| Analyzing time frequency co-movements across gold and oil prices with BRICS stock markets: A VaR based on wavelet approach |
21 |
| Financial development, institutional investors, and economic growth |
18 |
| Predicting failure in the US banking sector: An extreme gradient boosting approach |
18 |
| What drives bank efficiency? The interaction of bank income diversification and ownership |
18 |
| Volatility forecasting of crude oil market: Can the regime switching GARCH model beat the single-regime GARCH models? |
15 |
| Financial development, inequality, and poverty: Some international evidence |
14 |
| China's SO2 shadow prices and environmental technical efficiency at the province level |
13 |
| How does the Chinese economy react to uncertainty in international crude oil prices? |
13 |
| The role of economic policy uncertainties in predicting stock returns and their volatility for Hong Kong, Malaysia and South Korea |
11 |
| Fossil fuel share in the energy mix and economic growth |
9 |
| Financial liberalization and cross-border market integration: Evidence from China's stock market |
9 |
| Does corporate governance quality affect default risk? The role of growth opportunities and stock liquidity |
9 |
| A dynamic network DEA model for accounting and financial indicators: A case of efficiency in MENA banking |
9 |
| Foreign direct investment and export quality upgrading in China's manufacturing sector |
9 |
| The interconnections between US financial CDS spreads and control variables: New evidence using partial and multivariate wavelet coherences |
8 |
| Do political connections enhance or impede corporate innovation? |
8 |
| The impact of corporate social responsibility on financial constraints: Does the life cycle stage of a firm matter? |
8 |
| Financial systemic risk measurement based on causal network connectedness analysis |
8 |
| Regime shifts and stock return predictability |
8 |
| A sectoral analysis of asymmetric nexus between oil price and stock returns |
8 |
| Oil prices, stock markets and firm performance: Evidence from Europe |
8 |
| Intraday price discovery and volatility spillovers in an emerging market |
7 |
| Regional financial efficiency and its non-linear effects on economic growth in China |
7 |
| Momentum or contrarian trading strategy: Which one works better in the Chinese stock market |
7 |
| Quantifying the impact of the November 2014 Shanghai-Hong Kong Stock Connect |
7 |
| Capital intensity, natural resources, and institutional risk preferences in Chinese Outward Foreign Direct Investment |
7 |
| Board structures and performance in the banking industry: Evidence from Japan |
7 |
| The dependence structure between Chinese and other major stock markets using extreme values and copulas |
7 |
| Understanding international stock market comovements: A comparison of developed and emerging markets |
7 |
| Foreign ownership and stock market liquidity |
7 |
| Do bank-appointed directors affect corporate cash holding? |
7 |
| New approaches to measure the social performance of microfinance institutions (MFIs) |
7 |
| Is the squeaky wheel getting the grease? Earnings management and government subsidies |
6 |
| The relationship between external financing activities and earnings management: Evidence from enterprise risk management |
6 |
| Predicting corporate bankruptcy: What matters? |
6 |
| Market structure, performance, and efficiency: Evidence from the MENA banking sector |
6 |
| Is the idiosyncratic volatility anomaly driven by the MAX or MIN effect? Evidence from the Chinese stock market |
6 |
| The effects of economic policy uncertainty on outward foreign direct investment |
6 |
| Volatility information trading in the index options market: An intraday analysis |
6 |
| Do house prices hedge inflation in the US? A quantile cointegration approach |
6 |
| Does money supply drive housing prices in China? |
6 |
| Financial constraints, macro-financing environment and post-crisis recovery of firms |
5 |
| Financial reforms and corruption: Evidence using GMM estimation |
5 |
| The geography of CSR |
5 |
| Firm and industry specific determinants of capital structure: Evidence from the Australian market |
5 |
| Environmental policies with excess burden of taxation in free-entry mixed markets |
5 |
| How do powerful CEOs view dividends and stock repurchases? Evidence from the CEO pay slice (CPS) |
5 |
| The role of investor sentiment in the long-term correlation between US stock and bond markets |
5 |
| The relationship between credit constraints and household entrepreneurship in China |
5 |
| Cultural diversity and export sophistication |
5 |