Review of Pacific Basin Financial Markets and Policies (RPBFMP)
1998 - 2024
Current editor(s): Cheng-few Lee
From World Scientific Publishing Co. Pte. Ltd.
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Volume 21, issue 04, 2018
- Financial Statement Analysis: Evidence from Chinese Firms pp. 1-32

- Li Li Eng, Xi Tian and T. Robert Yu
- Accounting Standards and Earnings Quality — Evidence from Registered ADRs pp. 1-40

- Yaseen S. Alhaj-Yaseen, Kean Wu and Leslie B. Fletcher
- Does Convertible Arbitrage Risk Exposure Vary Through Time? pp. 1-25

- Liam Gallagher, Mark Hutchinson and John O’Brien
- Impacts of Introducing Index Futures on Stock Market Volatilities: New Evidences from China pp. 1-23

- Yang Gao and Bianxia Sun
- Institutional Investors’ Monitoring and Stock Price Crash Risk: Evidence from Politically Connected Firms pp. 1-35

- Chwee Ming Tee, Angelina Seow Voon Yee and Aik Lee Chong
- The Impact of Global Financial Crisis on IPO Underpricing in Malaysian Stock Market pp. 1-17

- Hon-Wei Leow and Wee Yeap Lau
- Alternative Methods to Estimate Implied Variance: Review and Comparison pp. 1-28

- Yibing Chen, Cheng-Few Lee, John Lee and Jow-Ran Chang
Volume 21, issue 03, 2018
- Do Weak Internal Controls Affect Institutional Ownership Decisions? pp. 1-37

- Ching-Lung Chen and Chung-Yu Chen
- The Relationship between Hedge Fund Performance and Stock Market Sentiment pp. 1-29

- Yao Zheng and Eric Osmer
- The Impact of Macroeconomic Factors on Environmental Loss Ratio: Evidence from Taiwanese Insurance Data pp. 1-13

- Li-Hua Lai, Ching-Hao Chen and Tung-Cheng Chang
- Growth Slowdown Analysis for Indonesia’s Subnational Economies: An Empirical Investigation pp. 1-36

- Tan Khee Giap, Sasidaran Gopalan and Nursyahida Ahmad
- Impact of Oil Price on Australian Stock Market Returns pp. 1-27

- Hui Li and Raul Paraco
- Informed Repurchases, Information Asymmetry and the Market Response to Open Market Share Repurchases pp. 1-32

- Bong Soo Lee and Nathan Mauck
- Bank External Financing and Early Adoption of SFAS 133 pp. 1-40

- Sophia I-Ling Wang
Volume 21, issue 02, 2018
- Volatility Forecast by Volatility Index and Its Use as a Risk Management Tool Under a Value-at-Risk Approach pp. 1-48

- Yam Wing Siu
- Management of Revenue and Earnings in Korean Firms Influenced by Cognitive Reference Points pp. 1-36

- Michael Lacina, B. Brian Lee and Dong Wuk Kim
- The Effect of Shareholder Rights and Information Asymmetry on Stock-Option-Related Repurchase Activity pp. 1-41

- Joanna Golden
- Recap of the 25th Annual Conference on Pacific Basin Finance, Economics, Accounting, and Management pp. 1-9

- Cheng Few Lee and Khee Giap Tan
- Liquidity and Profitability: A Co-Integration Study pp. 1-20

- Khairul Alom
- Factors Affecting Export Competitiveness of Singapore’s Manufacturing Sector: A Regression Analysis pp. 1-11

- Soon-Beng Chew, Jia Hong Chen, Ming Chou Hung and Teresa Wan Ying Lek
- Long-Term Dependency Structure and Structural Breaks: Evidence from the U.S. Sector Returns and Volatility pp. 1-38

- Geoffrey Ngene, Ann Nduati Mungai and Allen K. Lynch
Volume 21, issue 01, 2018
- Does the Information Content of Central Bank Speeches Impact on the Level of Exchange Rate? A Comparative Study of Canadian and Australian Central Bank Communications pp. 1-27

- Becksndale Masawi, Sukanto Bhattacharya and Terry Boulter
- What Do We Know About New Venture Investment Time Patterns? pp. 1-19

- Reinhard Schulte
- Income Shifting as an Aspect of Tax Avoidance: Evidence from U.S. Multinational Corporations pp. 1-53

- Adriana Cordis and Chris Kirby
- Bank Liquidity Risk and Performance pp. 1-40

- Yi-Kai Chen, Chung-Hua Shen, Lanfeng Kao and Chuan-Yi Yeh
- Level 3 Assets and Credit Risk pp. 1-35

- May Xiaoyan Bao and Yixin Liu
- Ad Hoc Black and Scholes Procedures with the Time-to-Maturity pp. 1-21

- Suk Joon Byun, Sol Kim and Dong Woo Rhee
- A First Look at the Trilemma Vis-à-Vis Quadrilemma Monetary Policy Stance in a Pacific Island Country Context pp. 1-22

