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Keywords: G01
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Journal Articles
The mediating role of capital on deposit insurance and financial stability: evidence from Islamic and conventional banks
Available to Purchase
Journal:
Managerial Finance
Managerial Finance (2024) 50 (6): 1120–1138.
Published: 11 January 2024
... Financial stability Crises Islamic banks Bank capital G01 G21 G28 P5 Since the 2007–2009 financial crisis, deposit insurance has gained importance, as it provides liquidity during stressful situations (Anginer et al., 2014). This crisis is considered as the most significant...
Journal Articles
Revisiting the impact of geopolitical risk on Sukuk, stocks, oil and gold markets during the crises period: fresh evidence from wavelet-based approach
Available to Purchase
Journal:
Managerial Finance
Managerial Finance (2024) 50 (3): 514–533.
Published: 22 September 2023
... Islamic Composite Crude oil (BRENT) and gold index C36 C51 G01 G11 The world economy is going through a massive transformation as it has recently witnessed three major financial shocks: COVID-19 pandemic, Russian invasion of Ukraine and oil price slump. The combination of these economic...
Journal Articles
Bank competition, regulatory capital, and risk taking: international evidence
Available to Purchase
Journal:
Managerial Finance
Managerial Finance (2023) 49 (10): 1614–1640.
Published: 01 May 2023
..., South Africa, Tunisia and Angola faced the greatest challenges, while those in Egypt, Mauritius, Morocco and Kenya were expected to be more resilient [7] . Bank competition Regulatory capital adequacy Risk taking Default Financial stability Africa G01 G21 G32 M41 Financial...
Journal Articles
Investor attention and reaction in COVID-19 crisis: sentiment analysis in the Indian stock market
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Journal:
Managerial Finance
Managerial Finance (2023) 49 (3): 470–491.
Published: 20 September 2022
.... The ARCH-LM test suggests that all the data are not heteroscedasticity at lag 1. The number of firms per sector in panel C is presented in Parenthesis COVID-19 Sentiment Investor attention Expected return Indian stock market G01 G14 G41 The information attention hypothesis...
Journal Articles
Financial literacy in for-profit vs pro-social peer-to-peer lending
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Journal:
Managerial Finance
Managerial Finance (2023) 49 (2): 315–337.
Published: 13 September 2022
... at: laura.gonzalezalana@csulb.edu 14 07 2021 07 11 2021 05 08 2022 08 08 2022 © Emerald Publishing Limited 2022 Emerald Publishing Limited Licensed re-use rights only G01 G20 G41 Elsinger et al. (2018) note that fintech, the digitalization in the financial...
Journal Articles
The impact of debt, taxation and financial crisis on earnings management: the case of Greece
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Journal:
Managerial Finance
Managerial Finance (2023) 49 (1): 110–134.
Published: 11 August 2022
... earnings management Discretionary accruals Leverage Taxation Fiscal debt Greece C12 G01 G32 M41 The impact of earnings management practices on financial reports is well-established in the economic literature (Kothari et al., 2005 ; RoyChowdhury, 2006 ; Cohen et al...
Journal Articles
Firm, institutional and short sellers’ trading behavior around share repurchases
Available to Purchase
Journal:
Managerial Finance
Managerial Finance (2022) 48 (2): 201–221.
Published: 03 November 2021
...., 2016) and (3) provide price support for their overvalued stock (Liu and Swanson, 2016). G01 G12 G14 G34 G35 Share repurchases Short selling Institutional investors Informed investors The remainder of this study is structured as follows. Section 2 discusses the related...
Journal Articles
Leverage and performance: do size and crisis matter?
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Journal:
Managerial Finance
Managerial Finance (2021) 47 (5): 635–655.
Published: 11 November 2020
... an exogenous determinant of firm performance. Over the last three decades, India has seen continuously rapid economic growth, although the financial sector is dominated by a large but inefficient banking sector (Allen et al., 2012). Leverage Firm performance Financial crisis India G01...
Journal Articles
International risk spillover in sovereign credit markets: an empirical analysis
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Journal:
Managerial Finance
Managerial Finance (2019) 45 (8): 1020–1040.
Published: 15 August 2019
... previously tackled the cross-country contagion phenomenon in the CDS markets, and this manuscript builds on the prior study to enhance the obtained results. Contagion Dynamic conditional correlation Bayesian cointegrated VAR Risk spillover Sovereign CDS and bond markets G01 G15 F30...
Journal Articles
How to explain the liquidity risk by the dynamics of discretionary loan loss provisions and non-performing loans? The impact of the global crisis
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Journal:
Managerial Finance
Managerial Finance (2019) 45 (2): 244–262.
Published: 25 January 2019
... be contacted at: youssef.riahi@isg.rnu.tn 20 12 2017 10 05 2018 14 05 2018 © Emerald Publishing Limited 2019 Emerald Publishing Limited Licensed re-use rights only Financial risk Emerging markets Banks C23 G01 G23 A strong banking system is essential...
Journal Articles
Stock price crash risk and unexpected earnings thresholds
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Journal:
Managerial Finance
Managerial Finance (2018) 44 (8): 1012–1030.
Published: 30 July 2018
...’ earnings forecast is at the top of the earnings benchmark hierarchy. © Emerald Publishing Limited 2018 Emerald Publishing Limited Licensed re-use rights only Earnings thresholds Analyst forecast Stock price crash risk G01 G24 Regardless of the impacts of earnings management...
