Managerial Finance
Issue(s) available: 412 – From Volume: 1 Issue: 1, to Volume: 49 Issue: 9

Volume 49
Volume 48
Volume 47
Volume 46
Volume 45
Volume 44
Volume 43
Volume 42
Volume 41
Volume 40
Volume 39
Volume 38
Volume 37
Volume 36
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Issue 12 2010 Performance and productivity in banking and capital markets An emergent markets perspective
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Issue 10 2010
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Issue 8 2010 Selected papers from the Annual Meeting of the Southwestern Finance Association in 2009
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Issue 6 2010 Investment and risk management practices selected papers from the Academy of Finance, 2009
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Issue 5 2010
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Issue 4 2010
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Issue 2 2010
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Issue 1 2010
Volume 35
Volume 34
Volume 33
Volume 32
Volume 31
Volume 30
Volume 29
Volume 28
Volume 27
Volume 26
Volume 25
Volume 24
Volume 23
Volume 22
Volume 21
Volume 20
Volume 19
When politics meets sustainability: the effect of independent directors' political connections on corporate sustainability disclosure in China
Hsiu-I Ting, Yun-Chi LeeThis paper investigates the influence of political connections on sustainability disclosure in the context of China's Regulation 18.
Impact of gender diversity on firm performance: empirical evidence from India
Najul Laskar, Jagadish Prasad Sahu, Khalada Sultana ChoudhuryThe main purpose of the study is to investigate the impact of gender diversity both at the board and workforce level on firm performance (FP) in the Indian context.
Multi-level analysis on determinants of sustainability disclosure: a survey of academic literature
Waris Ali, Jeffrey WilsonThis study uses a multi-level framework to systematically summarize and synthesize the empirical literature on determinants of sustainability disclosure.
Performance of ESG SPACs
Vinay Datar, Ekaterina E. Emm, Bo HanThe authors examine one special focus of Special Purpose Acquisition Companies (SPACs), namely environmental, social and governance (ESG) related investments. The authors document…
Dynamics of price clustering in the Pakistan stock exchange
Ahmed S. Baig, Muhammad Imran Chaudhry, R. Jared DeLisleIn this paper, the authors study the phenomenon of price clustering in the Pakistan Stock Exchange (PSX), a market viewed as one of the best-performing stock markets in the world…
Corporate carbon emissions data for equity and bond portfolios
Laurens Swinkels, Thijs MarkwatTo better understand the impact of choosing a carbon data provider for the estimated portfolio emissions across four asset classes. This is important, as prior literature has…
Forecasting the impact of financial stress on hedging between the oil market and GCC financial markets
Taicir Mezghani, Mouna Boujelbène, Souha BoutouriaThis paper investigates the predictive impact of Financial Stress on hedging between the oil market and the GCC stock and bond markets from January 1, 2007, to December 31, 2020…
Managerial incentives for ESG in the financial services industry: direct and indirect association between ESG and executive compensation
Jooh Lee, Kyungyeon (Rachel) Koh, Eunsup Daniel ShimThis study investigates the empirical association between environmental, social and corporate governance (ESG) performance and top executive compensation in the US financial…
Revisiting the impact of geopolitical risk on Sukuk, stocks, oil and gold markets during the crises period: fresh evidence from wavelet-based approach
Mustafa Raza Rabbani, M.Kabir Hassan, Syed Ahsan Jamil, Mohammad Sahabuddin, Muneer ShaikIn this study, the authors analyze the impact of geopolitics risk on Sukuk, Islamic and composite stocks, oil and gold markets and portfolio diversification implications during…
Predicting customer deposits with machine learning algorithms: evidence from Tunisia
Oussama GafrejThis paper aims to evaluate the performance of the multiple linear regression (MLR) using a fixed-effects model (FE) and artificial neural network (ANN) models to predict the…
M&A activity and ESG performance: evidence from China
Jahidur Rahman, Jiani WuThis study explores the effect of mergers and acquisitions (M&As) on corporations' environmental, social and governance (ESG) performance and values in the Chinese financial…
Funding liquidity risk: does banking market structure matter?
Japan HuynhThe paper empirically investigates the link between banking market structure and funding liquidity risk.
Linking consumer compatibility and bank reputation to intention to use mobile banking
Aslıhan Kıymalıoğlu, Serkan Akıncı, Akzhan AlragigThis article aims to question the role of attitude towards behavior and bank reputation in the relationship between consumer compatibility and behavioral intention.
