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Managerial Finance

2007 - 2019

Current editor(s): Professor Don T Johnson

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

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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

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
Page updated 2020-04-09