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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 39, issue 12, 2013

Unobservable effects and firm's capital structure determinants pp. 1124-1137 Downloads
B.T. Matemilola, A.N. Bany-Ariffin and Carl B. McGowan
Calendar anomalies in Russian stocks and bonds pp. 1138-1154 Downloads
William Compton, Robert A. Kunkel and Gregory Kuhlemeyer
Determinants of dividend policies for ADR firms pp. 1155-1168 Downloads
Gizelle F. Perretti, Marcus T. Allen and H. Shelton Weeks
Bad news bears: Effects of expected market volatility on daily tracking error of leveraged bull and bear ETFs pp. 1169-1187 Downloads
Hunter Matthew Holzhauer, Xing Lu, Robert W. McLeod and Jamshid Mehran
What drives the premium labour model, beta instability risk or human capital?: Evidence for the UK pp. 1188-1200 Downloads
Mona Soufian, David McMillan and Stuart Horsburgh

Volume 39, issue 11, 2013

The economic rationale for option backdating: incentive explanations pp. 1004-1031 Downloads
Hongyan Fang and David Whidbee
Competitive strategy and industry contagion following traditional Chapter 11 bankruptcy announcements pp. 1032-1055 Downloads
Kenneth Hunsader, Natalya Delcoure and Gwendolyn Pennywell
Equity agency costs in payouts, pension plan manipulation and firm performance pp. 1056-1076 Downloads
Rony Moche Halman
Governance, type of blockholder, and negotiating power in takeovers pp. 1077-1099 Downloads
Oneil Harris, Jeff Madura and Charmaine Glegg
Are big city businesses more profitable than other firms? pp. 1100-1119 Downloads
William Ruland

Volume 39, issue 10, 2013

IPO valuation and insider manipulation of R&D pp. 888-914 Downloads
Robert Hull, Rosemary Walker and Sungkyu Kwak
Does information production explain bidder liquidity after takeovers? pp. 915-937 Downloads
Adam Y.C. Lei and Huihua Li
Liquidity creation or de-creation: evidence from US property and liability insurance industry pp. 938-962 Downloads
Byeongyong Paul Choi, Jin Park and Chia-Ling Ho
Founding-family firms and the creation of value: Swedish evidence pp. 963-978 Downloads
Mattias Hamberg, Egil Andre Fagerland and Kristoffer Kvamme Nilsen
Acquirer's earnings quality and the choice of payment method in mergers and acquisitions pp. 979-1000 Downloads
Kenneth Yung, Qian Sun and Hamid Rahman

Volume 39, issue 9, 2013

The explanatory power of earnings for stock returns in the pre- and post-IFRS era: Some evidence from Greece pp. 814-824 Downloads
Christos I. Negakis
On the integration of European capital markets pp. 825-836 Downloads
Panayotis Alexakis and Anna Vasila
How bureaucracy and corruption affect economic growth and convergence in the European Union: The case of Greece pp. 837-847 Downloads
Panagiota Papaconstantinou, Athanasios G. Tsagkanos and Costas Siriopoulos
Analysis of cross-border and domestic mega-M&As of European commercial banks pp. 848-862 Downloads
Matthias Nnadi and Sailesh Tanna
Does intervalling effect affect ETFs? pp. 863-882 Downloads
Nikolaos Milonas and Gerasimos G. Rompotis

Volume 39, issue 8, 2013

Testing for moral hazard in reinsurance markets pp. 696-713 Downloads
Zhiqiang Yan
Effects of election results on stock price performance: evidence from 1980 to 2008 pp. 714-736 Downloads
Andreas Oehler, Thomas J. Walker and Stefan Wendt
Acquisition of equity REIT IPOs in the aftermarket pp. 737-755 Downloads
John C. Alexander, Ping Cheng, Ronald C. Rutherford and Thomas M. Springer
Does diversity of derivatives use affect fund performance?: Evidence from hedge funds and funds of hedge funds pp. 756-786 Downloads
Jarkko Peltomäki
Increased foreign bank presence, privatisation and competition in the Zambian banking sector pp. 787-808 Downloads
Anthony Simpasa

Volume 39, issue 7, 2013

VaR and time-varying volatility: a comparative study of three international portfolios pp. 625-640 Downloads
Pat Obi and Shomir Sil
The impact of the global financial crisis on firm-level risk of the S&P 500 pp. 641-652 Downloads
Anthony Loviscek and Elven Riley
Extreme loss risk in financial turbulence – evidence from the global financial crisis pp. 653-666 Downloads
Jamshed Uppal and Inayat Ullah Mangla
Predicting business failure using cash flow statement based measures pp. 667-676 Downloads
Shyam B. Bhandari and Rajesh Iyer
An examination of the relationship between the Economic Freedom Index value and the matching country specific exchange traded fund return pp. 677-690 Downloads
Timothy Peterson