- Jen Je Su, Lavenia Cocker, Disusu Delana and Parmendra Sharma
Volume 20, issue 04, 2017
- The Announcement Effect of Cash Dividend Changes on Share Prices: Evidence from Dhaka Stock Exchange pp. 1-19

- Naheed Rabbani
- Effects of Financial Soundness and Openness on Financial Development pp. 1-14

- Sayyed Ziaei
- Major Currency ETFs and Their Associated Spot and Futures Rates pp. 1-32

- Chaiyuth Padungsaksawasdi and Ali Parhizgari
- Derivative Practices in Australian and Canadian Industries pp. 1-39

- Franziska Wolf, Terry Boulter and Sukanto Bhattacharya
- The Leasing Decisions of Startup Firms pp. 1-30

- Carmen Cotei and Joseph Farhat
- Unmasking the Relationships Between Exchange Rate Exposure and Its Determinants: A More Complete Picture from Quantile Regressions pp. 1-28

- Luke Lin and Chun I Lee
- Assessing Development Strategies of Jiangsu and Taiwan: A Geweke Causality Analysis pp. 1-28

- Khee Giap Tan, Randong Yuan and Sangiita Wei Cher Yoong
Volume 20, issue 03, 2017
- Lead–Lag Relationship Between Returns and Implied Moments: Evidence from KOSPI 200 Intraday Options Data pp. 1-20

- Sol Kim and Geul Lee
- Impact of Rollover Risk and Corporate Policy on Extreme Risk in the Taiwanese Manufacturing Industry pp. 1-20

- Wan-Chien Chiu, Chih-Wei Wang, Wei-Ning Wu and Chuan-Ju Lin
- A Window into Thai Mutual Fund Managers’ Perception and Decision-Making Process pp. 1-43

- Anchada Charoenrook and Pantisa Pavabutr
- Improving Capital Budgeting Through Probabilistic Approaches pp. 1-21

- Oualid Benallou and Rajae Aboulaich
- Ambiguous Customer Identity Disclosure and the Cost of Equity Capital pp. 1-29

- Hsin-Yi Yu and Li-Wen Chen
- Bank Structure and Liquidity Shocks: Evidence from Emerging Markets During the 2008 Financial Crisis pp. 1-25

- Pu Liu, Yingying Shao and Yiwen Gu
- Financial Deepening and Economic Growth in Transition Economies of Southeast Asia: A Geweke Causality Analysis pp. 1-25

- Khee Giap Tan, Sasidaran Gopalan and Phuong Anh Nguyen Le
Volume 20, issue 02, 2017
- Impact of Qualitative Characteristics on Market Equilibrium: Simulation with Agent-Based Modeling pp. 1-22

- Safae Badraoui, Khalid Bensaid, Ahmed Mouad El Haloui and Rajae Aboulaich
- Asymmetric Reinforcement Learning and Conditioned Responses During the 2007–2009 Global Financial Crisis: Evidence from Taiwan pp. 1-44

- Chih-Hsiang Chang, Shan-Shan Chen and Song-Lin Hsieh
- Explaining the On-The-Run Puzzle with Corporate Bonds pp. 1-36

- Anthony Jerome Anderson and Michael Stuart Long
- Modeling Consumers’ Behavior in New Dual Banking Markets: The Case of Morocco pp. 1-24

- Mohamed Wail Aaminou and Rajae Aboulaich
- The Effect of FASB Statement No. 123R on Stock Repurchases: An Empirical Examination of Management Incentives pp. 1-31

- Steven Hegemann and Iuliana Ismailescu
- Market States and Momentum: Evidence from the Dhaka Stock Exchange pp. 1-19

- Mostafa Saidur Rahim Khan
- China’s Macroeconomic Fundamentals on Stock Market Volatility: Evidence from Shanghai and Hong Kong pp. 1-57

- Andy Wui Wing Cheng and Iris Wing Han Yip
Volume 20, issue 01, 2017
- On the Performance of the Comonotonicity Approach for Pricing Asian Options in Some Benchmark Models from Equities and Commodities pp. 1-32

- Jilong Chen and Christian-Oliver Ewald
- Participating Contingent Premium Options pp. 1-14

- Aboulaich Rajae and Dchieche Amina
- Recap of the 24th Annual Conference on Pacific Basin Finance, Economics, Accounting, and Management pp. 1-14

- Cheng Few Lee and Tian-Shyr Dai
- Dividends and Subsequent Profitability: An Examination of a Dual Dividend Stock Market pp. 1-35

- Chin-Sheng Huang, Chun-Fan You and Hsiao-Fen Hsiao
- Cross-National CSR Web Reporting: A Comparative Analysis of Multinational Corporations in the U.S. and South Korea pp. 1-28

- Victor Kane, Altay Dikeç and Jin Yong Park
- The Timeliness of Financial Reporting and Fair Values: Evidence from U.S. Banks pp. 1-30

- Hua-Wei Huang, Mai Dao and Wen-Chi Sun
- Are Derivatives Implicated in the Recent Financial Crisis? Evidence from Banks in Emerging Countries pp. 1-41

- Mohamed Rochdi Keffala