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 (). Access Statistics for this journal.
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Volume 23, issue 04, 2020
- Nonfinancial Stakeholder Orientation and Conditional Accounting Conservatism pp. 1-46

- Qing Liao Burke, Mengying Wang and Yijia Eddie Zhao
- The Impact of Sentiment on Commodity Return and Volatility pp. 1-34

- Aktham Maghyereh, Hussein Abdoh and Mohammad Al-Shboul
- The Impact of Sarbanes–Oxley and Dodd–Frank Legislation on Loan Loss Provisioning in US Banks pp. 1-21

- Gregory McKee and Albert Kagan
- Measuring the Volatility of Market Risk of Vietnam Banking Industry After the Low Inflation Period 2015–2017 pp. 1-13

- Nguyen Ngoc Thach, Nguyen Van Bao, Dinh Tran Ngoc Huy, Bui Dan Thanh, Le Thi Viet Nga, Truong Thu Ha and Nguyen The Binh
- Managerial Political Spending Choice and Earnings Management pp. 1-41

- Shuo Li and Yu Tony Zhang
- The Validity of Multinomial Logistic Regression and Artificial Neural Network in Predicting Sukuk Rating: Evidence from Indonesian Stock Exchange pp. 1-24

- Muhammad Luqman Nurhakim, Zainul Kisman and Faizah Syihab
- Customer–Supplier Relationships and Abnormal Accruals pp. 1-37

- May Xiaoyan Bao, Matthew T. Billett and Yixin Liu
- The Implication of the Oscillations in Exchange Rate for the Commodity-wise Trade Flows between Pakistan and China: An Evidence from ARDL Approach pp. 1-33

- Muhammad Zubair Chishti, Javed Iqbal, Farrukh Mahmood and Hafiz Syed Muhammad Azeem
- Monetary Policy Effects on the Stock Market in China: Comparing Two Restriction Schemes in the SVAR Model pp. 1-33

- Gang Wang and Yucheng Jiang
Volume 23, issue 03, 2020
- The Role of Bank Liquidity and Bank Risk in Determining Bank Capital: Empirical Analysis of Asian Banking Industry pp. 1-21

- Faisal Abbas, Shahid Iqbal and Bilal Aziz
- Mandatory Dividend Policy, Growth, Liquidity and Corporate Governance: Evidence from Chile pp. 1-35

- Sakthi Mahenthiran, David Cademartori and Tom Gjerde
- New Evidence to Assess the Asset Pricing Model: An Empirical Investigation Based on Bayesian Network pp. 1-29

- Fatma Hachicha, Sahar Charfi and Ahmed Hachicha
- Industry Experiences of Board, CEO, and Acquisition Performance pp. 1-48

- Debarati Bhattacharya, Ya-Yun Kao and Wei-Hsien Li
- Testing the Real Option Hypothesis on the Declining Open-Market Repurchase Announcement Returns pp. 1-15

- David Ding, Hardjo Koerniadi and Chandrasekhar Krishnamurti
- Corporate Social Responsibility: A Study on Consumer Awareness in Vietnam pp. 1-16

- Loan Thi Hong Van, Hoang Huy Nguyen and Duc Hong Vo
- Hedge Fund Performance in Japan pp. 1-18

- Srinidhi Kanuri
- Multi-modality in the Likelihood Function of GARCH Model pp. 1-23

- Farrukh Mahmood and Saud Ahmed Khan
- Working Capital Management and Firm Performance Relationship: An Empirical Investigation of Australasian Firms pp. 1-23

- Umar Nawaz Kayani, Tracy-Anne De Silva and Christopher Gan
Volume 23, issue 02, 2020
- Systematic Risk in the Asia Pacific Region: A Clinical Death? pp. 1-17

- Nguyen Cong Thang, Tan Ngoc Vu, Trung Thanh Do, Vuong Minh Nguyen and Duc Hong Vo
- The Effect of Executive Compensation on Report Lags: An Empirical Evidence pp. 1-35

