Holland, D., and Ramsay, A. (2003). Do Australian companies manage earnings to meet simple earnings benchmarks? Accounting and Finance, 43, 41-62.Holland D, Ramsey A (2003). Do Australian companies manage earnings to meet simple earnings benchmarks? Account. Financ. 43(1):41-62. http...
On the one hand, finance practice has demonstrated that, when access to credit is easy, companies prefer to hold less cash (Almeida et al., 2004; Hadlock & Pierce, 2010; Kim & Jang, 2012). On the other hand, prior literature shows that whether the assets created by capital expenditures...
2. Short-Term Financing: Money markets offer a platform for entities to raise short-term funds to finance their operations and working capital needs. Corporations and governments can issue short-term debt instruments, such as commercial paper or treasury bills, to meet their immediate funding requir...
The impact of capital structure on risk and firm performance: empirical evidence for the bucharest stock exchange listed companies 2018, International Journal of Financial Studies Macroeconomic uncertainty, corporate governance and corporate capital structure 2018, International Journal of Managerial Finance Vie...
pool•Most countries have apoolofsurpluslabour.•The Kohlers' have apoolin theirbackyard.•Trautman waslyingin apoolofblood.•Apoolofoilhad collected under the car.•apoolof volunteers forcommunityprojects•What Mr Milken did was to makehugepoolsofcapitalavailable tofinancetakeovers.•Huge...
This chapter reviews some nonlinear models used in corporate finance research. We also propose and empirically test some hypotheses regarding the effects of CEO gender and marital status on firm’s R&D investment and firm values. We find that there is no association between the R&D investment and...
Similarly, they are also criticized for automatically including all the securities in an index. This means they may invest in companies that are overvalued or fundamentally weak, leaving aside greater weighting of assets that could provide better returns. Of course, this automated strategy has often...
The analysis aims to examine the impact of eco-innovation and financial efficiency on CO2 emissions and renewable energy consumption in highly polluted Asian economies, including China, India, Russia, and Japan. For empirical analysis, we have applied the ARDL pooled mean group (ARDL-PMG) model....
After the GFC, deposit insurance systems delivered on their objective to prevent widespread bank runs and despite the large shocks to the finance system (Demirgüç-Kunt et al. 2014b), proved their ability to bolster it. A major testament to the effectiveness of the deposit insurance system is...
Similarly, they are also criticized for automatically including all the securities in an index. This means they may invest in companies that are overvalued or fundamentally weak, leaving aside greater weighting of assets that could provide better returns. Of course, this automated strategy has often...