491 |
[vol50 no6] Managerial Over-Optimism and Research and Development Investment: Evidence from Korean Initial Public Offering Firms
|
KSA |
2022.03.16 |
38 |
490 |
[vol50 no5] Voluntary Earnings Notifications and Post-earnings-announcement Drift
|
KSA |
2021.11.01 |
75 |
489 |
[vol50 no5] How Do Structural Oil Price Shocks Affect China’s Investor Sentiment? The Critical Role of OPEC Oil Supply Shocks
|
KSA |
2021.11.01 |
53 |
488 |
[vol50 no5] Institutional Environment, State Ownership and Family Business Succession: Evidence from China
|
KSA |
2021.11.01 |
40 |
487 |
[vol50 no5] ESG and Stock Price Crash Risk: Role of Financial Constraints
|
KSA |
2021.11.01 |
48 |
486 |
[vol50 no4] Analyst Coverage and the Market Valuation of Capitalized versus Expensed R&D
|
KSA |
2021.09.03 |
53 |
485 |
[vol50 no4] Do Analysts’ Cross-year Revisions Contain Information about Audit Adjustment? Evidence from the Chinese Capital Market
|
KSA |
2021.09.03 |
38 |
484 |
[vol50 no4] How Do Foreign Traders Affect Stock-Pricing Efficiency? Microstructure-based Evidence from Korea
|
KSA |
2021.09.03 |
39 |
483 |
[vol50 no4] Stock Return Autocorrelations: Evidence from the Asia-Pacific Stock Markets
|
KSA |
2021.09.03 |
29 |
482 |
[vol50 no3] Price Limit Expansion and Volatility: A Theoretical Perspective
|
KSA |
2021.09.02 |
29 |