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Original Artikel |
Datum |
Titel |
Autoren Alle Autoren |
1 |
[GO] |
2024―Dez―29 |
How does managerial perception of uncertainty affect corporate investment during the COVID-19 pandemic: A text mining approach |
Ying Chen, Yosuke Kimura, Kotaro Inoue |
2 |
[GO] |
2024―Dez―12 |
COVID-19 and investors' trading behavior: Evidence from the New Zealand equity market |
Finn West Wilkinson, Marinela Adriana Finta, Olena Onishchenko |
3 |
[GO] |
2024―Sep―27 |
Using machine learning to investigate the determinants of loan default in P2P lending: Are there differences between before and during COVID-19? |
Qi Xu, Caixia Liu, Jing Luo, Feng Liu |
4 |
[GO] |
2024―Sep―07 |
The impact of COVID-19 on global investor attention |
Zih-Ying Lin, Jia-Wen Lu |
5 |
[GO] |
2024―Aug―19 |
Bank Credit to SMEs in Japan: Evidence from Normal Times, the Global Financial Crisis, and the COVID-19 Crisis |
Daisuke Tsuruta |
6 |
[GO] |
2024―Jul―03 |
Banks can help? Evidence in the speed of lending for COVID-19 personal relief loans and financial inclusion |
Ming-Hsin Kung, Chuang-Chang Chang, Yu-Jen Hsiao, Wen-Chi Lo, Bi-Juan Chang |
7 |
[GO] |
2024―Apr―01 |
Retirement savings behaviours and COVID-19: Evidence from Thailand |
Suntharee Lhaopadchan, Paul Gerrans, Sirimon Treepongkaruna |
8 |
[GO] |
2024―Jan―24 |
Private efforts, public test policy and insurance against pandemic health risks |
Jimin Hong, Kyungsun Kim, S. Hun Seog |
9 |
[GO] |
2024―Jan―21 |
Does the risk spillover in global financial markets intensify during major public health emergencies? Evidence from the COVID-19 crisis |
Yifan Wang, Xiqi You, Yanhang Zhang, Hanfang Yang |
10 |
[GO] |
2024―Jan―11 |
Analysis of tail risk contagion among industry sectors in the Chinese stock market during the COVID-19 pandemic |
JunFeng Wu, Chao Zhang, Yun Chen |
11 |
[GO] |
2023―Dez―14 |
Demystifying COVID-19 policy actions: The case of inflation control in ASEAN |
Syed Aun R. Rizvi, Susan S. Sharma, Solikin M. Juhro |
12 |
[GO] |
2023―Dez―13 |
Digital finance and wealth inequality: Evidence from a big tech platform in China during the COVID-19 pandemic |
Yan Shen, Ang Sun, Zikun Zhou, Dun Jia |
13 |
[GO] |
2023―Sep―20 |
The value of communication during pandemics |
Qingfu Liu, Chen Shi, Yiuman Tse, Chuanjie Wang |
14 |
[GO] |
2023―Aug―18 |
How does the COVID-19 pandemic change the disposition effect in fund investors? |
Xuejun Jin, Hongze Li, Bin Yu, Yijing Zheng |
15 |
[GO] |
2023―Jun―12 |
Public ownership and local bank lending at the time of the Covid-19 pandemic: Evidence from Indonesia |
Akhmad Akbar Susamto, Danes Quirira Octavio, Tastaftiyan Risfandy, Dyah Titis Kusuma Wardani |
16 |
[GO] |
2023―Apr―25 |
Corporate ESG and resilience of stock prices in the context of the COVID-19 pandemic in China |
Nana Xu, Jiaqi Chen, Fangzhao Zhou, Qing Dong, Zhifang He |
17 |
[GO] |
2023―Apr―23 |
The impact of COVID-19 on the crash risk of registered new shares in China |
Jiangjiao Duan, Jingjing Lin |
18 |
[GO] |
2023―Apr―15 |
Operating performance during the COVID-19 pandemic: Is there a business group advantage? |
Pradip Banerjee, Sandip Dhole, Sagarika Mishra |
19 |
[GO] |
2023―Mrz―15 |
COVID-19 vaccinations and risk spillovers: Evidence from Asia-Pacific stock markets |
Yanshuang Li, Yujie Shi, Yongdong Shi, Shangkun Yi, Weiping Zhang |
20 |
[GO] |
2023―Mrz―15 |
Bank funding costs during the COVID-19 pandemic: Evidence from China |
Haoyu Gao, Jinxuan Li, Huiyu Wen |
21 |
[GO] |
2023―Mrz―14 |
Spillovers between positively and negatively affected service sectors from the COVID-19 health crisis: Implications for portfolio management |
Nassar S. Al-Nassar, Imran Yousaf, Beljid Makram |
22 |
[GO] |
2023―Mrz―08 |
Were CEO pay cuts during the COVID-19 pandemic merely symbolic? Shareholders' reaction and outrage |
Anna Bedford, Martin Bugeja, Samir Ghannam, Davina Jeganathan, Nelson Ma |
23 |
[GO] |
2022―Dez―25 |
Influence of institutional differences on trade credit use during pandemics |
Cheng Zhang, Yunchi Lee, Kung-Cheng Ho, Xixi Shen |
24 |
[GO] |
2022―Nov―03 |
Conventional monetary policy, COVID-19, and stock markets in emerging economies |
Bernard Njindan Iyke, M.M.J.D. Maheepala |
25 |
[GO] |
2022―Sep―26 |
How did the oil price affect Japanese yen and other currencies? Fresh insights from the COVID-19 pandemic |
Kaifeng Li, Neluka Devpura, Sijia Cheng |
26 |
[GO] |
2022―Sep―15 |
