International Journal of Banking, Accounting and Finance
2008 - 2024
From Inderscience Enterprises Ltd Bibliographic data for series maintained by Sarah Parker (). Access Statistics for this journal.
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Volume 14, issue 3, 2024
- Bank shareholding, corporate governance and the adjustment cost of debts pp. 279-298

- Salma Mokdadi and Kamel Naoui
- Does geographic dispersion increase the stock price crash risk after M%A with earnouts? Evidence from China pp. 299-323

- Jingyi Guan, Yunhui Wen and Eping Liu
- Modelling the probability of asset value covenant violations in shipping bank loans pp. 324-346

- Nikos D. Kagkarakis and Dimitris Tsouknidis
- Internal control quality and earnings management. Lessons from microfinance institutions pp. 347-369

- Hubert Tchakoute Tchuigoua, Damaris Ning Mufur and Magloire Tchatchoua Nya
- A trade-off between sustainability ratings and volatility in portfolio hedging strategies pp. 370-406

- Spyros Papathanasiou and Drosos Koutsokostas
Volume 14, issue 2, 2024
- On the key drivers of capital depletion in the EU-wide stress tests pp. 151-177

- Efstathios Sarantinos, Dimitris Kenourgios and Ioannis Plikas
- Value relevance: a systematic literature review pp. 178-205

- Nicholas Daniel Haupt, Katinka Vermeulen and Elda du Toit
- The influence of integrated reporting compliance on analyst forecast accuracy and credit ratings pp. 206-246

- Athanasios Pavlopoulos, George Emmanuel Iatridis and Dimitrios N. Koufopoulos
- Do governance settings moderate the effect of country risk on firms' cash holdings? Evidence from China pp. 247-278

- Seyed Alireza Athari
Volume 14, issue 1, 2024
- Dividends, investment and pension contributions pp. 1-27

- Jon Tucker and Ismail Ufuk Misirlioglu
- Booking positions in small offshore financial centres: focus on US global banks pp. 28-57

- Carmela D'Avino and Mimoza Shabani
- Lottery stocks in the UK: evidence, characteristics and cause pp. 58-96

- Maher Khasawneh, David G. McMillan and Dimos Kambouroudis
- Asymmetric volatility of the US dollar index in the stock and cryptocurrency market during the Russia-Ukraine war pp. 97-112

- Suraj Velip and Mrunali Jambotkar
- Financial statement comparability and goodwill impairments: evidence from South Korea pp. 113-150

- Jagadison K. Aier, Eun Hye Jo, Jung Wha Lee and Gnanakumar Visvanathan
Volume 13, issue 4, 2023
- What do credit rating agencies tell us about earnings momentum? pp. 423-463

- Sarayut Rueangsuwan and Somchai Supattarakul
- Going global: evidence from India pp. 464-486

- Roberta Adami, Sudha Mathew, Prem Puwanenthiren and Sheeja Sivaprasad
- Do foreign investors affect stock price crash risk in the Korean stock market? pp. 487-515

- Sang Koo Kang, Haksoon Kim and Hyunil Lim
- Director reputation and earnings management: evidence from the British Honours System pp. 516-556

- Tolulola Lawal
- The dark side of inside debt: evidence from innovation pp. 557-590

- KwangJoo Koo
Volume 13, issue 3, 2023
- Hedge fund activism and short-term value creation prior to the initial filing: evidence from US firms pp. 277-320

- Efstathios Karpouzis, Dimitris Margaritis, Maria Psillaki and Christos Staikouras
- Dynamic linkages among financial stress, house prices and residential investment in Greece pp. 321-340

- Dimitris Anastasiou and Panayotis Kapopoulos
- Goodwill impairment disclosure and integrated reporting: evidence on credit ratings and earnings manipulation pp. 341-387

- Athanasios Pavlopoulos and George Emmanuel Iatridis
- Is the turn of the month an anomaly on which an investment strategy could be based? Evidence from Bitcoin and Ethereum pp. 388-402

- Evangelos Vasileiou
- Do idiosyncratic volatility and liquidity in stock returns still matter in post-global financial crisis? The UK evidence pp. 403-422

- Ghaith El-Nader and Yasmeen Al-Halabi
Volume 13, issue 2, 2022
- Bank risk-taking behaviour, market power and efficiency: empirical evidence from the East African community pp. 145-176

