, Zia-ur-Rehman Rao, Muhammad Zubair Tauni and Khalil Jebran
Exploring a market curiosity: an examination of the Super Bowl Indicator pp. 167-177 Downloads
Thomas H. Thompson and Kabir C. Sen
Cash flow volatility and investor sentiment pp. 178-192 Downloads
Subramanian Rama Iyer and Joel T. Harper
Beyond earnings: do EBITDA reporting and governance matter for market participants? pp. 193-211 Downloads
Denis Cormier, Samira Demaria and Michel Magnan
A theoretical approach to financial distress prediction modeling pp. 212-230 Downloads
Ibrahim Onur Oz and Tezer Yelkenci
Portfolio selection with transaction costs and default risk pp. 231-241 Downloads
Giovanni Walter Puopolo
International diversification for portfolios of European fixed-income mutual funds: The case of core EMU countries pp. 242-262 Downloads
Paolo Zagaglia
Determinants of disclosures of alternative pay measures and their role in Say on Pay approval pp. 263-280 Downloads
Brandy Hadley

Volume 43, issue 1, 2017

A survey of litigation in corporate finance pp. 4-18 Downloads
Matteo Arena and Stephen Ferris
On the role of the chief risk officer and the risk committee in insuring financial institutions against litigation pp. 19-43 Downloads
Arash Amoozegar, Kuntara Pukthuanthong and Thomas J. Walker
Securities class actions and operating performance pp. 44-58 Downloads
Matthew McCarten and Ivan Diaz-Rainey
Female business leaders and the incidence of fraud litigation pp. 59-75 Downloads
Mary Jane Lenard, Bing Yu, E. Anne York and Shengxiong Wu
The litigation of tax benefit preservation plans pp. 76-94 Downloads
Thomas Jason Boulton and Terry Nixon
The corporate governance endgame – minority squeeze-out regulation and post-deal litigation in Germany pp. 95-123 Downloads
Ettore Croci, Eric Nowak and Olaf Ehrhardt
Insider trading surrounding securities class action litigation and settlement announcements pp. 124-140 Downloads
Frederick Davis, Behzad Taghipour and Thomas J. Walker
Does institutional investors’ monitoring substitute for litigation in curbing insider trading? The case of Malaysia pp. 141-151 Downloads
Shaista Wasiuzzaman and Kean Hua Lim
Page updated 2018-12-11