- Indrarini Laksmana, Trung Pham and Mai Dao
- The Effect of Horizontal Spillovers from FDI on Average Wages: Evidence from Vietnamese Enterprises pp. 1-28

- Phuong Van Nguyen, Hien Huynh Thi Ngoc, Hoa Doan Xuan Trieu, Khoa Tien Tran and Dung Hanh Phuong Nguyen
- Financial Crisis and Earnings Management Under U.S. GAAP and IFRS pp. 1-28

- Thanyaluk Vichitsarawong and Li Li Eng
- Systematic Covariations and Emerging Asian Equity Markets’ Diversification Benefits to US Equity Investors pp. 1-47

- Bharat Kolluri, Susan Wahab and Mahmoud Wahab
- Inner Workings of the Chinese Economy and the US–China Trade War pp. 1-45

- Winston Chang
- Ownership Structure and Tax Avoidance: Evidence from Indian SMEs pp. 1-19

- Omar Farooq and Angie Abdel Zaher
- Wealth Effects of Retail Store Closure Announcements pp. 1-27

- Abdul-Rahman Khokhar
- Implications of Government Borrowing for Corporate Financing in Emerging Economies: A Crowding Out Kuznets Curve pp. 1-27

- Muhammad Ali Nasir, Toan Huynh, Quynh Thi Nhu Do, Cuc Thi Nguyen and Quynh Thi Tran
Volume 23, issue 01, 2020
- China’s VAT Tax Reform: A Boon for the Economy or an Opportunity for Moral Hazard? pp. 1-15

- Ben Sopranzetti and Yue Ma
- Dual-Class Firms and Innovation after NAFTA pp. 1-33

- Lei Gao and Andrey Zagorchev
- Related Party Transactions, Value Relevance and Informativeness of Earnings: Evidence from Four Economies in East Asia pp. 1-42

- Mohd Mohid Rahmat, Kamran Ahmed and Gerald J. Lobo
- Does Convergent-IFRS Adoption in China Increase Audit Fees? pp. 1-21

- Yu Ling Tsai and Hua-Wei Huang
- Risk-Reward Trade-Off and Volatility Performance of Islamic Versus Conventional Stock Indices: Global Evidence pp. 1-29

- Ahmad Abu-Alkheil, Walayet A. Khan and Bhavik Parikh
- The Predictability and Profitability of Simple Moving Averages and Trading Range Breakout Rules in the Pakistan Stock Market pp. 1-38

- Salma Khand, Vivake Anand and Mohammad Nadeem Qureshi
- CEO Characteristics Enhancing the Impact of CEO Overconfidence on Firm Value After Mergers and Acquisitions — A Case Study in China pp. 1-19

- Chia-Hsien Tang, Yen-Hsien Lee, Ming-Chih Lee and Ya-Ling Huang
- Recap of the 27th Annual Conference on Pacific Basin Finance, Economics, Accounting, and Management pp. 1-19

- Cheng Few Lee and Ming-Jen Lin
Volume 22, issue 04, 2019
- Country Effects, Industry Effects and the Effectiveness of International Diversification Within the GCC Region pp. 1-18

- Sulaiman Al-Jassar and Imad A. Moosa
- Multifractal Analysis of African Stock Markets During the 2007–2008 US Crisis pp. 1-31

- Oussama Tilfani and My Youssef El Boukfaoui
- Industry-Average Earnings Management and IPO Pricing pp. 1-46

- Joseph R. Rakestraw, Raman Kumar and John J. Maher
- Impact of Expected Shortfall Approach on Capital Requirement Under Basel pp. 1-34

- Yam Wing Siu
- U.S. Big 4 and Local Auditors in the China Initial Public Offering Market pp. 1-29

- Zhi-Yuan Feng, Hua-Wei Huang and Mai Dao
- Examining Granger Causality in the Behavioral Reactions of Institutional Investors— Evidence from India pp. 1-21

- Rajesh Mohnot
- Determinants of Nonperforming Loans in Emerging Markets: Evidence from the MENA Region pp. 1-33

