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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 42, issue 12, 2016

What determines firms’ zero-leverage policy in India? pp. 1138-1158 Downloads
Biswajit Ghose and Kailash Chandra Kabra
A study on the rationality of expensing of Taiwan employee stock bonuses pp. 1159-1170 Downloads
Kuo-Jung Lee, Jen-tsung Huang and Mei-chun Wu
The impact of employer-delayed deposits on plan participant wealth pp. 1171-1179 Downloads
Jeffrey Scott Jones
The q-factor and the Fama and French asset pricing models: hedge fund evidence pp. 1180-1207 Downloads
Greg Gregoriou, François-Éric Racicot and Raymond Théoret
Value of employee satisfaction during the financial crisis pp. 1208-1225 Downloads
Cathy Xuying Cao and Chongyang Chen
The risk-capital-efficiency trilogy: a comparative study between Islamic and conventional banks pp. 1226-1252 Downloads
Salma Louati, Awatef Louhichi and Younes Boujelbene

Volume 42, issue 11, 2016

Does good corporate governance constrain cash flow manipulation? Evidence from India pp. 1034-1053 Downloads
Neerav Nagar and Mehul Raithatha
The impact of uncertainty on payout policy pp. 1054-1072 Downloads
Brian Walkup
Dividend policy following mergers and acquisitions: US evidence pp. 1073-1090 Downloads
Sébastien Dereeper and Aymen Turki
Flash of green: are environmentally driven stock returns sustainable? pp. 1091-1109 Downloads
Melissa Levi and David Newton
Returns to buying upward revision and selling downward revision stocks: Evidence from Canada pp. 1110-1124 Downloads
Tony Chieh-Tse Hou, Phillip McKnight and Charlie Weir
Diversification and market risk exposure of single-listed versus dual-listed ADRs pp. 1125-1135 Downloads
Javier Rodriguez and Herminio Romero

Volume 42, issue 10, 2016

Relationship between operational risk management, size, and ownership of Indian banks pp. 930-942 Downloads
Sirus Sharifi, Arunima Haldar and S.V.D. Nageswara Rao
Spillovers of international interest rate swap markets and stock market volatility pp. 943-962 Downloads
Hsiu-Chuan Lee, Chih-Hsiang Hsu and Cheng-Yi Chien
Corporate social responsibility and stock price crash risk: Evidence from an Asian emerging market pp. 963-979 Downloads
Ming-Te Lee
Market concentration, diversification and bank performance in China and India: An application of the two-stage approach with double bootstrap pp. 980-998 Downloads
Thanh Pham Thien Nguyen and Hong Son Nghiem
Dividend policy and the catering theory: evidence from the Taiwan Stock Exchange pp. 999-1016 Downloads
Ming-Hui Wang, Mei-Chu Ke, Feng-Yu Lin and Yen-Sheng Huang
An unpleasant small-stock effect in manufacturing: the case of the dependent buyer pp. 1017-1032 Downloads
Jennifer Itzkowitz and Anthony Loviscek

Volume 42, issue 9, 2016

Financial Issues in the Sporting Industry pp. 850-851 Downloads
Yang-Ming Chang, Thomas Sadler and Shane Sanders
Betting market prices, outcome uncertainty, and hockey attendance in Russia, Sweden, and Finland pp. 852-865 Downloads
Rodney Paul, Colby Conetta and Jeremy Losak
Bend it like FIFA: corruption on and off the pitch pp. 866-878 Downloads
Christopher Boudreaux, Gokhan Karahan and R. Morris Coats
Publicly subsidized sports events and stadiums: Have economists done justice to the impact on inequality? pp. 879-884 Downloads
Joel M. Potter
How are we funding professional sports stadiums? An overview pp. 885-890 Downloads
Abhinav Alakshendra
The 2011-2021 NBA collective bargaining agreement: Asymmetric information, bargaining power and the principal agency problem pp. 891-901 Downloads
Thomas R. Sadler and Shane Sanders
The impact of team performance and fan interest on NCAA Football revenues pp. 902-912 Downloads
Stacey Brook
Dynamic pricing usage in sports for revenue management pp. 913-921 Downloads
Adrien Bouchet, Michael Troilo and Brian Walkup
Inelastic sports ticket pricing, marginal win revenue, and firm pricing strategy: A behavioral pricing model pp. 922-927 Downloads
Yang-Ming Chang, Joel M. Potter and Shane Sanders

