China Finance Review International
Issue(s) available: 56 – From Volume: 1 Issue: 1, to Volume: 14 Issue: 4
Volume 14
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Financial stability at risk: evidence from market overreaction and herding behaviour in developed and emerging markets
Ooi Kok LoangThis study examines the relationships between herding behaviour, market overreaction and financial stability in developed and Brazil, Russia, India and China (BRICS) markets from…
Why do Chinese corporate innovations emphasize quantity over quality? A new perspective on R&D capital market distortions
Silu Pang, Guihong Hua, Zhijun YanThis study investigates the heterogeneous impact of R&D capital market distortions (CMDs) on the quantity and quality of innovation in Chinese firms by exploring key pathways from…
Multilayer network analysis for the interconnectedness between financial sectors and new energy companies in China
Zhifeng Dai, Haoyang ZhuWe investigate the interconnectedness between the financial sectors and new energy companies in China from the perspective of the multilayer network, and analyze the static and…
Does Party organization embedding produce green governance effect?
Jianhui Mao, Bo Yu, Chao GuanExplore the impact of Party organization embedding on firm green governance.
Public attention and “Environmental Disclosure Greenwashing”: pressure from oversight or incentive from legitimacy
Yiqiang Zhou, Lianghua ChenThis study aims to investigate whether public attention influences corporate decisions on environmental disclosure, thereby revealing how society perceives and understands…
Is the Chinese stock market efficient? Evidence from a combined liquidity trading strategy
Bo YuThis study examines the stock market efficiency in China to offer trading strategy guidance to investors and efficiency evaluation insight to policymakers.
Implied volatility modeling and forecasting: evidence from China
Yuhan Jiao, Shuxin Guo, Qiang LiuTesting several approaches for implied volatility modeling and forecasting.
Who gains favor with green investors amidst climate risk?
Lingbing Feng, Dasen HuangThis study aims to investigate the impact of climate risk disclosure by listed companies on the entry of green investors. It seeks to understand how proactive climate risk…
Historical high prices and seasoned equity offerings: evidence from China
Yu Xia, Shuxin GuoWe are the first to investigate the relationship between seasoned equity offerings (SEOs) and anchoring on historical high prices in China.
Determinants for the desirability of public-private partnership mode in infrastructure development
Zhengyi ZhouThis paper studies the determinants for the desirability of the public-private partnership (PPP) mode in infrastructure development.
Internet use, household financial market participation and portfolio choice: evidence from China
Gang Peng, Xiaoxiao Peng, Li ZhuThis study aims to investigate the impact of Internet use on household financial market participation and portfolio choice.
Institutional ownership and cost of equity of Chinese firms
Min Huang, Hai Jiang, Zhiyuan Ning, Jun TuThe purpose of this paper is to investigate the role of institutional investors in the cost of equity for Chinese firms, especially state-owned enterprises (SOEs).
Exploring interconnections and risk evaluation of green equities and bonds: fresh perspectives from TVP-VAR model and wavelet-based VaR analysis
Mohamed Yousfi, Houssam BouzgarrouThis study attempts to examine the time-varying volatility spillovers between environmentally sustainable assets and quantify the value-at-risk of the portfolios across various…
Crash and jackpot probability anomalies in the Chinese stock market
Yi Fang, Hui NiuInvestigation of the anomalies associated with crashes and jackpots in the Chinese stock market.
Carbon reduction effect of digital finance in China: based on household micro data and input-output model
Yongbin Lv, Ying Jia, Chenying Sang, Xianming SunThis study investigates the causal relationship and mechanisms between the development of digital finance and household carbon emissions. Its objective is to explore how digital…
Corporate social responsibility and labor investment efficiency: evidence from China
Ting Wang, Jiangyuan WangWe expect to provide a complete theoretical framework and large sample evidence on the impact of corporate social responsibility (CSR) on the efficiency of labor investment. We…
Education and FinTech adoption: evidence from China
Qi Wang, Geng Niu, Yang Zhou, Xu GanIn this paper, we explore the role of education in household financial technology (FinTech) adoption.
Can transformers transform financial forecasting?
Hugo Gobato Souto, Amir MoradiThis study aims to critically evaluate the competitiveness of Transformer-based models in financial forecasting, specifically in the context of stock realized volatility…
Macroeconomic shocks, market uncertainty and speculative bubbles: a decomposition-based predictive model of Indian stock markets
Indranil Ghosh, Tamal Datta Chaudhuri, Sunita Sarkar, Somnath Mukhopadhyay, Anol RoyStock markets are essential for households for wealth creation and for firms for raising financial resources for capacity expansion and growth. Market participants, therefore…
Does CEA or EUA matter for major commodity markets? Fresh evidence from the analysis of information spillovers and portfolio diversification
Jiahao Zhang, Yu WeiThis study conducts a comparative analysis of the diversification effects of China's national carbon market (CEA) and the EU ETS Phase IV (EUA) within major commodity markets.
Financial mechanism for sustainability: the case of China’s green financial system and corporate green investment
Fahad Khalid, Chih-Yi Su, Kong Weiwei, Cosmina L. Voinea, Mohit SrivastavaThis study empirically evaluates the effect of China’s 2016 Green Financial System (GFS) framework on corporate green development, focusing on the role of green investment in…
Measuring systemic risk in China: a textual analysis
Wenbo Ma, Kai Li, Wei-Fong Pan, Xinjie WangThe purpose of this paper is to construct an index for systemic risk in China.
Sectoral risk contagion and quantile network connectedness on Chinese stock sectors after the COVID-19 outbreak
Yang Gao, Wanqi Zheng, Yaojun WangThis study aims to explore the risk spillover effects among different sectors of the Chinese stock market after the outbreak of COVID-19 from both Internet sentiment and price…
ISSN:
2044-1398e-ISSN:
2044-1401ISSN-L:
2044-1398Online date, start – end:
2011Copyright Holder:
Emerald Publishing LimitedOpen Access:
hybridEditors:
- Professor Chongfeng Wu
- Professor Haitao Li