International Journal of Managerial Finance
Issue(s) available: 89 – From Volume: 1 Issue: 1, to Volume: 21 Issue: 1
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Cost stickiness and managerial resilience within organizations: evidence from China
Min Bai, Dong Zhang, Fangying Dong, Yafeng QinThe concept of cost stickiness has emerged as a crucial factor affecting organizational resilience. While prior literature has mainly focused on the short-term performance…
Do firms respond to foreign competitive threats with herding or dispersion?
Jonathan BittingThe purpose of this study is to examine firms' response to product market threats from foreign competitors, specifically whether they pursue a strategy of dispersion or herding…
How do foreign and domestic institutional investors drive the market value? The influence of family ownership
Brahmadev Panda, Sasikanta Tripathy, Aviral Kumar Tiwari, Larisa YarovayaThis paper aims to investigate and compare the impact of foreign and domestic institutional investors on the market value of family and non-family companies. Subsequently, it…
Employee disputes and innovation performance: evidence from the pharmaceutical industry
Blake Rayfield, Omer UnsalThis study aims to explore the impact of employee litigation on the innovation output of firms, specifically within the pharmaceutical sector, by examining the relationship…
Assessing firm-level climate risk disclosure and shareholder value in EU: insights from the Paris Agreement
Konpanas Dumrongwong, Suwongrat PapangkornThis research uses a firm’s disclosure of climate risk index derived from deep learning analysis of earnings conference calls to investigate how these disclosures affect market…
CEO power and financial statement comparability
Hoa Luong, Abeyratna Gunasekarage, Pallab Kumar BiswasThis paper investigates the influence of CEO power on financial statement comparability using a multidimensional CEO power index and a comprehensive measure of financial statement…
Effects of sectoral and aggregate uncertainty on corporate debt structure
Ujjawal Sawarn, Pradyumna DashThis paper investigates the differential and interactive effects of sectoral and aggregate uncertainty on the corporate debt structure of credit-constrained and…
Rational expectations tests on financial analysts’ cash flow forecasts
Ting He, Kenneth ZhengThis study investigates whether financial analysts process information efficiently when they make cash flow forecasts.
The curious case of one-dollar CEO salaries: evidence from market reaction to salary decision announcements
Anna Danielova, Wei-Ju LiaoThis study investigates the motivations for and compensation structure changes behind $1 CEO salary decisions.
The moderating role of firms’ litigation environment on the association between gender diversity and financial reporting quality
Eric Owusu Boahen, Emmanuel Constantine MamatzakisThis paper examines the moderating role of firms’ litigation environment on the association between gender diversity and financial reporting quality.
Agency conflicts, product market competition and investment efficiency: new evidence from emerging market
Akash Singh Yadav, Inder Sekhar YadavThis study examines the influence of product market competition on investment inefficiency of Indian firms in context of agency problems. Additionally, this study also…
Managerial interlocking networks and firm risk spillover: evidence from China
Lin Chen, Ruiyang Niu, Yajie Yang, Longfeng Zhao, Guanghua Xie, Inayat KhanThis paper examines the effect of managerial interlocking networks (MINs) on firm risk spillover by using a sample of Chinese A-share listed firms.
Debt maturity and climate change exposure: does life cycle moderate?
Joseph ArthurIn this study, I explore how climate exposure influences debt maturity and whether the life cycle moderates this relationship.
Do US cross-listings, IFRS adoption and domestic investor protection impact earnings management?
Solomon Opare, Md Safiullah, Muhammad Houqe, Tony van ZijlThis paper investigates the impact of International Financial Reporting Standards (IFRS) adoption and domestic investor protection on the relationship between United States (US…
Does corporate sustainability performance matter for cash holdings? International evidence
Ly Ho, Yue LuWe examine the impact of corporate sustainability performance (CSP) on corporate cash holdings, focusing on the moderating impacts of industry’s concentration, financial…
Navigating the nexus of political risk, information asymmetry and liquidity: evidence from non-US stocks on the NYSE
Jang-Chul Kim, Qing Su, Teressa ElliottThis study aims to investigate the relationship among liquidity, information asymmetry and political risk for non-US stocks listed on the NYSE. Additionally, the study aims to…
CEO compensation and bank’s performance following bank-rescue
Rukaiyat Adebusola Yusuf, Mamiza HaqThis paper examines the effect of restrictions on executive pay and high CEOs’ compensation on bank performance following the “2008 UK bank rescue policy”.
Examining the Indonesian dual banking system: an exploration of market discipline indicators
Nurhastuti Kesumo Wardhani, Robert Faff, Lewis Liu, Zairihan Abdul HalimThis research aims to investigate the disciplinary functions of depositors and subordinated debt holders within Indonesia's dual banking system, examining the impact of regulatory…
ISSN:
1743-9132e-ISSN:
1758-6569ISSN-L:
1743-9132Online date, start – end:
2005Copyright Holder:
Emerald Publishing LimitedOpen Access:
hybridEditor:
- Dr Alfred Yawson