Issue Information

DOIhttp://doi.org/10.1002/ijfe.1815
Date01 January 2021
Published date01 January 2021
Volume 26, Number 1 International Journal of Finance & Economics January 2021
ISSN 1076–9307
26(1) 1–1636 (2021)
View this journal online at wileyonlinelibrary.com
wileyonlinelibrary.com/journal/ijfe
6 A Note to our Readership and the Wider Research Community from the
IJFE
Editor Concerning
an Instance of Plagiarism by Abdelkader Derbali and Ali Lamouchi
The Editor
7 The triple (T3) dimension of systemic risk: Identifying systemically important banks
M. Foglia and E. Angelini
27 Can sustainable withdrawal rates be enhanced by trend following?
A. D. Clare, J. Seaton, P. N. Smith and S. H. Thomas
42 Financial inclusion and human development in frontier countries
J. O.-M. Ababio, E. Attah-Botchwey, E. Osei-Assibey and C. Barnor
60 Credit information sharing and the shift in bank lending towards households
B. Bahadir and N. Valev
73 Promoting financial literacy through a digital platform: A pilot study in Luxembourg
J. Li and A. Meyer-Cirkel
88 Executive compensation and firm performance: Evidence from cross-listed AH-share firms
X. Cui, L. Xu, H. Zhang and Y. Zhang
103 Determinants of financial crises—An early warning system based on panel logit regression
M. Jemovic´ and S. Marinkovic´
118 Does volume really matter? A risk management perspective using cross-country evidence
S. Patra and M. Bhattacharyya
136 Central bank’s money market operations and daily stock returns
R. Chundakkadan and S. Sasidharan
153 Dynamic return and volatility spillovers among S&P 500, crude oil, and gold
M. Balcilar, Z. A. Ozdemir and H. Ozdemir
171 Nonlinear adjustment of exchange rate and exchange rate policy: Lessons from Singapore
F. Yan and S. L. Yip
185 Read between the lines: Board gender diversity, family ownership, and risk-taking in Indian
high-tech firms
A. Saeed, S. S. Mukarram and Y. Belghitar
208 On the impact of exchange rate uncertainty on private investment in Ghana
E. K. Mensah, L. A. Asamoah and J. W. Ahiadorme
218 Testing and comparing conditional risk-return relationship with a new approach in the
cross-sectional framework
P. Messis, A. Alexandridis and A. Zapranis
241 Inflation-growth nexus in developing economies: New empirical evidence from a disaggregated
approach
M. Ayyoub and J. Wörz
258 Managerial entrenchment, financial constraints, and investment choice in unlisted firms
D. Ranasinghe
271 Sources of the small firm financing premium: Evidence from euro area banks
S. Holton and F. McCann
290 The impact of institutional investors on firms’ performance in the context of financialization
C. Alexiou, A. Mohamed and J. Nellis
310 Regime switches and permanent changes in impacts of housing risk factors on MSA-level
housing returns
M. Huang
343 A semianalytical formula for European options under a hybrid Heston–Cox–Ingersoll–Ross
model with regime switching
X.-J. He and W. Chen
Contents
Volume 26 Number 1 January 2021
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