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Journal Articles
Studies in Economics and Finance (2026) 43 (3): 608–632.
Published: 23 April 2025
... Risk Firm performance Sustainability G31 G32 L25 Our findings reveal that green bonds significantly and negatively affect a firm’s cost of capital, reducing the cost of debt, equity, and associated tax costs. Additionally, firms issuing green bonds exhibit lower risk, as evidenced...
Journal Articles
Journal Articles
Studies in Economics and Finance (2022) 39 (5): 754–771.
Published: 24 January 2022
... finances future growth options. Mona Yaghoubi can be contacted at: mona.yaghoubi@canterbury.ac.nz 25 02 2021 18 07 2021 08 10 2021 11 12 2021 16 12 2021 G31 G32 In corporate finance studies, a firm’s ultimate goal is to maximize its shareholders’ wealth...
Journal Articles
Studies in Economics and Finance (2021) 38 (3): 525–528.
Published: 27 July 2021
...Wing-Keung Wong Wing-Keung Wong can be contacted at: wong@asia.edu.tw © Emerald Publishing Limited 2021 Emerald Publishing Limited Licensed re-use rights only --> A10 G00 G31 O32 Both Behavioral Economics and Behavioral Finance are the milestones of modern...
Journal Articles
Studies in Economics and Finance (2021) 38 (4): 836–860.
Published: 13 May 2021
... banking Global systemically important banks (GSIBs) Distance to default (DD) Distance to insolvency (DI) Distance to capital (DC) Logistic regression model G1 G14 G17 G21 G31 DD is a structural risk model, which characterizes the default risk of a financial organization (Saldías, 2013...
Journal Articles
Studies in Economics and Finance (2020) 37 (4): 625–672.
Published: 19 June 2020
... Behavioral economics Theoretical models Econometric and statistical models A10 G00 G31 O32 It is important to develop theoretical models on behavioral economics and behavioral finance. In this section, we will give some literature reviews on the theories of behavioral economics, behavioral...
Journal Articles
Studies in Economics and Finance (2018) 35 (2): 244–272.
Published: 14 June 2018
... is: Valuation Growth options Growth opportunities IPO pricing Terminal value G12 G31 Two-stage valuation models are often used to estimate the value of a company. The first stage is called the explicit forecast period. The second stage is called the continuing value period. The continuing...
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