Table of contents
Dynamics influences of Tobin’s Q and CEO compensation on US stocks
Matiur Rahman, Muhammad MustafaThis paper aims to empirically explore the influences of Tobin’s Q and CEO compensation of 249 US companies on their stock returns.
Banking, insurance and economic growth in India: An empirical analysis of relationship from regulated to liberalized era
Shrutikeerti Kaushal, Amlan GhoshUnderstanding the role of financial intermediaries towards financial development and thereby the growth of an economy, this study aims to examine the long-run relationship between…
Essay on spillovers from advanced economics (AE) to emerging economics (EM) during the global financial crisis
Foluso Abioye AkinsolaThe purpose of this paper is to estimate the bond market linkages between emerging markets (EM) and advanced markets (AM) yields by estimating yield equations for EMs as a…
CEO power, corporate risk taking and role of large shareholders
Junaid Haider, Hong-Xing FangThis paper aims to investigate whether a powerful chief executive officer (CEO) impacts corporate risk taking in the distinctive institutional and market setting of China? Second…
Access to finance and firm innovation
MccPowell Sali Fombang, Charles Komla AdjasiThe study aims to examine the importance of access to finance in firm innovation by using firm-level data from the World Bank enterprise survey (WBES) on selected African…
Paradox of external finance in the Indian manufacturing sector
Pradeepta SethiThis paper aims to examine how financial development affects the growth of industries that are more dependent on external finance, demystifying the roles played by the banks…
Economic policy uncertainty and stock market liquidity: Does financial crisis make any difference?
Byomakesh Debata, Jitendra MahakudThis study aims to examine the relationship between economic policy uncertainty and stock market liquidity in an order-driven emerging stock market.
Modeling the impact of Basel III regulations on loan demand
Vighneswara SwamyThe purpose of this study is to provide an econometric modeling of demand for bank credit and not only offer useful insights to the decision-makers in the public and private…
Risk and capital in Indonesian large banks
Arisyi Fariza RazThe purpose of this paper is to examine the behavior of banking risk in the emerging economies, particularly Indonesia and contribute to the discussion on the existing policy…
A policymaker’s dilemma: real linkages or irrational behaviors?
Dogus EminThis paper aims to test whether the latest global financial crisis propagated contagiously from the USA to the rest of the world.
ISSN:
1757-6385Online date, start – end:
2009Copyright Holder:
Emerald Publishing LimitedOpen Access:
hybridEditor:
- Prof Franklin Mixon