Shifting incentives: the impact of the Tax Cuts and Jobs Act on S bank conversions
Ca Nguyen, Alejandro Pacheco, Randall StoneThis paper investigates the significant increase in S corporation banks converting to C corporations following the 2017 Tax Cuts and Jobs Act (TCJA) and the shift in motivations…
Role of institutional investors in reviving loss-making firms: evidence from India
V. Veeravel, Pradiptarathi Panda, A. BalakrishnanThe present study aims to verify whether there is a positive (negative) role being played by the institutional investors on the loss-making companies' performance.
The impact of behavioral factors on investment decisions and investment performance in Croatian stock market
Marija Vuković, Snježana PivacInvestors' behavior in financial markets is often under the influence of various psychological and cognitive factors, as well as personality characteristics. This research…
Factors affecting financial decisions of university students: evidence from Pakistan
Muzammil Khurshid, R.M. Ammar Zahid, Meher Un NisaThis study examined the factors affecting university students' financial decisions in Pakistan.
Financial planning propensity in working adults: exploring the role of media
Radnyi Godase, Jyothi P, M. Lalitha SupriyaThe study aims to explore the role of media in enhancing financial knowledge, financial self-efficacy, and financial planning propensity among working adults in India.
Herding in the Australian stock market during the era of COVID-19: the roles of liquidity, government interventions and mood contagion
Nhan Huynh, Dat Thanh Nguyen, Quang Thien TranThis study explores the economic impact of the COVID-19 crisis on herding behaviour in the Australian equity market by considering liquidity, government interventions and…
Does sharia-compliant debt financing reduce stock price crash risk?
Rayenda Khresna Brahmana, Maria KontesaThis paper examines the impact of sharia-compliant debt financing on stock price crash risk. Unlike those previous studies that took Sukuk or sharia-compliant firms, this study…
Round offer prices in M&A transactions: costly negotiation and psychological preference
Ying Huang, Xiankui Hu, Kenneth Hunsader, Steven Xiaofan ZhengThe authors of this study aim to investigate possible explanations of the prevalence of price clustering in the final offer prices of mergers and acquisitions (M&A).
Analytics and baseball card values
Thomas H. Thompson, Kabir Chandra SenThe authors contrast Beckett and Professional Sports Authenticator (PSA) baseball card valuations. Also, the authors contrast the Bill James statistics for winshares (WIN) and…
Does valuation uncertainty benefit acquirers or targets?
Paweł Wnuczak, Dmytro OsiichukWhile the existing studies largely suggest that valuation uncertainty benefits acquirers, who apply discounts to targets' value attributable to information asymmetry, the authors…
Liquidity management by mutual funds
Marius Popescu, Zhaojin XuThe paper examines how equity mutual funds manage their liquidity. Specifically, the authors investigate what strategies fund managers use to meet investor redemption demand…
An investigation into outside directors, managerial compensation, and firm performance in the Korean insurance industry
Sangyong Han, Hyejeong MunThis study investigates the relationship between outside directors, managerial compensation, and firm performance in the Korean insurance industry.
Intangible capital and financial leverage in SMEs
Antti NorkioIntangible capital (IC) is an important factor for economic growth and firm performance. The role IC has played has become even more crucial in recent decades, possibly…
Bank competition, regulatory capital, and risk taking: international evidence
Heba Abou-El-Sood, Rana ShahinMotivated by recent financial liberalization policies in emerging markets, this study investigates whether bank competition and regulatory capital affect bank risk taking in an…
Attunement theory, CEO's cyclical influence on corporate social responsibility and firm value
Ivan E. Brick, Yankuo QiaoThis paper aims to further contribute to the growing stream of literature on the CEO's impact on corporate social responsibility (CSR). The authors shed light on the implications…
The role of restrictive covenants in Moody's and standard and Poor's debenture credit ratings
Marc Simpson, Axel GrossmannTo determine the effect that covenants have on the credit ratings assigned by the two major agencies.
Impact of Bitcoin mining and crypto market determinants on Bitcoin-based energy consumption
Nishant Sapra, Imlak ShaikhWhile Blockchain can serve us, Bitcoin threatens our survival. If Bitcoin is assumed to be a country, it will rank 38th globally for energy consumption. With 90.2 metric million…
Long-run performance following corporate green bond issuance
Marcellin Makpotche, Kais Bouslah, Bouchra M'ZaliThis paper aims to investigate the long-run financial and environmental performance of corporate green bond issuers, worldwide.
