Guest Editor's Introduction: Institutional Characteristics and Trading Mechanisms of Financial Markets in East Asia
In: Emerging markets, finance and trade: EMFT, Band 49, Heft sup3, S. 3-4
ISSN: 1558-0938
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In: Emerging markets, finance and trade: EMFT, Band 49, Heft sup3, S. 3-4
ISSN: 1558-0938
In: Journal of Banking and Finance, Band 121
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In: Pacific-Basin Finance Journal, Band 56
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In: Advances in pacific basin business, economics and finance 11
In: Emerald insight
Advances in Pacific Basin Business, Economics and Finance (APBBEF) is an annual series designed to focus on interdisciplinary research in finance, economics, and management among Pacific Rim countries. All articles published are reviewed and recommended by at least two members of the editorial board. Topics of interest include, but are not limited to, the following: 1. Policy and management on financial markets and financial institutions; 2. Options, futures, and other derivatives markets; 3. Corporate finance and investment decisions; 4. Insurance and risk management; 5. Accounting, auditing, and taxation; 6. Real esate econimics, finance and regulations; 7. Artificial intelligence and new technology in finance; 8. Monetary and foreign exchange policy; 9. Income, employment, and education; 10. Other economic policies among the Pacific Rim countries. APBBEF is indexed in ABI/INFORM, EconLit, EBSCO, ProQuest, ResearchGate, and Google Scholar. Manuscript submission: mtyu@nycu.edu.tw.
In: Advances in Pacific Basin business, economics and finance volume 8
In: Emerald insight
Advances in Pacific Basin Business, Economics, and Finance is an annual publication designed to focus on interdisciplinary research in finance, economics, accounting and management among Pacific Rim countries. All articles published have been reviewed and recommended by at least two members of the editorial board. Topics of interest include, but are not limited to, the following: Policies and Regulations on financial markets and financial institutions; Options, futures and other derivatives markets; Corporate finance and investment decisions; Fixed-Income securities and portfolio management; Insurance and risk management; Accounting, auditing and taxation; Marketing, management, and business strategies; Interdisciplinary issues on supply chain, finance, and marketing; Monetary and foreign exchange policy; Income, employment, and other economic policies among the Pacific Rim countries.
In: Advances in Pacific Basin Business, Economics and Finance v. 7
1. A Consumption Based-Evaluation of the Cat Bond Market; Stephan Dieckmann 2. Optimal Trading and Tax Option Value of Defaultable Bonds with Asymmetric Capital Gain Taxes; Peter Huaiyu Chen, Sheen X. Liu and Chunchi Wu 3. Empirical Analysis of Economic Policy Uncertainty and Stock Returns in Asian Markets; Thomas C. Chiang 4. A New Perspective on the Fama-French Five-Factor Model; Hsuan-Yu Liu and Cindy S.H. Wang 5. The Impact of Corporate Social Responsibility on Financial Performance: Evidence from Commercial Banks in Mongolia; Amy Yueh-Fang Ho, Hsin-Yu Liang and Tumenjargal Tumurbaatar 6. The Role of Duration and Trades in the Information Assimilation Process of the U.S. Treasury Market; Peter Huaiyu Chen, Kasing Man, Junbo Wang and Chunchi Wu 7. The Causal Factors Behind Rising Non-Performing Assets of India's Commercial Banks: A Panel Study; T.K. Jayaraman, Chin-Yu Lee and Cheong-Fatt Ng 8. What Makes Listed Subsidiaries Delist in Japan? A Logistic Analysis; Naoyuki Kaneda 9. Not All Firm Entries Are Made Equal: An Exploratory Note; Chin-Yoong Wong and Yoke-Kee Eng 10. Are Unsolicited Bank Credit Ratings Matter to Bank Leverage Decision: Evidence from Asian Countries; Yu-Jen Hsiao, Lei Qin and Yueh-Lung Lin 11. Determinants of Bank Performance in Chile, Colombia, and Mexico; Alejandro Serrano.
In: Advances in Pacific Basin business, economics and finance volume 7
In: Advances in Pacific Basin business, economics and finance volume 6
4.3. Institutional Trades around RPT Announcements5. Summary and Conclusion; Acknowledgment; Notes; References; Product Market Threat and Corporate Investment; Abstract; 1. Introduction; 2. Literature Review and Hypothesis Development; 3. Empirical Design; 3.1. Regression Framework; 3.2. Variable Construction; 4. Sample and Summary Statistics; 5. Empirical Results; 5.1. Product Market Threat and Future Investment: Baseline Regression Analysis; 5.1.1. Robustness Analysis: Alternative Measures of Investment; 5.1.2. Robustness Analysis: Alternative Measures of Product Market Threat
In: Advances in pacific basin business economics and finance volume 6
In: Advances in Pacific Basin business, economics and finance 5
The 2017 APBBEF volume includes studies on financial regulations on financial institutions, research on financial markets, and issues on employment and income inequality. Regulations on insurance contracts and derivatives, bank capital standards and subordinated debt prices, and bank's credit allocation during the financial crises are of great concern to policy makers. On the financial markets, this volume covers stock market activities and their relationship with industrial production growth and housing prices, a further equity premium puzzle, and accounting fraud and audit fees in China. This volume also includes the employment assimilation of marriage and human capital investment inequality and the rural-urban income gap in the Asia-Pacific region. Contributors to this volume include Edward J. Kane (Boston College), J. Huston McCulloch (Ohio State University), Cheng-Few Lee (Rutgers University), Thomas C. Chiang (Drexel University), Chiung-Min Tsai (Central Bank of the Republic of China), Wei-Chiao Huang (Western Michigan University), Hwei-Lin Chuang (National Tsing Hua University), Jingjing Yang (Guangdong University of Foreign Studies), Sayyed Mahdi Ziaei (Xiamen University Malaysia), Ghulam Ali Bhatti (University of Gujrat), and Min-Teh Yu (China University of Technology).
In: Journal of Accounting, Auditing & Finance, 2023
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In: Journal of Real Estate Finance and Economics, Band 54, Heft 4
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In: Journal of Financial Services Research, Band 54
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In: Emerging markets, finance and trade: EMFT, Band 49, Heft sup3, S. 20-34
ISSN: 1558-0938
In: The Geneva papers on risk and insurance theory, Band 23, Heft 2, S. 139-149
ISSN: 1573-6954