Review of Pacific Basin Financial Markets and Policies (RPBFMP)
1998 - 2024
Current editor(s): Cheng-few Lee From World Scientific Publishing Co. Pte. Ltd. Bibliographic data for series maintained by Tai Tone Lim (tltai@wspc.com.sg). Access Statistics for this journal.
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Volume 25, issue 04, 2022
- Stock Liquidity Risk and Cash Preservation pp. 1-21

- Shih-Kuo Yeh, Wan-Ru Yang, Ren-Raw Chen and Chung-Ying Yeh
- CEO Overconfidence and CSR Engagement pp. 1-31

- Roger C. Y. Chen, Shih-Wei Hung and Yu-Chen Wei
- The Impact of Demographic Aging on the Investing Behavior: The Case of Taiwan Stock Market pp. 1-36

- Ming-Chang Cheng and Chien-Chi Lee
- The Association between Financial Activities and Self-Rated Health in Middle-Aged and Older Adults pp. 1-14

- Yueh-Ping Li, Hua-Wei Huang and Ya-Chih Yang
- Volatility Spillovers During the Chinese Stock Market Crisis: A MEM-Based Approach pp. 1-30

- Hua Chen, Domenico Tarzia, Giovanni Vittorino and Andros Gregoriou
- Foreign Direct Investment Inflows and Governance Nexus: Evidence from the United States, China, and Singapore pp. 1-18

- Farrukh Nawaz Kayani and Christopher Gan
- Recap of the 30th Annual Conference on Pacific Basin Finance, Economics, Accounting, and Management pp. 1-20

- Cheng-Few Lee and She-I Chang
- The Role of Managerial Ability in Supply Chain Management pp. 1-25

- Yan Yan
Volume 25, issue 03, 2022
- The Capitalized Generalized Autoregressive Conditional Heteroskedasticity pp. 1-29

- Katlego Kola and Tumellano Sebehela
- Does the Firm with Well-Educational Level of Board Members Have Good Corporate Governance? pp. 1-29

- Shih-Wei Hung, Hsing-Chin Hsiao and Jan-Chung Wang
- Global Diversification and the Cost of Equity pp. 1-17

- Xiaowen Jiang, Ling Lin and Pradyot K. Sen
- Retail Investors and Stock Price Synchronicity pp. 1-31

- Wenfeng Wu and Oliver M. Rui
- Active and Interdisciplinary Approach to Teach Corporate Finance pp. 1-31

- Cheng Few Lee
- Rethinking Optimum Currency Area in East and South-East Asia: New Empirical Evidence pp. 1-38

- Chandan Sharma and Rupika Khanna
- VIX Implied Volatility as a Time-Invariant, Stationary Assessor of Market Nervousness/Uncertainty pp. 1-13

- Ehud I. Ronn
- The New Horizon of Banking pp. 1-13

- Joseph Jye-Cherng Lyu
Volume 25, issue 02, 2022
- A Cross-Tabulation to Know the Relationship between Financial Performance and Leverage on a Company’s Tax Reporting and Tax Compliance pp. 1-21

- Kadarisman Hidayat, Mokhamad Khifni, Sri Mangesti Rahayu and Muhammad Saifi
- The Paradoxical Prices of Options pp. 1-29

- Gianluca Marcato and Tumellano Sebehela
- Competition Effects of a New Asset on a Similar Existing Asset in the Same Market: The iShares Versus the Closed-End Country Fund pp. 1-24

- Pei-Jung Tsai, Chia-Cheng Ho and Pei-Su Tsai
- Special Editorial Page pp. 1-2

- Cheng-Few Lee
- A Game of Power or Discipline: Minority Shareholders’ Activism in China pp. 1-57

- Rui Sun
- The Crucial Role for Money and Business Firms for Short-Term Economic Growth pp. 1-27

- Karl-Johan Bergström
- Tax Avoidance and Corporate Investments pp. 1-53

- Mahmud Hossain, Gerald J. Lobo and Santanu Mitra
- Recap of the 29th Annual Conference on Pacific Basin Finance, Economics, Accounting, and Management pp. 1-13

