Managerial Finance
Issue(s) available: 422 – From Volume: 1 Issue: 1, to Volume: 50 Issue: 7
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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
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Volume 19
Value and quality investing strategy in Indian stock market
Satinder Kaur, Sidharath Seth, Jaspal SinghThe objective of the study is to shed light on the notion of quality investing in the Indian stock market. The study also attempts to combine the value and quality metrics to test…
The prospect theory and the idiosyncratic risk-return linkage: a quantile regression approach for Vietnam’s stock market
Ho Hoang Gia Bao, Thi Hai Ly Tran, Thi Thu Hong DinhThis paper scrutinizes the relationship between idiosyncratic risks and stock returns at different quantiles, especially the extremely low and high ones, to explore the…
Capital structure and the firm performance nexus: the moderating and mediating roles of agency cost
Rishi Kapoor Ronoowah, Boopen SeetanahThe purpose of this study is to examine the linear and non-linear relationship between capital structure (CS) and firm performance (FP) and the moderating and mediating roles of…
Risk management of small and medium-sized enterprises (SMEs) for upcoming research priorities
MeiryaniThis paper aims to present a comprehensive assessment of the literature about the research agenda for future studies on risk management in small and medium-sized businesses (SMEs…
The mediating role of intellectual capital on the nexus between diversification, financial stability and efficiency of commercial banks in Ethiopia
Yichlal Simegn Filatie, Dhiraj SharmaThe main objective of this study is to analyze the mediating role of intellectual capital in the relationship between diversification, financial stability, and efficiency of the…
An analysis of capital structure heterogeneity for manufacturing and service sector firms
Ravindra Nath Shukla, Vishal Vyas, Animesh ChaturvediWe aim to analyze the capital structure heterogeneity for manufacturing and service sector firms. Additionally, we analyze the impact of the COVID-19 pandemic on the leverage…
Revenue concentration and capital structure
Alex Meisami, Sung-Jin Park, Mohammad MeysamiWe conducted this study to examine the relationship between revenue concentration and a firm's financial leverage. We aimed to analyze whether revenue concentration influences a…
Understanding debt financing decisions in family firms – Are there new insights from the recent literature?
Sonia Sánchez-Andújar, Purificación Parrado-Martínez, María Comino-JuradoConsidering the important development that research on debt financing decisions of family firms (FFs) has undergone in recent years, we aim to assess the current state of the…
On the (In)efficiency of gold and bitcoin: impact of COVID-19
Satish KumarWe aim to examine the impact of COVID-19 on the efficiency of Gold and Bitcoin returns. In particular, our efficiency tests are based on the popular calendar anomaly, the…
Controlling shareholders, their incentives and corporate governance ratings
Hsueh-Tien LuThis study aims to facilitate the development of a better understanding of how controlling shareholders respond to the mandatory system of corporate governance rating (CGR) for…
Geography, creative workforce and access to venture capital
Mehmet Sinan Goktan, Erdem UcarThe purpose of this study is to investigate how proximity to metropolitan areas and local creative talent impact a company’s access to venture capital (VC). We analyze the…
The effect of United States commercial airport rate-setting methods on airport bond ratings
Bahareh Golkar, Siew Hoon Lim, Fecri KarankiA major source of external funding for US airports comes from issuing municipal bonds. Credit rating agencies evaluate the bonds using multiple factors, but the judgments behind…
Determinants of bank’s dividend policy: a life cycle theory test in Indonesia
Setiawan Setiawan, Sugeng Wahyudi, Harjum MuharamThis research attempts to examine bank dividend policy in Indonesia by applying the life cycle theory of dividends.
Is the exchange rate exposure puzzle really a puzzle? International evidence
Chu-Sheng TaiGiven the difficulties in finding significant exchange rate exposure in the extant literature, this paper attempts to resolve the so-called “exposure puzzle” by investigating…
ISSN:
0307-4358Online date, start – end:
1975Copyright Holder:
Emerald Publishing LimitedOpen Access:
hybridEditor:
- Professor Don Johnson