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Showing 1-20 of 5,240 results
  1. Are directors with foreign experience better monitors? Evidence from investment efficiency

    Using Chinese listed firms from 2008 to 2018, we find that directors with foreign experience alleviate both overinvestment and underinvestment, hence...

    Xueman **ang, Carl R. Chen, ... Qizhi Tao in Review of Quantitative Finance and Accounting
    Article 15 November 2023
  2. Does Terrorism Hamper Foreign Greenfield Investment Inflows? Empirical Evidence from MENA Countries

    The present study aimed to investigate whether terrorism hampered foreign greenfield investment inflows in 14 MENA countries from 2011 to 2021....

    Faris Alshubiri, Abdullah AlGhazali in Asia-Pacific Financial Markets
    Article 06 July 2024
  3. Foreign capital exposure and firms’ financial reporting behavior: international evidence from equity market openings

    When equity markets open to foreign investors, firms in these markets have significant opportunities for attracting foreign capital. Using a set of...

    Article 01 July 2024
  4. Greenfield foreign direct investments and insurance market diversification: a cross-country analysis

    Foreign direct investments (FDIs) influence insurance markets directly, through foreign insurers’ participation in domestic markets, and indirectly,...

    Bojan Srbinoski, Klime Poposki, ... Ksenija Dencic-Mihajlov in The Geneva Papers on Risk and Insurance - Issues and Practice
    Article 22 May 2023
  5. Shedding light on foreign currency cash flow hedges: transparency and the hedging decision

    Utilizing firms in the S&P 500, we study whether greater transparency in the reporting of other comprehensive income (OCI) items, as mandated by ASU...

    Han **, Beverly B. Marshall in Review of Quantitative Finance and Accounting
    Article Open access 07 April 2024
  6. Monetary sterilization response to the movements in exchange rates and official net foreign assets: a case of China

    This paper separates the exchange rate effect of monetary sterilization from the scale effect as a rationale for a modification of the measure of...

    Article 28 October 2022
  7. Economic policy uncertainty and cost of capital: the mediating effects of foreign equity portfolio flow

    We investigate whether economic policy uncertainty and the interaction of foreign equity portfolio flow and economic policy uncertainty impact the...

    Frank Obenpong Kwabi, Samuel Owusu-Manu, ... Min Du in Review of Quantitative Finance and Accounting
    Article 12 March 2022
  8. Foreign institutional investors and dividend policy in Indonesia

    In this study, we investigate the nexus between foreign institutional investors (FIIs) and the dividend policy in a develo** country. Using a...

    Sangapta Damarjati Purba, Tastaftiyan Risfandy, ... Muh. Rudi Nugroho in Journal of Asset Management
    Article 28 February 2022
  9. Trading Behaviour of Foreign Institutional Investors: Evidence from Indian Stock Markets

    The existence of behavioural bias such as positive feedback trading (PFT) and herding is well researched for advanced economies. This paper explores...

    Paramita Mukherjee, Sweta Tiwari in Asia-Pacific Financial Markets
    Article 28 May 2022
  10. Foreign ownership and the enforcement of corporate governance reforms

    This study examines whether a stronger corporate governance enforcement regime influences the investment decisions of foreign portfolio investors in...

    Bibek Bhatta, Andrew Marshall, ... Chandra Thapa in Review of Quantitative Finance and Accounting
    Article 18 July 2021
  11. Cross-Border Recognition of Foreign Resolution Actions: The Statutory Regime in the United Kingdom

    When a bank fails, the relevant authorities may have to place the firm into a resolution procedure to ensure it fails in an orderly way. Given the...
    Shalina Daved, Clare Merrifield, Michael Salib in Commercial Banking in Transition
    Chapter 2024
  12. Can experience mitigate precautionary bidding? Evidence from a quasi-experiment at an IPO auction

    This paper explores whether market experience exacerbates or mitigates institutional investors’ precautionary bidding behavior. Using an IPO reform...

    Article 20 September 2022
  13. The Impact of the Real Interest Rate, the Exchange Rate and Political Stability on Foreign Direct Investment Inflows: A Comparative Analysis of G7 and GCC Countries

    Sustainable financial development plays a vital role in new institutional economics and transaction cost economics. This asserts the important role...

    Faris Alshubiri in Asia-Pacific Financial Markets
    Article 19 February 2022
  14. Economic Freedom, Ownership Structure, and SME Financial Fragility: Evidence from an Emerging Economy

    This paper examines the impact of economic freedom on the financial fragility of 1,496 non-financial SMEs in Vietnam over the period 2012–2020. We...

    Article 28 February 2024
  15. Do financial reforms always improve banks efficiency and competition? A long-term analysis of Turkey’s experience

    Financial policy changes are aimed at improving banks efficiency and competition; however, their effectiveness in the context of emerging economies...

    Nuri Altintas, Alessandra Ferrari, Claudia Girardone in Journal of Banking Regulation
    Article 29 October 2021
  16. An Analysis of Determinants of Foreign Direct Investment in Banking Industry from Taiwan to ASEAN Countries with Gravity Model

    This paper examined the choice of FDI location of Taiwanese banks’ FDI with a particular on a sample of the Association of Southeast Asian Nations...

    Hsiao-I Pan, Komsan Suriya, Pathairat Pastpipatkul in Asia-Pacific Financial Markets
    Article 19 May 2022
  17. Teaching Students Professionally Based Foreign Language Communication in the Era of Digitalization

    The article provides the factors analysis of professionally based foreign language communication of future specialists in various training programs....
    Irina A. Tkacheva, Marina V. Lazareva, Ludmila V. Yakovleva in Challenges and Solutions in the Digital Economy and Finance
    Conference paper 2022
  18. Locally-rooted directors

    We study the influence of locally-rooted directors (LRDs)—board members with personal ties to a company’s geographic location—on firm performance. On...

    Axel Kind, Christophe Volonté in Review of Quantitative Finance and Accounting
    Article Open access 14 April 2024
  19. Experience and Enlightenment of Luqiao Micro and Small Finance Innovation

    “Small is Beautiful”. With the title of a book, the author, British economist Michael Schumacher vividly expounds such a truth: small work units and...
    Wen **ao, Jiadong Pan, Wenwu **e in Microfinance and China's Regional Development
    Chapter 2023
  20. Decoupling VaR and regulatory capital: an examination of practitioners’ experience of market risk regulation

    The central role of Value-at-Risk (VaR) within bank market risk regulation received significant criticism from financial media and government...

    Orla McCullagh, Mark Cummins, Sheila Killian in Journal of Banking Regulation
    Article Open access 03 June 2022
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