Volume 39, issue 6, 2013

Earnings management, institutional shareholdings, and performance of SEO firms pp. 528-549 Downloads
Wen-Ben Yang, Junming Hsu and Tung-Hsiao Yang
A margin requirement based return calculation for portfolios of short option positions pp. 550-568 Downloads
Scott Murray
An examination of the long-term performance of reacquired carve-outs pp. 569-583 Downloads
Thomas H. Thompson
Did dividend policy change during the financial crisis? pp. 584-606 Downloads
Richard Hauser
Sources of momentum profits: bootstrap methods pp. 607-619 Downloads
Mohamed Sahbi Nakhli and Lotfi Belkacem

Volume 39, issue 5, 2013

Recent developments in exchange-traded fund literature: Pricing efficiency, tracking ability, and effects on underlying securities pp. 427-443 Downloads
Narat Charupat and Peter Miu
Short-sale constraints and securities lending by exchange-traded funds pp. 444-456 Downloads
Naresh Bansal, Ryan McKeon and Marko Svetina
Speed of convergence to market efficiency in the ETFs market pp. 457-475 Downloads
Dennis Y. Chung and Karel Hrazdil
Leveraged and inverse ETF performance during the financial crisis pp. 476-508 Downloads
Pauline M. Shum and Jisok Kang
High-frequency analysis of exchange traded funds' pricing deviation pp. 509-524 Downloads
Stoyu I. Ivanov

Volume 39, issue 4, 2013

Warrants, ownership concentration, and market liquidity pp. 322-341 Downloads
Paul Brockman and Brett C. Olsen
The FX exposure puzzle: insights from SEC disclosures pp. 342-361 Downloads
Stephen Makar and Stephen Huffman
Product market advertising effects on the method of payment in M&A pp. 362-383 Downloads
Erik Devos, William B. Elliott and Mohammad A. Karim
A story on SPACs pp. 384-403 Downloads
Milan Lakicevic and Milos Vulanovic
Ownership structure, capital structure, and performance of group affiliation: Evidence from Taiwanese group-affiliated firms pp. 404-420 Downloads
Jonchi Shyu

Volume 39, issue 3, 2013

Corporate risk and corporate governance: another view pp. 204-227 Downloads
Hao Li, John S. Jahera and Keven Yost
Board compensation, holdings and mutual fund expense ratios pp. 228-250 Downloads
Eric Fricke
What motivates seasoned equity offerings? Evidence from the use of issue proceeds pp. 251-271 Downloads
Mark Bayless and Nancy R. Jay
Value versus growth in dynamic equity investing pp. 272-305 Downloads
George W. Blazenko and Yufen Fu
Using the Rasch model to rank firms by managerial ability pp. 306-319 Downloads
Carolin Schellhorn and Rajneesh Sharma

Volume 39, issue 2, 2013

Market perception of firm strategy pp. 90-115 Downloads
Ozer Asdemir, Guy D. Fernando and Arindam Tripathy
The impact of corporate governance on working capital management efficiency of American manufacturing firms pp. 116-132 Downloads
Amarjit S. Gill and Nahum Biger
The impact of fair-value-accounting on the relevance of capital adequacy ratios: Evidence from Taiwan pp. 133-154 Downloads
Yi-Ping Liao
Financial distress, earnings management and market pricing of accruals during the global financial crisis pp. 155-180 Downloads
Ahsan Habib, Borhan Uddin Bhuiyan and Ainul Islam
Underpricing, board structure, and ownership: An empirical examination of Indonesian IPO firms pp. 181-200 Downloads
Salim Darmadi and Randy Gunawan

Volume 39, issue 1, 2012

Is there a period of listing effect or a post-listing performance puzzle? pp. 4-27 Downloads
William O. Brown
Institutional ownership and executive compensation: Evidence from US banks during the financial crisis pp. 28-46 Downloads
Lisa M. Victoravich, Pisun Xu and Huiqi Gan
Hedging instrument in post liquidity crisis: a case of interest rate swaps pp. 47-59 Downloads
Shannon Allen, Sungsoo Kim and Mark Zitzler
How does information asymmetry affect the division of gains in mergers? pp. 60-85 Downloads
Mehmet Sinan Goktan
Page updated 2020-02-17