Prepayment and credit utilization in peer-to-peer lending
Yuan Yuan, Ran TaoThis research analyzes borrowers' credit utilization through prepayment behavior in peer-to-peer (P2P) lending. The authors investigate factors influencing the decision to prepay…
Board characteristics and dividend payout decisions: evidence from Indonesian conventional and Islamic bank
Muhamad Umar Mai, Tjetjep Djuwarsa, Setiawan SetiawanThis study attempts to examine the relationship between board characteristics and dividend payout decisions of conventional and Islamic banks.
Dividend policy and corporate life cycle: a study of Indian companies
Ravinder Singh, C.P. Gupta, Pankaj ChaudharyThe purpose of this paper is to investigate the relationship between dividend policy and the life cycle of firms in India. In addition, this study intends to examine the variation…
Algorithms for better decision-making: a qualitative study exploring the landscape of robo-advisors in India
Indu Nain, Sruthi RajanThis paper explores the current state of Robo-advisory services in India. This paper further highlights the problems experienced by the service providers in disseminating the…
Impact of major stock markets on China's stock market
Robert M. Hull, Ashfaq Habib, Muhammad Asif KhanThe main purpose is to explore the impact of major stock markets on China's market where major markets are represented by former G8 nations (current G7 and Russia).
Probability of default and political instability in the MENA region
Sirajo Aliyu, Ahmed Rufai Mohammad, Norazlina Abd. WahabThis study aims to empirically investigate the impact of political instability on the banking stability of the dual banking system in the Middle East and North African (MENA…
Exploring the role of ESG for the performance and risks of infrastructure investing: evidence from the international funds' market
Francesco Baldi, Neophytos LambertidesThis study investigates the relation between ESG-driven investment strategies and the performance of infrastructure funds. More specifically, this study examines the impact of the…
The cost of equity to earnings yield differential and dividend policy
Omar Esqueda, Thomas O'ConnorThe authors measure the cost of equity to earnings yield differential for a sample of 2,035 non-financial firms. In a series of Logit and Tobit regressions, the authors examine if…
Board diversity and systematic risk: evidence from emerging markets
Victor Daniel-Vasconcelos, Vicente Lima Crisóstomo, Maisa de Souza RibeiroThis study aims to investigate the association between board diversity and systematic risk. The theoretical framework used in this study is based on agency and resource…
Consumption and voluntary savings response to service tax
Sudip Gupta, Jayanta Kumar SealThe purpose of this study is to find out the effect of consumption tax on savings behavior especially on the people who are close to their retirement.
Does religiosity have a dark side? Evidence from board gender diversity
Xiaohu Guo, Lukai YangThis research aims to investigate whether local religious norms influence corporate attitudes toward board gender diversity.
Is corporate social responsibility more valuable in disrupted industries?
Liu Wang, Yong WangThe business world today is witnessing ever-growing disruption. This study highlights corporate social responsibility (CSR) as an effective strategy for firms in disrupted…
Analyst optimism, uncertainty and regulation: evidence from the Indian market
Riya Singla, Madhumita Chakraborty, Vivek SinghThe study examines the effect of increased Economic Policy uncertainty on analyst optimism in the Indian market. The study also explores whether the SEBI Research Analyst…
Leverage target and firm innovation
Sharier Azim KhanIn this paper, the author examines how capital structure (relative to target) affects firm innovation.
Impact of exchange rate fluctuations on US stock market returns
Vivek Bhargava, Daniel KonkuThe authors analyze the relationship between exchange rate fluctuations of a number of major currencies and its impact on US stock market returns, as proxied by the S&P 500. Many…
Rare whiskies' market: new Eldorado for investors and collectors?
Eric Le FurThis article aims to analyze the relationships between the different categories of rare whiskies and the opportunities for investors and collectors.
Does CSR committee drive the association between corporate social responsibility and firm performance? International evidence
Aamir Khan, Mustafa Afeef, Muhammad Ilyas, Shahid JanRelying on the stakeholder view, this study investigates the role of CSR committee in moderating the association between CSR and firm performance (FP). Further, the authors…
Idiosyncratic volatility in commodity futures markets: measurement and puzzle
Liu Hong, Tianpeng ZhouThis paper aims to propose an alternative method to measure idiosyncratic volatility and test whether the idiosyncratic volatility puzzle holds in commodity futures markets.
Debt covenants and classification shifting: moderating role of audit quality
Manish BansalThe study aims to investigates which form of classification shifting is preferred by firms to avoid the violation of debt covenants and whether the higher-audit quality…
ISSN:
0307-4358Online date, start – end:
1975Copyright Holder:
Emerald Publishing LimitedOpen Access:
hybridEditor:
- Professor Don Johnson