Connectedness between the COVID-19 related media coverage and Islamic equities: The role of economic policy uncertainty |
Zaghum Umar, Khaled Mokni, Ana Escribano |
27 |
[GO] |
2022―Jul―20 |
How resilient are Islamic financial markets during the COVID-19 pandemic? |
Md. Bokhtiar Hasan, Md. Mamunur Rashid, Muhammad Shafiullah, Tapan Sarker |
28 |
[GO] |
2022―Jul―17 |
Does COVID-19 matter for systemic financial risks? Evidence from China's financial and real estate sectors |
Huang Wenli, Lan Cheng, Zhang Zhaonan, Zeng Haijian |
29 |
[GO] |
2022―Jul―14 |
COVID-19 and policy responses: Early evidence in banks and FinTech stocks |
Jakhongir Kakhkharov, Robert J. Bianchi |
30 |
[GO] |
2022―Jun―15 |
The value of CSR during the COVID-19 crisis: Evidence from Chinese firms |
Yuyang Yi, Zongyi Zhang, Cheng Xiang |
31 |
[GO] |
2022―Jun―02 |
Corporate resilience to the COVID-19 pandemic: The role of digital finance |
Yanchun Xia, Zhilin Qiao, Guanghua Xie |
32 |
[GO] |
2022―Mai―11 |
Are Islamic banks more resilient to the crisis vis-à-vis conventional banks? Evidence from the COVID-19 shock using stock market data |
Badar Nadeem Ashraf, Mosab I. Tabash, M. Kabir Hassan |
33 |
[GO] |
2022―Mai―06 |
Investor's herding behavior in Asian equity markets during COVID-19 period |
Rui Jiang, Conghua Wen, Ruonan Zhang, Yu Cui |
34 |
[GO] |
2022―Apr―27 |
Search for safe havens and resilience to global financial volatility: Response of GCC equity indexes to GFC and Covid-19 |
M. Kabir Hassan, Muhammad Kamran, Hadrian Geri Djajadikerta, Tonmoy Choudhury |
35 |
[GO] |
2022―Apr―23 |
Do volatility spillover and hedging among GCC stock markets and global factors vary from normal to turbulent periods? Evidence from the global financial crisis and Covid-19 pandemic crisis |
Imran Yousaf, Makram Beljid, Anis Chaibi, Ahmed A.L. Ajlouni |
36 |
[GO] |
2022―Apr―21 |
Islamic equity investments and the COVID-19 pandemic |
Dawood Ashraf, Muhammad Suhail Rizwan, Ghufran Ahmad |
37 |
[GO] |
2022―Mrz―11 |
Corporate policies and outcomes during the COVID-19 crisis: Does managerial ability matter? |
Khalil Jebran, Shihua Chen |
38 |
[GO] |
2022―Feb―27 |
Outbreak risk, managerial distraction, and corporate information disclosure: Evidence from the COVID-19 pandemic |
Wang Brian Yutao, Xu Ruiyao, Zhang Jing, Wang Juxian |
39 |
[GO] |
2021―Dez―29 |
Spillovers between the Islamic gold-backed cryptocurrencies and equity markets during the COVID-19: A sectorial analysis |
Imran Yousaf, Larisa Yarovaya |
40 |
[GO] |
2021―Nov―30 |
Small business owners’ Fintech credit in crises: Theory and evidence from farmers under the COVID-19 |
Yun Liu, Yun Zhang, Yifei Zhang, He Xiao |
41 |
[GO] |
2021―Nov―18 |
The impact of COVID-19 pandemic on the volatility connectedness network of global stock market |
Tingting Cheng, Junli Liu, Wenying Yao, Albert Bo Zhao |
42 |
[GO] |
2021―Sep―21 |
How resilient are the Asia Pacific financial markets against a global pandemic? |
Md Lutfur Rahman, Mohammed Abdullah Al Mamun |
43 |
[GO] |
2021―Aug―17 |
Does investor attention increase stock market volatility during the COVID-19 pandemic? |
Hua Wang, Liao Xu, Susan Sunila Sharma |
44 |
[GO] |
2021―Jul―21 |
The way back home: Trading behaviours of foreign institutional investors in China amid the COVID-19 pandemic |
Jinhua Zhang, Rui Mao, Jieyu Wang, Mengying Xing |
45 |
[GO] |
2021―Jun―30 |
Stock market reactions to the COVID-19 pandemic: The moderating role of corporate big data strategies based on Word2Vec |
Fujing Xue, Xiaoyu Li, Ting Zhang, Nan Hu |
46 |
[GO] |
2021―Jun―18 |
Economic policy uncertainty, COVID-19 lockdown, and firm-level volatility: Evidence from China |
Jianlei Yang, Chunpeng Yang |
47 |
[GO] |
2021―Mai―04 |
Faith-based investments and the Covid-19 pandemic: Analyzing equity volatility and media coverage time-frequency relations |
Zaghum Umar, Mariya Gubareva |
48 |
[GO] |
2021―Apr―27 |
Return and volatility transmission between emerging markets and US debt throughout the pandemic crisis |
Zaghum Umar, Youssef Manel, Yasir Riaz, Mariya Gubareva |
49 |
[GO] |
2021―Mrz―27 |
The influence of the SARS pandemic on asset prices |
Pengcheng Song, Xinxin Ma, Xuan Zhang, Qin Zhao |
50 |
[GO] |
2021―Feb―24 |
Effect of coronavirus fear on the performance of Australian stock returns: Evidence from an event study |
Dharmendra Naidu, Kumari Ranjeeni |
51 |
[GO] |
2020―Nov―12 |
Coronavirus (Covid-19) outbreak, investor sentiment, and medical portfolio: Evidence from China, Hong Kong, Korea, Japan, and U.S |
Yunpeng Sun, Qun Bao, Zhou Lu |