Volume 42, issue 8, 2016

Reexamining fund manager skill from a new angle pp. 746-762 Downloads
Qiang Bu and Nelson Lacey
The determinants of leasing decisions: an empirical analysis from Chinese listed SMEs pp. 763-780 Downloads
Tongxia Li, Rahimie Karim and Qaiser Munir
Interest-bearing checking policies at single-market banks, 2008-2012 pp. 781-798 Downloads
Russ Kashian and Robert Drago
Half a century of research on Value Line: a comprehensive review pp. 799-816 Downloads
Ying Zhang and Bobby Alexander
Santa Claus Rally and firm size pp. 817-829 Downloads
Kenneth M Washer, Srinivas Nippani and Robert R Johnson
Do corporate bond recovery rates monitored by corporate governance mechanisms? pp. 830-848 Downloads
Mehdi Mili and Sami Abid

Volume 42, issue 7, 2016

Liquidity transformation: an examination of US life insurers pp. 618-634 Downloads
Byeongyong Paul Choi, Jin Park and Chia-Ling Ho
Measuring intellectual capital performance of Indian banks: A public and private sector comparison pp. 635-655 Downloads
Sukhdev Singh, Jasvinder Sidhu, Mahesh Joshi and Monika Kansal
Is there a role for Islamic bonds in global diversification strategies? pp. 656-679 Downloads
Mehmet Balcilar, Gozde Cerci and Riza Demirer
Mortgage credit and bankruptcy chapter choice: a case of US counties pp. 680-705 Downloads
Chintal Ajitbhai Desai
Impacts of FRS139 adoption on value relevance of financial reporting in Malaysia pp. 706-721 Downloads
Chin-Yee Gan, Lee-Lee Chong and Zauwiyah Ahmad
Market reactions to private equity announcements and intra-industry information spillover pp. 722-742 Downloads
Kung-Chi Chen, Lee-Young Cheng, Sheng-Jie Huang and Yan Zhao

Volume 42, issue 6, 2016

Stock acquisitions, investor recognition, and announcement returns pp. 518-535 Downloads
Adam Y.C. Lei and Huihua Li
Personality, risk tolerance and social network use: an exploratory study pp. 536-552 Downloads
Shaista Wasiuzzaman and Siavash Edalat
Reducing asymmetric information in venture capital backed IPOs pp. 553-568 Downloads
Diego Escobari and Alejandro Serrano
Institutional investors and the cost of bank loans pp. 569-584 Downloads
Huajing Hu and Yili Lian
Governance and performance in China’s real estate sector pp. 585-603 Downloads
Lei Xu, Ron P. McIver, Yuan George Shan and Xiaochen Wang
An appropriate risk addendum for risky projects pp. 604-616 Downloads
Pradip K. Bhaumik

Volume 42, issue 5, 2016

Determinants of tracking error in German ETFs – the role of market liquidity pp. 417-437 Downloads
Friedrich Osterhoff and Christoph Kaserer
Leveraged ETF option strategies pp. 438-448 Downloads
William Trainor and Richard Gregory
Cointegration-based trading: evidence on index tracking & market-neutral strategies pp. 449-471 Downloads
Ioannis Papantonis
Cyclical comovements of the world equity indexes pp. 472-495 Downloads
Haigang Zhou
Financial integration and diversification benefits: China and ASEAN4 countries pp. 496-514 Downloads
Tung Dao Nguyen and Pana Elisabeta