- Moses Nyangu, Nyankomo Marwa and Ashenafi Fanta
- Why do UK firms repurchase their own shares? pp. 177-216

- Elisabeth Dedman, Shan Hua and Thanamas Kungwal
- Spatial patterns and local banks' tax behaviour: an empirical analysis in Italy pp. 217-240

- Carmelo Algeri, Antonio Fabio Forgione and Raffaele Staglianò
- Inequality of information and the value of firms pp. 241-260

- Arif Budi Satrio, Mustaruddin Saleh and Wendy
- Herding behaviour in shareholder activism brokers pp. 261-276

- Konstantinos Kostaris and Andreas Andrikopoulos
Volume 13, issue 1, 2022
- Borrower characteristics and loan performance: evidence from micro and small Greek firms pp. 1-31

- Vasileios Giannopoulos, Eleftherios Aggelopoulos and Antonios Georgopoulos
- Assessing competitiveness in the MENA banking sector in the context of the quality of institutional variables and political conflict risk pp. 32-60

- Hatem Elfeituri
- Effective monetary policy, banks' pricing behaviour and human development in Africa pp. 61-87

- Abdul Ganiyu Iddrisu, Alhassan Andani and Joshua Yindenaba Abor
- An investigation of how volatile financial analyst recommendations may affect managerial behaviour and financial reporting quality pp. 88-114

- George Emmanuel Iatridis, Elizabeth Georgoula and Tuba Toksöz
- Investor sentiment, bull and bear markets and stock returns pp. 115-144

- Dorsaf Ben Aissia and Nizar Neffati
Volume 12, issue 4, 2021
- Auditor's expertise and the effect of the European banking sector CEO skill on audit quality during the European financial crisis pp. 309-332

- Panagiotis Tachinakis and Michalis Samarinas
- Future firm performance and textual characteristics of 10-K disclosures pp. 333-346

- Anestis C. Ladas
- Stress-testing and credit risk revisited: a shipping sector application pp. 347-367

- Anna Merika, Ioannis Negkakis and Henry Penikas
- Evaluating the role and effectiveness of the audit committee on the quality of financial reporting: evidence from Greek PIEs pp. 368-388

- Constantinos Chalevas, Panagiotis Giannopoulos, Andreas Koutoupis and Angeliki Samara
- An assessment of the Fundamental Review of the Trading Book: the capital requirement impact on a stylised financial portfolio pp. 389-403

- Chiara Pederzoli and Costanza Torricelli
Volume 12, issue 3, 2021
- Dependence between Islamic banks and conventional banks and risk factors pp. 201-239

- Mohamed Amin Chakroun and Mohamed Imen Gallali
- Accruals quality and analyst forecast accuracy: evidence from the property-casualty insurance industry pp. 240-265

- In Jung Song
- Does CEO overconfidence matter for shareholders' wealth? Evidence from the UK takeover market pp. 266-284

- Chen Huang
- Borrowers' perceptions of lending conditions: worlds apart or closer than close? pp. 285-307

- Dimitris Anastasiou and Konstantinos Drakos
Volume 12, issue 2, 2021
- Corporate bonds, exchange rates and business strategy pp. 97-117

- Konstantina Vartholomatou, Konstantina Pendaraki and Athanasios Tsagkanos
- Is the era of the day-of-the-week anomaly over? pp. 118-140

- Ngan Duong Cao, Vu Quang Trinh and Thanh Quoc Nguyen
- Bank risk and charter value: the role of opacity pp. 141-157

- Chris Brune, Kevin Lee and Scott Miller
- The CEO identity of sovereign wealth funds and target firms' performance pp. 158-176

- Alfonso Del Giudice and Giovanni Petrella
- Forecasting the yield curve with macroeconomic information - evidence from European markets pp. 177-200

- Isabel Maldonado, Carlos Pinho, Francisco RodrÃguez De Prado and Carla Azevedo Lobo
Volume 12, issue 1, 2021
- An empirical examination of the efficiency of commodity markets in India pp. 1-15

- Ullas Rao and Vincent Charles
- The impact of ICT diffusion on sovereign cost of debt pp. 16-51

- Apostolos Kotzinos, Dimitris Psychoyios and Nikolaos Vlastakis
- The relevance of annual general meetings: recent evidence from the UK pp. 52-74

- Lawal Tolulola
- Nurturing regional innovation: the effects of bank competition in the USA pp. 75-96

- Lin Tian and Liang Han
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