- Cheng-Few Lee and Bharat Sarath
- An Analysis of State Capital Share and Its Implications to the Efficiency-Equality Nexus pp. 1-25

- Ying Wu and Hong Yao
Volume 25, issue 01, 2022
- Corporate Investment and Stock Return Momentum pp. 1-59

- Ki C. Han, Abu Jalal and Karen Simonyan
- Corporate Tax Avoidance: Evidence from Vietnamese Firms pp. 1-26

- Ha Kieu Oanh and Christopher Gan
- Analyst Recommendations: Evidence on Hedge Fund Activism and Managerial Ability pp. 1-26

- Yan Yan and Xiaohui Yang
- Convolution Approach for Value at Risk Estimation pp. 1-37

- Yam Wing Siu
- Remittances Vis-Ã -Vis Bank Credit and Investment: Evidence From Fiji pp. 1-36

- Jakhongir Kakhkharov, Lan Archer, Matia Tuisawau, Akata Taito, Mitieli Cama and Parmendra Sharma
- Executive Compensation and Firm Performance Relationship pp. 1-18

- Umar Nawaz Kayani and Christopher Gan
- Other Side of Voluntary Clawback Provisions in Executive Compensation Contracts: Evidence from the Investment Efficiency pp. 1-50

- Sohyung Kim, Cheol Lee and Santanu Mitra
- The Expectation of Exchange Rate and Foreign Share Discount: The Evidence from Hong Kong H-Share Discount pp. 1-23

- Kevin Zhao
Volume 24, issue 04, 2021
- The Oil Futures and Options Markets in 2020: The “Message from Markets†pp. 1-23

- Ehud I. Ronn
- Modeling of Risk Measure Bonds Using the Beta Model pp. 1-18

- Fatma Hachicha, Ahmed Hachicha and Afif Masmoudi
- Recap of the 28th Annual Conference on Pacific Basin Finance, Economics, Accounting, and Management & the 14th NCTU International Finance Conference pp. 1-18

- Cheng Few Lee and Woan-Lih Liang
- Illiquid Assets and the Opacity Discount in Banks’ Valuation pp. 1-40

- Giulio Anselmi
- Corporate Governance, Product Market Competition and Announcement Returns of Spinoff Firms pp. 1-40

- Lee-Hsien Pan, Ying-Chou Lin, Meng-Jou Lu and I-Min Lin
- The Condition of the Conditionality pp. 1-39

- Tumellano Sebehela
- Identifying the News in Analysts’ Earnings Forecasts Revisions: An Alternative to the Random Walk Expectation pp. 1-42

- Ray Pfeiffer, Karen Teitel, Susan Wahab and Mahmoud Wahab
- Impact of Noninterest Income on Bank Risk-Taking and Bank Lending Spread pp. 1-21

- Muhammad Jawad, Munazza Naz and Muhammad Aftab Shamsi
Volume 24, issue 03, 2021
- George Kaufman: Both Hands In; Scholar’s Work with Academia and Financial Industry Benefitted Both pp. 1-21

- William S. Bike
- Investment, Financing, Dividend, and Production Policies: Review and Integration pp. 1-48

- Cheng Few Lee and Alice C. Lee
- How Does Financial Reporting Quality Relate to Corporate Social Responsibility Expenditures? An International Analysis pp. 1-24

- James Juichia Lin, Chen-Yu Wang and Che-Hui Cheng
- The Theory of Uncertaintism pp. 1-37

- Tumellano Sebehela
- Speech Delivered for the Acceptance of an Honorary Ph.D. Degree in Economics at National Tsing Hua University pp. 1-15

- Fai-nan Perng
- Confirming Anomalies pp. 1-23

- Peter Chinloy and Matthew Imes
- Director Compensation in the Banking Industry Around the Dodd-Frank Act pp. 1-22

- Wikil Kwak, Xiaoyan Cheng and Burch Kealey
- Restructuring Measurements Impact on Bank Risk After the Global Financial Crisis — Empirical Evidence from Vietnam pp. 1-28

