EconPapers    
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 41, issue 12, 2015

Keeping up with the Joneses: cross-listing spillover effects pp. 1258-1279 Downloads
Min-Yu (Stella) Liao and Stephen Ferris
Information uncertainties and asset pricing puzzles: risk or mispricing? pp. 1280-1297 Downloads
Keming Li, Mohammad Riaz Uddin and J. David Diltz
Stock characteristics, trading behavior, and psychological pitfalls pp. 1298-1317 Downloads
Chih-Hsiang Chang, Hsu-Huei Huang, Ying-Chih Chang and Tsai-Yin Lin
Income diversification and bank efficiency in an emerging market pp. 1318-1335 Downloads
Abdul Latif Alhassan
Country selection strategies based on quality pp. 1336-1356 Downloads
Adam Zaremba
Implied volatility smirk and future stock returns: evidence from the German market pp. 1357-1379 Downloads
Di Mo, Neda Todorova and Rakesh Gupta

Volume 41, issue 11, 2015

What explains the change in a firm’s idiosyncratic volatility after a dividend initiation? pp. 1138-1158 Downloads
Chintal A. Desai and Khoa H Nguyen
Corporate dividend policy in practice: the views of Nigerian financial managers pp. 1159-1175 Downloads
Friday Kennedy Ozo, Thankom Gopinath Arun, Philip Kostov and Godfrey Uzonwanne
Socially responsible investing: a review of the critical issues pp. 1176-1201 Downloads
Joan Junkus and Thomas D. Berry
“The lost decade”: an MPT perspective pp. 1202-1220 Downloads
Anthony Loviscek
Dual-class firms and governance: an acquisition perspective pp. 1221-1235 Downloads
Ashrafee Tanvir Hossain
Index correlation: implications for asset allocation pp. 1236-1256 Downloads
Allen Michel, Jacob Oded and Israel Shaked

Volume 41, issue 10, 2015

Does the revolving door swing both ways? The value of political connections to US firms pp. 1002-1031 Downloads
Reza Houston and Stephen Ferris
What to expect when you’re electing pp. 1032-1045 Downloads
Scott Beyer, Luis Garcia-Feijoo, Gerry Jensen and Robert R. Johnson
Stock returns and the US dollar: the importance of monetary policy pp. 1046-1058 Downloads
J. Christopher Hughen and Scott Beyer
Presidential parties, monetary regimes, and health care returns pp. 1059-1076 Downloads
Jeffery Scott Bredthauer, Brian C. Payne, Jiri Tresl and Gordon V. Karels
Firm size and the political cycle premium pp. 1077-1095 Downloads
Chris B Malone, Hamish Anderson and Peng Cheng
What do European stock markets prefer? Left or right governments? pp. 1096-1111 Downloads
Andreea Stoian and Delia Tatu-Cornea
Tunisian revolution and stock market volatility: evidence from FIEGARCH model pp. 1112-1135 Downloads
Ahmed Jeribi, Mohamed Fakhfekh and Anis Jarboui

Volume 41, issue 9, 2015

Do consolidation and foreign ownership affect bank risk taking in an emerging economy? An empirical investigation pp. 874-907 Downloads
Mona Elbannan
The effects of reward system on bank credit losses – an agent-based model pp. 908-924 Downloads
Sara Jonsson
Stock returns in Chinese markets and lucky numbered days pp. 925-939 Downloads
K. Stephen Haggard
Downside risk analysis of returns on the Karachi Stock Exchange pp. 940-957 Downloads
Abdul Rashid and Faiza Hamid
Categorizing sentiment and its impact on REIT returns pp. 958-973 Downloads
Daniel Huerta, Dave O. Jackson and Thanh Ngo
U.S. oil company stock returns and currency fluctuations pp. 974-994 Downloads
Andre Mollick and Khoa H Nguyen

Volume 41, issue 8, 2015

Insights into European interbank network contagion pp. 754-772 Downloads
Dionisis Philippas, Yiannis Koutelidakis and Alexandros Leontitsis
Product-mix and bank performance: new U.S. and Canadian evidence pp. 773-805 Downloads
Christian Calmès and Raymond Théoret
Testing the skill of mutual fund managers: evidence from India pp. 806-824 Downloads
Prateek Sharma and Samit Paul
Bank dependency and banker directors pp. 825-844 Downloads
Karlyn Mitchell
Value versus growth: Taiwan evidence pp. 845-856 Downloads
Chuan-Hao Hsu, Kuei-Chih Lee, Yi-Ping Chang and Hung-Gay Fung
Performance of Black-Scholes model with TSRV estimates pp. 857-870 Downloads
Shivam Singh and Vipul .

