Advances in Pacific Basin Business, Economics and Finance
Advances in Pacific Basin Business, Economics and Finance
Lee, Dr. Cheng-Few; Yu, Dr. Min-Teh
Emerald Publishing Limited
04/2024
367
Dura
Inglês
9781837538652
15 a 20 dias
Chapter 2. Seasoning Effects in Corporate Bond Markets; Haoyu Gao, Ruixiang Jiang, Junbo Wang, and Xiaoguang Yang
Chapter 3. Evidence of Gold as a Hedge or Safe haven Against Risks and Policy Uncertainty; Thomas C. Chiang
Chapter 4. Smart Learning: Information Role of Leading Security Analysts; Chia-Wei Huang, Chih-Yen Lin, and Chin-Te Yu
Chapter 5. How Well Do Banks Manage Their Credit Risk? A DEA Approach; Ren-Raw Chen and Chu-Hua Kuei
Chapter 6. Liquidity and Other Risk Factors: Evidence from the Chinese Stock Market; Yan He, Ruixiang Jiang, Yanchu Wang, and Hongquan Zhu
Chapter 7. Optimizing Portfolios with ESG, Dividends, Volatility Factors via Machine Learning; Hsing-Hua Chang, Chen-Hsin Lai, Kuen-Liang Lin, and Shih-Kuei Lin
Chapter 8. Investor Reactions to Major Events in the Global Financial Crisis in Europe and Asia-Pacific; Emre Bulut and Basak Tanyeri-Guensuer
Chapter 9. The Impacts of Institutional Shareholdings on Stock Price Informativeness, Stock Price Crash Risk, and Post-Crash Returns; De-Wai Chou, Pi-Hsia Hung, and Lin Lin
Chapter 10. Firms, Context, and Bribery in a Transition Economy; Phan Anh Tu
Chapter 11. Does National Culture Matter for Herding Behavior among Stock Market Investors?; Kwang-Jing Yii, Zi-Han Soh, Lin-Hui Chia, Khoo Shiang-Lin Jaslyn, Lok-Yew Chong, and Zi-Chong Fu
Chapter 12. Intertemporal Decision: Do Financial Literacy and the Framing Effect Matter in the Malaysian Context?; Tze-Wei Ooi and Wee-Yeap Lau
Chapter 13. Value relevance of accounting information and the moments of bias rate: Evidence from the IT companies in FTSE Taiwan 50; Chih-Chen Hsu, Kai-Chieh Chia, and Yu- Chieh Chang
Chapter 2. Seasoning Effects in Corporate Bond Markets; Haoyu Gao, Ruixiang Jiang, Junbo Wang, and Xiaoguang Yang
Chapter 3. Evidence of Gold as a Hedge or Safe haven Against Risks and Policy Uncertainty; Thomas C. Chiang
Chapter 4. Smart Learning: Information Role of Leading Security Analysts; Chia-Wei Huang, Chih-Yen Lin, and Chin-Te Yu
Chapter 5. How Well Do Banks Manage Their Credit Risk? A DEA Approach; Ren-Raw Chen and Chu-Hua Kuei
Chapter 6. Liquidity and Other Risk Factors: Evidence from the Chinese Stock Market; Yan He, Ruixiang Jiang, Yanchu Wang, and Hongquan Zhu
Chapter 7. Optimizing Portfolios with ESG, Dividends, Volatility Factors via Machine Learning; Hsing-Hua Chang, Chen-Hsin Lai, Kuen-Liang Lin, and Shih-Kuei Lin
Chapter 8. Investor Reactions to Major Events in the Global Financial Crisis in Europe and Asia-Pacific; Emre Bulut and Basak Tanyeri-Guensuer
Chapter 9. The Impacts of Institutional Shareholdings on Stock Price Informativeness, Stock Price Crash Risk, and Post-Crash Returns; De-Wai Chou, Pi-Hsia Hung, and Lin Lin
Chapter 10. Firms, Context, and Bribery in a Transition Economy; Phan Anh Tu
Chapter 11. Does National Culture Matter for Herding Behavior among Stock Market Investors?; Kwang-Jing Yii, Zi-Han Soh, Lin-Hui Chia, Khoo Shiang-Lin Jaslyn, Lok-Yew Chong, and Zi-Chong Fu
Chapter 12. Intertemporal Decision: Do Financial Literacy and the Framing Effect Matter in the Malaysian Context?; Tze-Wei Ooi and Wee-Yeap Lau
Chapter 13. Value relevance of accounting information and the moments of bias rate: Evidence from the IT companies in FTSE Taiwan 50; Chih-Chen Hsu, Kai-Chieh Chia, and Yu- Chieh Chang