Search Results - "European financial management : the journal of the European Financial Management Association"

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  1. 1

    Russia–Ukraine crisis: The effects on the European stock market by Ahmed, Shaker, Hasan, Mostafa M., Kamal, Md Rajib

    “…We examine the effect of the Russia–Ukraine crisis on the European stock markets. Because of increased political uncertainty, geographic proximity and the…”
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  2. 2

    ESG preferences, risk and return by Cornell, Bradford

    “…There are two primary factors that affect expected returns for companies with high ESG (environmental, social and governance) ratings—investor preferences and…”
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  3. 3

    Corporate Governance and Firm-specific Stock Price Crashes by Andreou, Panayiotis C., Antoniou, Constantinos, Horton, Joanne, Louca, Christodoulos

    “…We investigate whether ownership structure, accounting opacity, board structure & processes and managerial incentives attributes relate to future stock price…”
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  4. 4

    Can Internet Search Queries Help to Predict Stock Market Volatility? by Dimpfl, Thomas, Jank, Stephan

    “…We study the dynamics of stock market volatility and retail investors' attention to the stock market. The latter is measured by internet search queries related…”
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  5. 5

    Tweets and Trades: the Information Content of Stock Microblogs by Sprenger, Timm O., Tumasjan, Andranik, Sandner, Philipp G., Welpe, Isabell M.

    “…Microblogging forums (e.g., Twitter) have become a vibrant online platform for exchanging stock‐related information. Using methods from computational…”
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  6. 6

    Exchange traded funds and asset return correlations by Da, Zhi, Shive, Sophie

    “…We provide novel evidence supporting the notion that arbitrageurs can contribute to return comovement via exchange trade funds (ETF) arbitrage. Using a large…”
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  7. 7

    Corporate stakeholders, corporate valuation and ESG by Cornell, Bradford, Shapiro, Alan C.

    “…In addition to explicit contracts, corporations issue their stakeholders implicit claims, including fair treatment of employees and the promise of continuing…”
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  8. 8

    Forecasting the volatility of Bitcoin: The importance of jumps and structural breaks by Shen, Dehua, Urquhart, Andrew, Wang, Pengfei

    “…This paper studies the volatility of Bitcoin and determines the importance of jumps and structural breaks in forecasting volatility. We show the importance of…”
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  9. 9

    Big data, artificial intelligence and machine learning: A transformative symbiosis in favour of financial technology by Nguyen, Duc Khuong, Sermpinis, Georgios, Stasinakis, Charalampos

    “…This paper uses a multidimensional descriptive analysis to familiarize the reader with the extent of penetration of big data, artificial intelligence (AI) and…”
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  10. 10

    Mergers and acquisitions research in finance and accounting: Past, present, and future by Cumming, Douglas, Jindal, Varun, Kumar, Satish, Pandey, Nitesh

    “…Abstract This study presents an analysis of publication patterns and major themes in research on mergers and acquisitions in finance and accounting. We find…”
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  11. 11

    Competitive pressure and firm investment efficiency: Evidence from corporate employment decisions by Boubaker, Sabri, Dang, Viet A., Sassi, Syrine

    “…This study examines the link between product market competition and labour investment efficiency. We find that competitive pressure distorts the efficiency of…”
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  12. 12

    Do Managerial Practices Matter in Innovation and Firm Performance Relations? New Evidence from the UK by Nemlioglu, Ilayda, Mallick, Sushanta K.

    “…The innovation and firm performance relationship remains a puzzle, as all types of innovation are not equally beneficial. Besides, better‐managed firms can…”
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  13. 13

    Machine learning in finance: A topic modeling approach by Aziz, Saqib, Dowling, Michael, Hammami, Helmi, Piepenbrink, Anke

    “…We identify the core topics of research applying machine learning to finance. We use a probabilistic topic modeling approach to make sense of this diverse body…”
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  14. 14

    Seven myths of ESG by Larcker, David F., Tayan, Brian, Watts, Edward M.

    “…Environmental, social and governance (ESG) considerations have dominated the discussion of corporate purpose in recent years. We examine commonly accepted…”
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  15. 15

    The Economic Value of Corporate Eco-Efficiency by Guenster, Nadja, Bauer, Rob, Derwall, Jeroen, Koedijk, Kees

    “…This study adds new insights to the long‐running corporate environmental‐financial performance debate by focusing on the concept of eco‐efficiency. Using a new…”
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  16. 16

    ESG disclosure, CEO power and incentives and corporate risk‐taking by Menla Ali, Faek, Wu, Yuanyuan, Zhang, Xiaoxiang

    “…This paper investigates the impact of environmental, social and governance (ESG) disclosure on corporate risk‐taking and how this impact is further affected by…”
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  17. 17

    Confucianism, openness to the West, and corporate investment efficiency by Chen, Lei, Jin, Zhi, Ma, Yongqiang, Xu, Hui

    “…This study presents robust findings that Confucianism significantly improves investment efficiency of Chinese listed firms and that the improvement is achieved…”
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  18. 18

    The face of risk: CEO facial masculinity and firm risk by Kamiya, Shinichi, Kim, Y. Han (Andy), Park, Soohyun

    “…We examine whether a male CEO's facial masculinity, measured by facial width‐to‐height ratio (fWHR), predicts the riskiness of his firm. Using the face…”
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  19. 19

    The Investment CAPM by Zhang, Lu

    “…A new class of Capital Asset Pricing Models (CAPM) arises from the first principle of real investment for individual firms. Conceptually as ‘causal’ as the…”
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  20. 20

    Corporate debt maturity and stock price crash risk by Dang, Viet Anh, Lee, Edward, Liu, Yangke, Zeng, Cheng

    “…We find that firms with a larger proportion of short‐term debt have lower future stock price crash risk, consistent with short‐term debt lenders playing an…”
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