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Keywords: G32
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Journal Articles
The impact of artificial intelligence technology on emissions caused by non-renewable energy
Available to Purchase
Journal:
China Finance Review International
China Finance Review International 1–29.
Published: 03 February 2026
... at: kcho731101@163.com 18 10 2024 22 06 2025 22 12 2025 © Emerald Publishing Limited 2025 Emerald Publishing Limited Licensed re-use rights only Artificial intelligence Patent citation Emission abatement Resource dependence theory G11 G32 N72 National Social...
Journal Articles
ESG performance, bank lending, and the COVID-19 pandemic: international evidence
Available to Purchase
Journal:
China Finance Review International
China Finance Review International (2026) 16 (1): 284–326.
Published: 27 January 2026
... in this manuscript. 21 03 2025 02 09 2025 03 11 2025 25 12 2025 © Emerald Publishing Limited 2026 Emerald Publishing Limited Licensed re-use rights only ESG Bank lending COVID-19 Loan growth Societal trust Bank capital G21 G32 Q56 Funding...
Journal Articles
Journal:
China Finance Review International
China Finance Review International 1–21.
Published: 25 September 2025
...-use rights only Bank Solvency risk Risk management BASEL accord Board cooption G21 G32 The high propensity for non-risk-averse decisions among corporate and banking executives has faced criticism as a primary contributor to the financial crisis of 2008. Given the adverse...
Journal Articles
The impact of network infrastructure on firm resilience: evidence from a quasi-natural experiment from the “Broadband China” strategy
Available to Purchase
Journal:
China Finance Review International
China Finance Review International (2025)
Published: 17 June 2025
...-use rights only Network infrastructure Firm resilience “Broadband China” strategy Multi-period DID G18 G28 G32 The global landscape in today’s world is growing more intricate, with unexpected events like the COVID-19 pandemic, conflicts between Russia and Ukraine, and Iraq...
Journal Articles
Identification of high-frequency volatility and risk prevention in cryptocurrencies
Available to Purchase
Journal:
China Finance Review International
China Finance Review International (2025)
Published: 10 June 2025
... Continuous risk Trend risk Cyclical risk G32 C58 E44 In recent years, the cryptocurrency market has experienced rapid growth, with its extreme volatility attracting significant attention from both academia and the financial industry. As an emerging asset class, the market structure, price...
Journal Articles
Hybrid securities and firm performance: evidence from Korean small and medium-sized firms
Available to Purchase
Journal:
China Finance Review International
China Finance Review International (2025) 15 (4): 737–767.
Published: 07 May 2025
... performance G12 G14 G32 L25 Following Green (1984) , a substantial literature has extensively examined the short-run market reactions to announcements of hybrid securities issuance. Empirical studies have reported mixed evidence, documenting both positive and negative stock price responses...
Journal Articles
Can FinTech alleviate the long-term use of short-term debts? Evidence from China
Available to Purchase
Journal:
China Finance Review International
China Finance Review International (2024)
Published: 30 December 2024
... G20 G32 O16 The high-quality development of enterprises is a major driving force for high-quality economic development. Financial development is a core factor for this development. In recent years, FinTech has created the necessary conditions for this development through technology...
Journal Articles
Climate change sentiment, ESG practices and firm value: international insights
Available to Purchase
Journal:
China Finance Review International
China Finance Review International (2025) 15 (3): 608–635.
Published: 06 December 2024
... Climate change sentiments Firm value ESG practices Q54 Q56 G32 M14 Climate change constitutes a major source of risk, which has been affecting various aspects of human existence and posing a substantial threat to businesses and the global economy (World Economic Forum, 2019...
Journal Articles
Financial stability at risk: evidence from market overreaction and herding behaviour in developed and emerging markets
Available to Purchase
Journal:
China Finance Review International
China Finance Review International (2025) 15 (1): 67–92.
Published: 15 November 2024
... BRICS markets G15 G18 G41 G32 Financial markets are the backbone of global economic activity and serve as essential channels for resource allocation, risk-sharing, and economic growth. However, the complexity and volatility inherent in these markets often undermine their stability...
Journal Articles
A robust financing theory of ICOs under demand uncertainty of products of token platforms
Available to Purchase
Journal:
China Finance Review International
China Finance Review International (2024) 14 (3): 549–594.
Published: 01 October 2024
... Limited 2024 Emerald Publishing Limited Licensed re-use rights only Initial coin offerings Robustness Moral hazard Ambiguity aversion Blockchain platform Tokenization G12 G32 G24 The past decades have witnessed the remarkable rise of Initial Coin Offerings (ICOs...
Journal Articles
Institutional ownership and cost of equity of Chinese firms
Available to Purchase
Journal:
China Finance Review International
China Finance Review International (2026) 16 (1): 97–124.
