# | Title | Journal | Year | Citations |
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1 | Does green finance matter for sustainable entrepreneurship and environmental corporate social responsibility during COVID-19? | China Finance Review International | 2022 | 97 |
2 | Energy financing in COVID-19: how public supports can benefit? | China Finance Review International | 2022 | 93 |
3 | An index of cryptocurrency environmental attention (ICEA) | China Finance Review International | 2022 | 68 |
4 | FinTech and household finance: a review of the empirical literature | China Finance Review International | 2020 | 65 |
5 | Role of green financing and corporate social responsibility (CSR) in technological innovation and corporate environmental performance: a COVID-19 perspective | China Finance Review International | 2022 | 57 |
6 | Geopolitical risk, economic policy uncertainty and asset returns in Chinese financial markets | China Finance Review International | 2021 | 54 |
7 | Economic policy uncertainty and firms' labor investment decision | China Finance Review International | 2020 | 52 |
8 | The impact of green finance, economic growth and energy usage on CO2 emission in Vietnam – a multivariate time series analysis | China Finance Review International | 2022 | 43 |
9 | The impact of green finance and Covid-19 on economic development: capital formation and educational expenditure of ASEAN economies | China Finance Review International | 2022 | 38 |
10 | Determinants of bank’s profitability: role of poor asset quality in Asia | China Finance Review International | 2018 | 36 |
11 | Can we-media information disclosure drive listed companies' innovation?—From the perspective of financing constraints | China Finance Review International | 2022 | 35 |
12 | Energy efficiency financing and the role of green bond: policies for post-Covid period | China Finance Review International | 2022 | 35 |
13 | Impact of COVID‐19 pandemic on risk transmission between googling investor’s sentiment, the Chinese stock and bond markets | China Finance Review International | 2021 | 34 |
14 | Government governance, executive networks and corporate investment efficiency | China Finance Review International | 2018 | 32 |
15 | Pay gap, inventor promotion and corporate technology innovation | China Finance Review International | 2019 | 32 |
16 | Empirical relationship between foreign direct investment and economic growth | China Finance Review International | 2013 | 31 |
17 | Does macroeconomic uncertainty really matter in predicting stock market behavior? A comparative study on China and USA | China Finance Review International | 2020 | 31 |
18 | Modeling non-normality using multivariate t: implications for asset pricing | China Finance Review International | 2017 | 30 |
19 | Is Baidu index really powerful to predict the Chinese stock market volatility? New evidence from the internet information | China Finance Review International | 2023 | 30 |
20 | Shareholder protection, creditor rights and bank dividend policies | China Finance Review International | 2015 | 29 |
21 | Political connections and stock price crash risk | China Finance Review International | 2018 | 28 |
22 | Minority shareholder participation and earnings management | China Finance Review International | 2019 | 28 |
23 | Consumer finance/household finance: the definition and scope | China Finance Review International | 2020 | 28 |
24 | The green bond market and its use for energy efficiency finance in Africa | China Finance Review International | 2022 | 28 |
25 | Environmental, social and governance (ESG) - augmented investments in innovation and firms' value: a fixed-effects panel regression of Asian economies | China Finance Review International | 2024 | 27 |
26 | Volatility risk and stock return predictability on global financial crises | China Finance Review International | 2017 | 26 |
27 | The impact of cash flow volatility on firm leverage and debt maturity structure: evidence from China | China Finance Review International | 2018 | 26 |
28 | Managerial overconfidence, firm transparency, and stock price crash risk | China Finance Review International | 2019 | 26 |
29 | Stock price synchronicity and stock price crash risk | China Finance Review International | 2016 | 25 |
30 | Analysis of capital structure stability of listed firms in China | China Finance Review International | 2019 | 25 |
31 | China’s anti-corruption campaign, political connections and private firms’ debt financing | China Finance Review International | 2019 | 25 |
32 | Asymmetric information, firm investment and stock prices | China Finance Review International | 2010 | 24 |
33 | Do investor’s Big Five personality traits influence the association between information acquisition and stock trading behavior? | China Finance Review International | 2017 | 24 |
34 | What do we know about cryptocurrency? Past, present, future | China Finance Review International | 2021 | 23 |
35 | Management geographical proximity and stock price crash risk | China Finance Review International | 2022 | 23 |
36 | Market or government: who plays a decisive role in R&D resource allocation? | China Finance Review International | 2019 | 22 |
37 | Financial risk, uncertainty and expected returns: evidence from Chinese equity markets | China Finance Review International | 2019 | 22 |
38 | The impact of CEO pay and its disclosure on stock price crash risk: evidence from China | China Finance Review International | 2019 | 22 |
39 | Ex-ante risk management and financial stability during the COVID-19 pandemic: a study of Vietnamese firms | China Finance Review International | 2021 | 22 |
40 | The impact of macroeconomic uncertainty on international commodity prices | China Finance Review International | 2017 | 21 |
41 | Does opening high-speed railways affect the cost of debt financing? A quasi-natural experiment | China Finance Review International | 2020 | 21 |
42 | Accounting conservatism, ultimate ownership and investment efficiency | China Finance Review International | 2012 | 20 |
43 | Spillover effect in Asian financial markets: A VAR-structural GARCH analysis | China Finance Review International | 2016 | 20 |
44 | Textual analysis for China’s financial markets: a review and discussion | China Finance Review International | 2019 | 20 |
45 | Ownership identity and corporate donations: evidence from a natural experiment in China | China Finance Review International | 2019 | 20 |
46 | Government support for SMEs in response to COVID-19: theoretical model using Wang transform | China Finance Review International | 2021 | 20 |
47 | Are corporate social responsibility reports informative? Evidence from textual analysis of banks in China | China Finance Review International | 2022 | 20 |
48 | Does governance quality matter in the nexus of inclusive finance and stability? | China Finance Review International | 2023 | 20 |
49 | The COVID-19 pandemic and sovereign credit risk | China Finance Review International | 2021 | 19 |
50 | Cryptocurrency as a safe haven for investment portfolios amid COVID-19 panic cases of Bitcoin, Ethereum and Litecoin | China Finance Review International | 2022 | 19 |