Search

Showing total 72 results

Search Constraints

Start Over You searched for: Journal managerial finance Remove constraint Journal: managerial finance Region india Remove constraint Region: india Publisher emerald publishing limited Remove constraint Publisher: emerald publishing limited
72 results

Search Results

1. Algorithms for better decision-making: a qualitative study exploring the landscape of robo-advisors in India.

2. Impact of gender diversity on firm performance: empirical evidence from India.

3. Role of corporate governance in asset quality of banks: comparison between government-owned and private banks.

4. Consumption and voluntary savings response to service tax.

5. Dividend policy and corporate life cycle: a study of Indian companies.

6. Debt covenants and classification shifting: moderating role of audit quality.

7. An empirical analysis on household financial vulnerability in India: exploring the role of financial knowledge, impulsivity and money management skills.

8. Choice between rights issue and private placements of equity and the role of information asymmetry.

9. Bank competition in India: revisiting the application of Panzar–Rosse model.

10. Does promoters' ownership reduce the firm's financial distress? Evidence from non-financial firms listed in India.

11. Betas in the time of corona: a conditional CAPM approach using multivariate GARCH model for India.

12. Asian stock market integration after the global financial crisis: an ARDL bound testing approach.

13. Leverage and performance: do size and crisis matter?

14. Turn-of-the-month effect in three major emerging countries.

15. Impact of macroeconomic variables on corporate capital structure: a case of India.

16. Validating multi-dimensional model of financial literacy using confirmatory factor analysis.

17. Financial capability and financial wellbeing of women in community-based organizations: mediating role of decision-making ability.

18. Is value premium sector-specific? Evidence from India.

19. Does group affiliation impact financial constraints? Evidence from India.

20. Ownership dilution and earnings management: evidence from Indian IPOs.

21. A study on volatility and return spillover of exchange-traded funds and their benchmark indices in India.

22. Mean reversion in corporate leverage: evidence from India.

23. Does good corporate governance constrain cash flow manipulation? Evidence from India.

24. Female directors and risk-taking behavior of Indian firms.

25. The interrelationships among default risk, capital ratio and efficiency.

26. Investors' preferences and the factors affecting investment in the Indian stock market: an industry view.

27. Quality investing in the Indian stock market.

28. Dividend policy in India: reconciling theory and evidence.

29. Agency problems and the value of advertising expenditures in an emerging market: role of product market competition.

30. Measuring intellectual capital performance of Indian banks.

31. Assessing working capital management efficiency of Indian manufacturing exporters.

32. Multiple banking relationships, agency costs and firm value: evidence from India.

33. Evaluating the impact of hedonism on investment choices in India.

34. Options availability effect on informed trading in M&As.

35. Who predicts dollar-rupee volatility better? A tale of two options markets.

36. Does corporate governance affect dividend policy in India? Firm-level evidence from new indices.

37. How does capital market respond to Certified Emission Reductions (CERs) announcements in India: An event study methodology.

38. Dividend policy in India: new survey evidence.

39. Do call auctions curtail price volatility? Evidence from the National Stock Exchange of India.

40. Stock price movement around the merger announcements: insider trading or market anticipation?

41. Modeling asset allocation and liability composition for Indian banks.

42. A frontier-based parametric framework for exploring the competition–efficiency nexus in commercial banking: insights from an emerging economy.

43. Financial literacy–a regulator of intended investment behaviour: analysing the hypothetical portfolio composition.

44. Does intellectual capital influence banks' efficiency? Evidence from India using panel data tobit model.

45. Capital regulation, competition and risk-taking behavior of Indian banks in a simultaneous approach.

46. Market timing and pseudo market timing: an empirical examination of IPOs in India.

47. Role of institutional investors in reviving loss-making firms: evidence from India.

48. Working capital management practices in India: survey evidence.

49. Market concentration, diversification and bank performance in China and India.

50. Relationship between operational risk management, size, and ownership of Indian banks.