- Tu T. T. Tran and Yen Thi Nguyen
- The Price Discovery Processes in China, India, and Russia’s Stock Index Futures Markets pp. 1-28

- Qingfeng “Wilson” Liu, Hui Sono and Wei Zhang
Volume 24, issue 02, 2021
- Tapping Global Potential of Pakistan in Merchandise Trade: Evidence from PPML Based Gravity Model and Trade Potential Index pp. 1-35

- Nazia Gul and Javed Iqbal
- Corporate Governance and Working Capital Management — Inclusive Approach for Measuring the Firm Performance pp. 1-25

- Umar Nawaz Kayani, Tracy-Anne De Silva and Christopher Gan
- Factors Driving Openness in China Trade: Corruption, Exchange Rate Volatility, and Macro Determinants pp. 1-25

- Thong Trung Nguyen, Toan Luu Duc Huynh and Wing-Keung Wong
- Vulnerable Company’s Triumphs in M&A Negotiation under the Impact of COVID-19 — An Empirical Study of Asian Companies pp. 1-30

- Tsai-Hsin Cheng, Chung-Jian Huang, Chao-Hsien Sung and Yi-Chang Huang
- Macroeconomic Uncertainty and Stock Market Uncertainty: Some Further Evidence From Pakistan pp. 1-15

- Tariq Aziz, Jahanzeb Marwat and Sheraz Mustafa
- Who Could We Blame? The Impact of Strategic Orientations on the Failure of Financial Institutions pp. 1-27

- Xuan Vinh Vo, Tuan Quoc Le, Thi Lam Anh Nguyen and Hiep Ngoc Luu
- Efficiency in China’s Banking Sector: A Comparative Analysis of Pre- and Post-Basel II Eras pp. 1-29

- Sunil Mohanty and Hong-Jen Lin
- Spillover Effects of US Unconventional Monetary Policy: (Evidence from Selected Asian Countries) pp. 1-17

- Sayyed Ziaei and Kenneth Szulczyk
Volume 24, issue 01, 2021
- Quality of Regional Election Implementation as Determinant of Performance of Simultaneous Regional Election: Community Trust and Satisfaction as Mediation, and Regulatory Harmonization as Moderation pp. 1-25

- Lely Mindarti, Akmal Malik, Bambang Supriyono and Hermawan
- Impact of Government Bailout on Banks’ Cost of Equity: Additional Evidence from the Financial Bailout of 2008–2009 pp. 1-41

- Daphne Wang, Robert Houmes, Thanh Ngo and Omar Esqueda
- Taxes, Mispricing, or the Agency Cost of Managerial Discretion? Evidence from Corporation to REIT Conversions pp. 1-35

- Naresh Gopal, Ravi S. Mateti, Duong Nguyen and Gopola Vasudevan
- Agency Conflicts and the Marginal Value of Capital Expenditure in Australian Listed Companies pp. 1-31

- James Butchers, Gurmeet Singh Bhabra, Harjeet Singh Bhabra and Anindya Sen
- Where to Find Value on the Balance Sheet pp. 1-24

- Peter Chinloy, Matthew Imes and Tilan Tang
- Do Negative Corporate Social Responsibility Events Signal Financial Misreporting? — Empirical Finding from Taiwan pp. 1-43

- Ching-Lung Chen, Hann-Pyng Wang, Hung-Shu Fan and Shiu-Chieh Chiu
- Trade Credit and Capital Structure Adjustment Speed: Evidence From Chinese Listed Firms pp. 1-21

- Jifeng Cao and Yiwen Cui
- Antecedents of Equity Fund Performance: A Contingency Perspective pp. 1-40

- Li Xian Liu, Fuming Jiang, Jizhong Li and Omar Al Farooque
- Does CEO Power Affect the Association Between CEO Compensation and Tangible Assets Impairments? pp. 1-26

- Kin-Wai Lee, Cheng-Few Lee and Gillian Hian-Heng Yeo
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