- Imad Jabbouri and Maryem Naili
Volume 22, issue 03, 2019
- Managerial Ability and Firm Performance in Malaysia: Do Familiness and Foreignness of the CEOs Matter? pp. 1-31

- Shu-Fen Chuah and Swee-Sim Foong
- Are All Forecasts Made Equal? Conditioning Models on Fit to Improve Accuracy pp. 1-32

- David Newton
- Underwriting of Australian Dividend Reinvestment Plans pp. 1-26

- Mathew Abraham, James Lau and Alastair Marsden
- Preferred Habitat, Window Dressing, or Both? Evidence From Foreign Exchange Swaps in Taiwan pp. 1-20

- Hao-Chen Liu and Mark Witte
- Property-Liability Insurers’ Discretionary and Nondiscretionary Loss Reserve Error: Relation with Investor Sentiment pp. 1-20

- Fang Sun and Xiangjing Wei
- Estimation Procedures of Using Five Alternative Machine Learning Methods for Predicting Credit Card Default pp. 1-27

- Huei-Wen Teng and Michael Lee
- Price Impact of Corporate Bond Trading: Evidence from the Australian Securities Exchange pp. 1-22

- Alex Frino, Andrew Lepone and Grace Lepone
Volume 22, issue 02, 2019
- The Joint Determinants of Capital Structure and Stock Rate of Return: A LISREL Model Approach pp. 1-51

- Hong-Yi Chen, Cheng Few Lee and Tzu Tai
- The Bias in Two-Pass Regression Tests of Asset-Pricing Models in Presence of Idiosyncratic Errors with Cross-Sectional Dependence pp. 1-17

- Thomas Gramespacher and Armin Bänziger
- Recap of the 26th Annual Conference on Pacific Basin Finance, Economics, Accounting, and Management pp. 1-17

- Cheng Few Lee and Bharat Sarath
- Another Look: The Impact of Multi-Dimensional Corporate Transparency on US Firms’ Market Liquidity and Analyst Forecast Properties pp. 1-35

- D. G. DeBoskey and Peter R. Gillett
- Income Classification Shifting and Financial Analysts’ Forecasts pp. 1-48

- Shanshan Pan, Michael Lacina and Haeyoung Shin
- The Global Financial Crisis, Fiscal Stimulus Package and the Chinese Banking Sector — A Pre- and Post-Efficiency Analysis pp. 1-43

- Dong Xiang, Parmendra Sharma and Yuming Zhang
- The Role of Financial Development in the Relationship Between Foreign Direct Investment and Economic Growth: A Nonlinear Approach pp. 1-32

- Elya Nabila Abdul Bahri, Abu Hassan Shaari Md Nor, Tamat Sarmidi and Nor Hakimah Haji Mohd Nor
Volume 22, issue 01, 2019
- Fundamental and Technical Trading in the Emerging Market of an Oil-Based Economy pp. 1-19

- Sulaiman Al-Jassar
- Impact of Chinese Yuan Devaluation on the Dependence Structure: The Archimedean Copula Approach pp. 1-27

- Wing-Choong Lai and Kim-Leng Goh
- Tests of Alternative Asset Pricing Models Using Individual Security Returns and a New Multivariate F-Test pp. 1-34

- Shafiqur Rahman and Matthew J. Schneider
- Reinvestigate the Bid–Ask Bounce Effect and Pricing of Idiosyncratic Volatility: The Case of the Australian Market pp. 1-23

- Bin Liu, Monica Tan and Marie-Anne Cam
- Does the Financial Integration in ASEAN+3 Respond to Financial Cooperation Agreement and Influence the Real Sectors? pp. 1-18

- Md. Saifur Rahman and Farihana Shahari
- Asymmetries in Volatility: An Empirical Study for the Peruvian Stock and Forex Markets pp. 1-18

- Willy Alanya and Gabriel Rodríguez
- Should the Advanced Measurement Approach for Operational Risk be Discarded? Evidence from the Chinese Banking Industry pp. 1-15

- Xiaoqian Zhu, Jianping Li and Dengsheng Wu
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