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International Journal of Banking, Accounting and Finance

2008 - 2024

From Inderscience Enterprises Ltd
Bibliographic data for series maintained by Sarah Parker ().

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Volume 14, issue 3, 2024

Bank shareholding, corporate governance and the adjustment cost of debts pp. 279-298 Downloads
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 Downloads
Jingyi Guan, Yunhui Wen and Eping Liu
Modelling the probability of asset value covenant violations in shipping bank loans pp. 324-346 Downloads
Nikos D. Kagkarakis and Dimitris Tsouknidis
Internal control quality and earnings management. Lessons from microfinance institutions pp. 347-369 Downloads
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 Downloads
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 Downloads
Efstathios Sarantinos, Dimitris Kenourgios and Ioannis Plikas
Value relevance: a systematic literature review pp. 178-205 Downloads
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 Downloads
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 Downloads
Seyed Alireza Athari

Volume 14, issue 1, 2024

Dividends, investment and pension contributions pp. 1-27 Downloads
Jon Tucker and Ismail Ufuk Misirlioglu
Booking positions in small offshore financial centres: focus on US global banks pp. 28-57 Downloads
Carmela D'Avino and Mimoza Shabani
Lottery stocks in the UK: evidence, characteristics and cause pp. 58-96 Downloads
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 Downloads
Suraj Velip and Mrunali Jambotkar
Financial statement comparability and goodwill impairments: evidence from South Korea pp. 113-150 Downloads
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 Downloads
Sarayut Rueangsuwan and Somchai Supattarakul
Going global: evidence from India pp. 464-486 Downloads
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 Downloads
Sang Koo Kang, Haksoon Kim and Hyunil Lim
Director reputation and earnings management: evidence from the British Honours System pp. 516-556 Downloads
Tolulola Lawal
The dark side of inside debt: evidence from innovation pp. 557-590 Downloads
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 Downloads
Efstathios Karpouzis, Dimitris Margaritis, Maria Psillaki and Christos Staikouras
Dynamic linkages among financial stress, house prices and residential investment in Greece pp. 321-340 Downloads
Dimitris Anastasiou and Panayotis Kapopoulos
Goodwill impairment disclosure and integrated reporting: evidence on credit ratings and earnings manipulation pp. 341-387 Downloads
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 Downloads
Evangelos Vasileiou
Do idiosyncratic volatility and liquidity in stock returns still matter in post-global financial crisis? The UK evidence pp. 403-422 Downloads
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 Downloads
Moses Nyangu, Nyankomo Marwa and Ashenafi Fanta
Why do UK firms repurchase their own shares? pp. 177-216 Downloads
Elisabeth Dedman, Shan Hua and Thanamas Kungwal
Spatial patterns and local banks' tax behaviour: an empirical analysis in Italy pp. 217-240 Downloads
Carmelo Algeri, Antonio Fabio Forgione and Raffaele Staglianò
Inequality of information and the value of firms pp. 241-260 Downloads
Arif Budi Satrio, Mustaruddin Saleh and Wendy
Herding behaviour in shareholder activism brokers pp. 261-276 Downloads
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 Downloads
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 Downloads
Hatem Elfeituri
Effective monetary policy, banks' pricing behaviour and human development in Africa pp. 61-87 Downloads
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 Downloads
George Emmanuel Iatridis, Elizabeth Georgoula and Tuba Toksöz
Investor sentiment, bull and bear markets and stock returns pp. 115-144 Downloads
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 Downloads
Panagiotis Tachinakis and Michalis Samarinas
Future firm performance and textual characteristics of 10-K disclosures pp. 333-346 Downloads
Anestis C. Ladas
Stress-testing and credit risk revisited: a shipping sector application pp. 347-367 Downloads
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 Downloads
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 Downloads
Chiara Pederzoli and Costanza Torricelli

Volume 12, issue 3, 2021

Dependence between Islamic banks and conventional banks and risk factors pp. 201-239 Downloads
Mohamed Amin Chakroun and Mohamed Imen Gallali
Accruals quality and analyst forecast accuracy: evidence from the property-casualty insurance industry pp. 240-265 Downloads
In Jung Song
Does CEO overconfidence matter for shareholders' wealth? Evidence from the UK takeover market pp. 266-284 Downloads
Chen Huang
Borrowers' perceptions of lending conditions: worlds apart or closer than close? pp. 285-307 Downloads
Dimitris Anastasiou and Konstantinos Drakos

Volume 12, issue 2, 2021

Corporate bonds, exchange rates and business strategy pp. 97-117 Downloads
Konstantina Vartholomatou, Konstantina Pendaraki and Athanasios Tsagkanos
Is the era of the day-of-the-week anomaly over? pp. 118-140 Downloads
Ngan Duong Cao, Vu Quang Trinh and Thanh Quoc Nguyen
Bank risk and charter value: the role of opacity pp. 141-157 Downloads
Chris Brune, Kevin Lee and Scott Miller
The CEO identity of sovereign wealth funds and target firms' performance pp. 158-176 Downloads
Alfonso Del Giudice and Giovanni Petrella
Forecasting the yield curve with macroeconomic information - evidence from European markets pp. 177-200 Downloads
Isabel Maldonado, Carlos Pinho, Francisco Rodríguez 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 Downloads
Ullas Rao and Vincent Charles
The impact of ICT diffusion on sovereign cost of debt pp. 16-51 Downloads
Apostolos Kotzinos, Dimitris Psychoyios and Nikolaos Vlastakis
The relevance of annual general meetings: recent evidence from the UK pp. 52-74 Downloads
Lawal Tolulola
Nurturing regional innovation: the effects of bank competition in the USA pp. 75-96 Downloads
Lin Tian and Liang Han
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