Published: 29 July 2024
... 22 04 2024 13 06 2024 25 06 2024 © Emerald Publishing Limited 2024 Emerald Publishing Limited Licensed re-use rights only Institutional investors Cost of equity Corporate social responsibility Innovation State-owned enterprises G12 G32 G34 Using...
Journal Articles
Determinants for the desirability of public-private partnership mode in infrastructure development
Available to Purchase
Journal:
China Finance Review International
China Finance Review International (2026) 16 (1): 232–253.
Published: 19 July 2024
... Limited Licensed re-use rights only Public-private partnership Execution Termination Ownership structure China H54 G32 L32 Over the last decades, governments of countries in Europe, North America, Africa and Asia have initiated a large number of public-private partnerships, i.e...
Includes: Supplementary data
Journal Articles
Risk-taking by banks: evidence from European Union countries
Available to Purchase
Journal:
China Finance Review International
China Finance Review International (2023) 13 (4): 537–567.
Published: 14 August 2023
... be contacted at: mtgarcia@iseg.ulisboa.pt 02 12 2022 21 04 2023 30 06 2023 14 07 2023 Banks Risk Corporate governance Regulation EU countries G21 G32 G34 G38 Banks play a crucial role in economic growth and are responsible for preserving financial stability...
Journal Articles
Family ownership and capital structure: evidence from ASEAN countries
Available to Purchase
Journal:
China Finance Review International
China Finance Review International (2023) 13 (2): 207–229.
Published: 06 March 2023
... ASEAN Control motives Risk aversion G32 O16 Family firms play an important role in the global economy, acting as the driving force for several countries in the world (Croci et al., 2011 ; Motylska-Kuzma, 2017). Previous literature (i.e. Gomez-Mejia et al., 2007...
Journal Articles
Firms' financial structure with contingent convertible debt, risky debt and multiple growth options
Available to Purchase
Journal:
China Finance Review International
China Finance Review International (2023) 13 (2): 230–262.
Published: 28 February 2023
... investments, our model handles investment challenges, which are partially important. Growth option Contingent convertibles bonds Credit-risk Capital structure Debt overhang G30 G32 G33 The firm begins its process with N sequentially ordered growth options. In fact, the firm's...
Journal Articles
A survey on ESG: investors, institutions and firms
Available to Purchase
Journal:
China Finance Review International
China Finance Review International (2024) 14 (1): 3–33.
Published: 06 January 2023
... Publishing Limited Licensed re-use rights only ESG CSR SRI Firm performance Firm value G11 G30 G32 Q01 Q51 Q56 Corporate Social Responsibility (CSR), Socially Responsible Investing (SRI) and Environmental, Social and Corporate Governance (ESG) are all topics that have received...
Journal Articles
The changing investor demographics of an emerging IPO market during the COVID-19 pandemic
Available to Purchase
Journal:
China Finance Review International
China Finance Review International (2023) 13 (3): 342–361.
Published: 01 November 2022
... offerings Allocation Retail investors Institutional investors Pandemic Underpricing G14 G30 G32 Stock markets around the world underwent a profound demographic change during the pandemic and saw record numbers of new individual traders with the advent of convenient trading applications...
Journal Articles
Cryptocurrencies and portfolio diversification in an emerging market
Available to Purchase
Journal:
China Finance Review International
China Finance Review International (2022) 12 (1): 20–50.
Published: 11 January 2022
... Limited Licensed re-use rights only Alternative assets Cryptocurrencies Portfolio optimisation C61 G11 G32 L25 “Some succeeded, many failed dismally. All while the price of Bitcoin skyrocketed to $20,000 … then fell back down to the $3,000 in less than a year. But what does...
Journal Articles
Ownership identity and corporate donations: evidence from a natural experiment in China
Available to Purchase
Journal:
China Finance Review International
China Finance Review International (2020) 10 (2): 113–142.
Published: 18 December 2019
... Sichuan earthquake G32 G34 Companies have long been generously contributing to charities, education, research, health and political campaigns (Adams, 1998 ; Brown et al., 2006). Economics, finance and management researchers have sought to understand the motives and effects...
Journal Articles
High-order moments in stock pricing: evidence from the Chinese and US markets
Available to Purchase
Journal:
China Finance Review International
China Finance Review International (2020) 10 (3): 323–346.
Published: 26 November 2019
... C50 G11 G32 The capital asset pricing model (CAPM) developed by Treynor (1961) , Sharpe (1964) and Lintner (1965) has widely been used, but many market anomalies have not been explained to date. Such anomalies include the size effect identified by Banz (1981) ; the excessive volatility...
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