Managerial Finance Research Topics

Research Area/ Research Interest: Managerial Finance

Research Paper Topics on Cost & Management Accounting for Masters and PhD Thesis and publication

  1. A survey of supply chain operation and finance with Fintech: Research framework and managerial insights
  2.  Financial accounting: a managerial perspective
  3. Micro-, meso-and macro-level determinants of stock price crash risk: a systematic survey of literature
  4. Pay inequality and annual report readability
  5. The effect of option grants on managerial risk taking: A review
  6. Managerial political power and the reallocation of resources in the internal capital market
  7. Managerial ability, financial constraints, and the value of cash holding
  8. Business sustainability performance and corporate financial performance: the mediating role of optimal investment
  9. Financial capability and households’ financial vulnerability: evidence for the Spanish case
  10. Demographic characteristics influencing financial wellbeing: a multigroup analysis
  11. Managerial leadership style and employee commitment: Evidence from the financial sector
  12. Managerial duties and managerial biases
  13. The Financial Management Control (FMC)-the Managerial Tool for Information and Reporting on the Economic-Financial Activity of the Economic Entity. Application …
  14. Managerial overconfidence, CSR and firm value
  15. What drives corporate cash holdings in MSMEs?: Evidence from India
  16. Corporate governance and stakeholder capitalism
  17. Asymmetric connectedness among S&P 500, crude oil, gold and Bitcoin
  18. Managerial ability and trade credit
  19. Does audit quality, managerial reports, audit committee affect financial report quality? Case of companies listed on Jakarta Islamic Index (JII) 2018-2020
  20. Entrepreneurial Orientation, Market Orientation, Managerial Accounting and Manufacturing SMEs Satisfaction
  21. Apples plus oranges: the role of business profile similarity in shaping M&A outcomes: textual analysis of transaction data from China
  22. A study of Silicon Valley firms’ accounting losses
  23. The Role of Managerial Reporting Quality in Investment Efficiency
  24.  Taming Overconfident CEOs–Managerial Overconfidence, Risk-Taking, and Financial Regulation
  25. Managerial capabilities and strategic renewal in family firms in crisis situations: The moderating role of the founding generation
  26. R&D expenditure and managerial ownership: evidence from firms of high-vs-low R&D intensity
  28.  The Investigation of the Transformational Leadership Style Managers and Impact on the Financial Managerial Performance with the Modern Distributed Graph …
  29. Guest editorial: Corporate social responsibility and COVID-19 global crisis: managerial and financial perspectives in developed and emerging countries
  30.  The relations of corporate risk, operating efficiency, and firm size to managerial compensation: Evidence from Taiwan stock market-listed companies
  31. Market power and efficiency of Indian banks: does the “quiet life” hypothesis hold?
  32. Firm-level political risk, liquidity management, and managerial attributes
  33. The micro and macro of managerial beliefs
  34. Firm performance during the Covid-19 crisis: Does managerial ability matter?
  35. Customer concentration, managerial risk aversion, and independent directors: A quasi-natural experiment
  36.  Managerial Principles: Its role in the Utilization of Capitation Grants in Public Secondary Schools in Muleba District, Tanzania
  37. ESG, operational efficiency and operational performance: evidence from Real Estate Investment Trusts
  38. Social ties, managerial overconfidence, and investment efficiency
  39. Generation effects and managerial risk taking
  40. Retaliation effectiveness and acquisition performance: The influence of managerial decisions and industry context
  41. Corporate Resilience to Covid-19 Crisis: The Role of Managerial Bank-Connected Network
  42. Do company visits by institutional investors mitigate managerial myopia in R&D investment? Evidence from China
  43. Applications of Fixed Effect Models to Managerial Risk-taking Incentives
  44.  Managerial accounting: The cornerstone of business decision-making
  45. Managerial support for innovation as the source of corporate sustainability and innovative performance: Empirical evidence from Turkey
  46. Board gender diversity and managerial obfuscation: Evidence from the readability of narrative disclosure in 10-K reports
  47. Managerial commitment and heterogeneity in target-date funds
  49. Managerial ability and debt maturity
  50. Does managerial ability matter for corporate climate change disclosures?
  51. A principal-agent approach for estimating firm efficiency: revealing bank managerial behavior