Volume 42, issue 4, 2016

Ranking of institutions and academic journals: A selective review and a conceptual framework pp. 292-302 Downloads
Kam C. Chan, Anna Fung, Hung-Gay Fung and Jot Yau
A review of studies on citations and journal ranking in finance pp. 303-311 Downloads
Haifeng Guo, Bo Wang, Xiaotuo Qiao and Renhui Liu
Ranking of finance journals: a stochastic dominance analysis pp. 312-323 Downloads
Erin H. Kao, Chuan-Hao Hsu, Yunlin Lu and Hung-Gay Fung
Quality weighted citations versus total citations in the sciences and social sciences, with an application to finance and accounting pp. 324-337 Downloads
Chia-Lin Chang and Michael McAleer
A research portfolio approach to evaluating finance journal quality pp. 338-353 Downloads
Morris G. Danielson and Jean L. Heck
Journal features and impact factor pp. 354-364 Downloads
Jen-Sin Lee and Chu-Yun Wei
A complementary examination of author characteristics of finance journals pp. 365-375 Downloads
Kam C. Chan, Annie Wong and Hannah Wong
Journal influence in corporate research pp. 376-389 Downloads
Kenneth Borokhovich, Allissa Lee and Betty Simkins
Accounting-education trends by authors from Australia, Canada, New Zealand and the United Kingdom pp. 390-410 Downloads
Richard A. Bernardi, Taylor L. Delande and Kimberly A. Zamojcin

Volume 42, issue 3, 2016

The relationship between covariance risk and size effects in emerging equity markets pp. 174-190 Downloads
Ming-Chieh Wang and Jin-Kui Ye
The effect of analyst coverage on CEO compensation structure: evidence from the S & P 1500 pp. 191-211 Downloads
Shin-Rong Shiah-Hou
Dividend initiators, winners during 2008 financial crisis pp. 212-224 Downloads
John Consler and Greg M. Lepak
Mutual fund efficiency and tradeoffs in the production of risk and return pp. 225-243 Downloads
Michael Devaney, Thibaut Morillon and William Weber
The corporate governance and financing of small-cap firms in Canada pp. 244-269 Downloads
Christina Atanasova, Evan Gatev and Daniel Shapiro
How Moroccan managers view dividend policy pp. 270-288 Downloads
H. Kent Baker and Imad Jabbouri

Volume 42, issue 2, 2016

Forecasting time-varying daily betas: a new nonlinear approach pp. 54-73 Downloads
Petros Messis and Achilleas Zapranis
On the moving average buy-sell trading rule pp. 74-81 Downloads
Louie Ren and Peter Ren
Effects of branch expansion on bank efficiency: evidence from Japanese regional banks pp. 82-94 Downloads
Kozo Harimaya and Kazumine Kondo
Determinants of acquirer-target distance in M & A pp. 95-117 Downloads
Tae-Nyun Kim and Bumseok Chun
International stock market liquidity: a review pp. 118-135 Downloads
Rui Ma, Hamish Anderson and Ben Marshall
Do the calendar anomalies still exist? Evidence from Indian currency market pp. 136-150 Downloads
Satish Kumar and Rajesh Pathak
Fraud and firm performance: keeping the good times (apparently) rolling pp. 151-172 Downloads
John D. Finnerty, Shantaram Hegde and Chris B Malone

Volume 42, issue 1, 2016

Do voluntary cash flow disclosures and forecasts matter to value of the firms? pp. 3-12 Downloads
Monzurul Hoque and Rakow Kc
Does dividend policy drive repurchases? An empirical study pp. 13-22 Downloads
Nan Liu and Jamshid Mehran
Compensation committees: independence and firm performance pp. 23-33 Downloads
Sharon Kay Lee, William Bosworth and Franklin Kudo
Do sensation seeking, control orientation, ambiguity, and dishonesty traits affect financial risk tolerance? pp. 34-41 Downloads
Alan Wong and Bernie Carducci
Analysis of fixed and biased asset allocation rebalancing strategies pp. 42-50 Downloads
Michael D Mattei and Nicholas Mattei
Page updated 2020-02-24