All Stories

  1. Does ESG transparency strengthen carbon risk pricing? Evidence from U.S. capital markets
  2. Fintech revolution in banking: A double-edged sword?
  3. Independence or subservience? The role of independent co-opted directors in corporate tax avoidance
  4. Digital disruption in financing: Are fintech and bigtech credit reshaping corporate access to capital?
  5. Unlocking economic insights: ESG integration, market dynamics and sustainable transitions
  6. Financial literacy and investment behavior of individuals in Pakistan: Evidence from an Environment prone to religious sentiment
  7. Fintech integration: Driving efficiency in banking institutions across the developing nations
  8. Riding the Green Wave: How Clean Energy Is Reshaping China’s Stock Market
  9. Editorial: Ripple effects of the Russia-Ukraine conflict on the global climate initiatives and sustainable development goals
  10. Does economic policy uncertainty matter for a firm's leverage and speed of adjustment?
  11. Risk co-movements and portfolio strategies between energy, gold and BRICS markets
  12. Connectedness of COVID vaccination with economic policy uncertainty, oil, bonds, and sectoral equity markets: evidence from the US
  13. Fresh evidence on connectedness between prominent markets during COVID-19 pandemic
  14. Overconfidence bias and investment performance: A mediating effect of risk propensity
  15. Global factors and the transmission between United States and emerging stock markets
  16. China’s outward FDI and environmental sustainability in belt and road countries: does the quality of institutions matter?
  17. Mental well-being during COVID-19 pandemic: the role of fear, social isolation and psychological resilience
  18. Crowdfunding in DETEs
  19. Finance and women's entrepreneurship in DETEs
  20. Time-frequency information transmission among financial markets: evidence from implied volatility
  21. Political connections and firm performance: Further evidence using a generalised quantile regression approach
  22. Asymmetric relationship between gold and Islamic stocks in bearish, normal and bullish market conditions
  23. COVID-19 pandemic, economic indicators and sectoral returns: evidence from US and China
  24. Impact of Covid-19 outbreak on psychological health–The case of Bangladesh
  25. Market Manipulation in East-Asian Markets: A Regulatory Overview
  26. Market Manipulation in East-Asian Markets: A Regulatory Overview
  27. Corporate social responsibility performance and information asymmetry: The moderating role of analyst coverage
  28. Further evidence on co-movement between equity funds and business cycle variables in BRICS: A Wavelet analysis
  29. A survey on national culture and corporate financial decisions: current status and future research
  30. Revisiting the nexus among foreign direct investment, corruption and growth in developing and developed markets
  31. Exchange rate risk and sectoral returns: A wavelet-based MRA-EDCC GARCH analysis
  32. Dynamics of Mutual Funds and Stock Markets in Asian Developing Economies
  33. Mutual fund flows and investors’ expectations in BRICS economies: Implications for international diversification
  34. The Effect of Monetary and Fiscal Policy on Bond Mutual Funds and Stock Market: An International Comparison
  35. Equity fund flows, market returns, and market risk: evidence from China
  36. Does Gold act as a Safe haven against Exchange Rate Fluctuations? The case of Pakistan Rupee
  37. Bank Competition, Financial Development and Growth of Financially Dependent Industries
  38. Efficiency, growth and market power in the banking industry: New approach to efficient structure hypothesis
  39. Mutual funds and market volatility
  40. Heuristics and stock buying decision: Evidence from Malaysian and Pakistani stock markets
  41. Mutual funds and Market performance