Volume 41, issue 7, 2015

Black cats or black swans? Outliers, seasonality in return distribution properties, and the Halloween effect pp. 642-657 Downloads
K. Stephen Haggard, Jeffrey Scott Jones and H Douglas Witte
Why Indian firms issue stock distributions pp. 658-672 Downloads
H. Kent Baker and Sujata Kapoor
When does corporate governance matter? Evidence from across the corporate life-cycle pp. 673-691 Downloads
Thomas O'Connor and Julie Byrne
Do residual earnings price ratios explain cross-sectional variations in stock returns? pp. 692-713 Downloads
Donna M. Dudney, Benjamas Jirasakuldech, Thomas Zorn and Riza Emekter
Industry peer effect and the maturity structure of corporate debt pp. 714-733 Downloads
Hong Kim Duong, Anh Duc Ngo and Carl B. McGowan
The efficiency of the European banking groups and its determinants pp. 734-751 Downloads
Stefano Dell'Atti, Vincenzo Pacelli and Gilda Mazzarelli

Volume 41, issue 6, 2015

Debt seniority and mergers pp. 550-562 Downloads
Ronald Sverdlove
The selection of popular trading strategies pp. 563-581 Downloads
Yi-Tsai Chung, Tung Liang Liao and Yi-Chein Chiang
How important are early investment experiences on subsequent investment decisions? A laboratory experiment on asset allocation pp. 582-590 Downloads
Dimitra Papadovasilaki, Federico Guerrero, James Sundali and Gregory Stone
An assessment of the risk and return of residential real estate pp. 591-599 Downloads
Dale Domian, Rob Wolf and Hsiao-Fen Yang
Is disposition related to momentum in Chinese market? pp. 600-614 Downloads
Liu Liu Kong, Min Bai and Peiming Wang
Finance and growth: new evidence from meta-analysis pp. 615-639 Downloads
Simplice Asongu

Volume 41, issue 5, 2015

Portfolio constituency rules and the value premium in the small-cap space pp. 418-436 Downloads
Kenneth E. Scislaw and David G McMillan
Influence of individual investor sentiment on Taiwan option prices during 2007-2010 financial crisis pp. 437-464 Downloads
Wen-Ming Szu and Wan-Ru Yang
Return transmissions between ADRs and A-shares of dual-listed Chinese firms pp. 465-479 Downloads
Congsheng Wu and Ke Chen
What happens when a stock is added to the Nasdaq-100 index? What doesn’t happen? pp. 480-506 Downloads
Susana Yu, Gwendolyn Webb and Kishore Tandon
The interrelationships among default risk, capital ratio and efficiency: Evidence from Indian banks pp. 507-525 Downloads
Thanh Pham Thien Nguyen and Hong Son Nghiem
The impact of minority foreign ownership and controlling shareholder on bank risk and performance: Evidence from an emerging economy pp. 526-546 Downloads
Ruth Tacneng

Volume 41, issue 4, 2015

Constrained investments and opportunity cost – evidence from Islamic funds pp. 348-367 Downloads
Mustafa Dah, Monzurul Hoque and Song Wang
Do Chinese banks perform better after IPOs? pp. 368-384 Downloads
Haiyan Yin, Jiawen Yang and Jamshid Mehran
Impact of the 2008-2009 recession on African-American owned US banks pp. 385-395 Downloads
William Lepley, Robert Nagy and Mussie Teclezion
Cross-sectional determinants of an executive performance metric index pp. 396-404 Downloads
John Robinson
Enterprise resource planning and efficiency: Evidence from the Korean Property/Casualty insurance companies pp. 405-415 Downloads
Jonghyun Park and Jin Park

Volume 41, issue 3, 2015

VIX and the variance of Dow Jones industrial average stocks pp. 226-243 Downloads
Andre Mollick
Corporate boards and acquirer returns: international evidence pp. 244-266 Downloads
Mihail Miletkov, Sviatoslav Moskalev and M. Babajide Wintoki
Corporate governance and financial policies: Influence of board characteristics on the dividend policy of Australian firms pp. 267-285 Downloads
Subba Reddy Yarram and Brian Dollery
Impact of firm characteristics on capital structure choice of Turkish SMEs pp. 286-300 Downloads
Ali Uyar and Mustafa Kemal Guzelyurt
Does corporate governance matter in determining CEO compensation in the publicly listed companies in New Zealand? An empirical investigation pp. 301-327 Downloads
Krishna Reddy, Sazali Abidin and Linjuan You
Can coase govern the Green Bay Packers? pp. 328-342 Downloads
Jia-Yuh Chen and Manish Khadka

Volume 41, issue 2, 2015

Corporate dividend policy revisited pp. 126-144 Downloads
H. Kent Baker and Rob Weigand
Market power and dividend policy pp. 145-163 Downloads
Laurence Booth and Jun Zhou
Dividend yields and stock returns in Hong Kong pp. 164-181 Downloads
Michael L. Lemmon and Thanh Nguyen
Dividend policy in India: new survey evidence pp. 182-204 Downloads
H. Kent Baker and Sujata Kapoor
The post-repurchase announcement drift: an anomaly in disguise? pp. 205-224 Downloads
Thanh T. Nguyen, Ninon K. Sutton and Dung (June) Pham

Volume 41, issue 1, 2015

Foreign exchange operating exposure and pass-through in a homogeneous product market pp. 2-9 Downloads
Jacques A. Schnabel
Determinants of mutual fund flows pp. 10-25 Downloads
Fredrik Kopsch, Han-Suck Song and Mats Wilhelmsson
Directors’ remuneration, governance and performance: the case of Malaysian banks pp. 26-44 Downloads
Siew Peng Lee and Mansor Isa
CEO-shareholder incentive alignment around SEOs pp. 45-66 Downloads
Yilei Zhang and Yi Jiang
Do call auctions curtail price volatility? Evidence from the National Stock Exchange of India pp. 67-79 Downloads
Silvio Camilleri
Property rights institutions and bank performance across countries pp. 80-101 Downloads
Walaa Wahid ElKelish and Jon Tucker
Lender evaluations of start-up business prospects pp. 102-120 Downloads
Marika Miettinen and Mervi Niskanen
Page updated 2020-02-20