| The relationship between CSR and performance: Evidence in China |
25 |
| Financial literacy and financial behavior: Evidence from the emerging Asian middle class |
18 |
| Risk in Islamic banking and corporate governance |
17 |
| A survey of Islamic banking and finance literature: Issues, challenges and future directions |
15 |
| Do types of political connection affect firm performance differently? |
12 |
| Does Islamic stock sensitivity to oil prices have economic significance? |
12 |
| Connectedness and hedging between gold and Islamic securities: A new evidence from time-frequency domain approaches |
11 |
| Can economic policy uncertainty, oil prices, and investor sentiment predict Islamic stock returns? A multi-scale perspective |
11 |
| Bank performance in China: A Perspective from Bank efficiency, risk-taking and market competition |
11 |
| Do Chinese internet stock message boards convey firm-specific information? |
10 |
| How profitability differs between conventional and Islamic banks: A dynamic panel data approach |
10 |
| Product market competition and corporate social responsibility activities: Perspectives from an emerging economy |
9 |
| Bank performance and risk-taking - Does directors' busyness matter? |
9 |
| Herd behavior and idiosyncratic volatility in a frontier market |
9 |
| Determinants of capital structure: evidence from Shari'ah compliant and non-compliant firms |
8 |
| Does bank regulation matter on the relationship between competition and financial stability? Evidence from Southeast Asian countries |
8 |
| Political uncertainty and Stock returns: Evidence from the Brazilian Political Crisis |
8 |
| The effect of environmental information disclosure and energy product type on the cost of debt: Evidence from energy firms in China |
7 |
| The impact of Sukuk on the performance of conventional and Islamic banks |
7 |
| Equity financing and debt-based financing: Evidence from Islamic microfinance institutions in Indonesia |
7 |
| The influence of board committee structures on voluntary disclosure of greenhouse gas emissions: Australian evidence |
7 |
| Measuring systemic risk of the banking industry in China: A DCC-MIDAS-t approach |
7 |
| Is wine a good choice for investment? |
6 |
| Equity market momentum: A synthesis of the literature and suggestions for future work |
6 |
| Regime-dependent herding behavior in Asian and Latin American stock markets |
6 |
| Corporate philanthropy and investment efficiency: Empirical evidence from China |
6 |
| Socially responsible firms and mergers and acquisitions performance: Australian evidence |
6 |
| Forecasting the US stock volatility: An aligned jump index from G7 stock markets |
6 |
| CSR activities and internal capital markets: Evidence from Korean business groups |
5 |
| Optimistic bias of analysts' earnings forecasts: Does investor sentiment matter in China? |
5 |
| Idiosyncratic skewness, gambling preference, and cross-section of stock returns: Evidence from China |
5 |
| Market volatility, liquidity shocks, and stock returns: Worldwide evidence |
5 |
| VIX derivatives: Valuation models and empirical evidence |
5 |
| Diversification benefits of Shari'ah compliant equity ETFs in emerging markets |
5 |
| How does national culture influence IPO underpricing? |
5 |
| New evidence on national culture and bank capital structure |
5 |
| Does corporate social responsibility engagement benefit distressed firms? The role of moral and exchange capital |
4 |
| Effects of Shariah-compliant business practices on long-term financial performance |
4 |
| Internet finance investor sentiment and return comovement |
4 |
| Chinese shadow banking, financial regulation and effectiveness of monetary policy |
4 |
| Financial liberalisation, bank ownership type and performance in a transition economy: The case of Vietnam |
4 |
| Do Chinese mutual funds time the market? |
4 |
| Can technical analysis generate superior returns in securitized property markets? Evidence from East Asia markets |
4 |
| Linguistic distance and mergers and acquisitions: Evidence from China |
4 |
| Energy, precious metals, and GCC stock markets: Is there any risk spillover? |
4 |
| Female CFOs and accounting fraud: Evidence from China |
4 |
| Home advantage: The preference for local residential real estate investment |
4 |
| Air pollution, stock returns, and trading activities in China |
4 |
| Efficiency and profitability in the global insurance industry |
4 |
| High-speed rail, small city, and cost of debt: Firm-level evidence |
4 |