  52. Managerial R&D hands-on experience, state ownership, and corporate innovation
  53. Brittney’s Boutique: Tailoring financial statements for function as well as fashion
  54. Managerial political orientation and stock price crash risk
  55. CFO and CEO Characteristics and Managerial Accounting Techniques (MAT’s) Usage: An Upper-Echelons Perspective
  56. Managerial overconfidence and firm profitability
  57. Measuring the Managerial Ability of Banks and Their Impact on Lending Behavior across a Finite Size: Analytical research for a sample of banks listed in the Iraq Stock …
  58. Presidential address: Corporate finance and reality
  59. Managerial compensation and fixed intangible assets investment: the role of managerial ownership and firm characteristics
  60. Moderating Effect of Managerial Ownership on the Association Between Intellectual Capital and Firm Performance: A Conceptual Framework
  61. Do global factors drive the interconnectedness among green, Islamic and conventional financial markets?
  62.  Financial Distress dan Internal Control pada Earnings Management dengan Managerial Ownership Sebagai Moderasi
  63. Managerial ability and informative earnings management: the role of CEO-commissioner relationship and board independence
  64. Impact of Marketing, Managerial and Human Resource Activities on the Performance of Small and Medium Enterprises
  65. Segment earnings and managerial incentives: evidence from foreign firms cross-listed in the USA
  66.  The Moderating Role of Firm’s Size and Age in the Relationship of Managerial Ownership with Liquidity and Investment Constraints
  67. Impact of financial distress on investment-cash flow sensitivity: evidence from emerging economy
  68. Debt dynamic, debt dispersion and corporate governance
  69.  The infl fluence of Covid-19 on small and medium sized enterprises’ managerial activities in Nigeria: A qualitative impact assessment
  70. Opportunity for whom: economic policy uncertainty, managerial ability and firm value
  71. Increasing Firm Value Based On External Governance And Modern Finance theory
  72. Managerial learning from analyst feedback to voluntary capex guidance, investment efficiency, and firm performance
  73. Does Managerial Foreign Experience Deter Corporate Fraud
  74. Managerial Trustworthiness and Buybacks
  75. Economic consequences of managerial compensation contract disclosure
  76. Managerial risk-taking incentives and cash holding in US firms: Evidence from FAS 123R
  77. The relationship between firm reputation and managerial entrenchment
  78. Evolution of research in finance over the last two decades–a topographical view
  79. Profitability, Managerial Ownership, and Audit Committee on Stock Returns in Indonesian Commercial Banks
  80.  AI-Based Prediction of Capital Structure: Performance Comparison of ANN SVM and LR Models.
  81. Taking back control: comprador bankers and managerial developmentalism in Poland
  82. The Influence of Participation in Budgeting, Budget Evaluation, and Accountability Accounting on Managerial Performance in Regional Apparatus Organizations (Opd) …
  83. Short Selling and Managerial Ability
  85. A Managerial Ecosystem for Excellence in Hospital Administration
  86. COVID-19 Pandemic: The Interplay Between Firm Disruption and Managerial Attention Focus
  87. CEO pay disparity, takeover premiums and bidder performance in Australia: efficient contracting or managerial power?
  88. Public hospitals in crisis: Managerial and strategic adaptation
  89. Can lean management change the managerial culture in higher education?
  91. The relationship between corporate governance and financial reporting transparency
  92. Managerial and Investor Responses to Changes in Fair Value Accounting for Equity Securities
  93. Industry centrality: Weak ties, industry attributes, and managerial contracting
  94. Building Managerial Cash-Flow Statements for Budgeting Working Capital Investments
  95.  Financial management
  96. Outside Opportunities, Managerial Risk Taking, and CEO Compensation
  97.  Managerial Ownership, Institutional Ownership and Internal Control Disclosure with Profitability as Intervening
  98. Does customer-base structure influence managerial risk-taking incentives?
  99. The new finance capital: Corporate governance, financial power, and the state
  100. Market reaction to abnormal inventory growth: Evidence for managerial decision-making
  101. Managerial ability and idiosyncratic volatility
  102. A Literature Review on the Dual Effect of Corporate Tax Planning and Managerial Power on Executive Compensation Structure
  103. Do Stock Price Informativeness and Managerial Attributes Facilitate M&A Success?
  104.  Product market competition and financial analysts’ forecast quality: The mediating role of financial reporting quality
  105. Customer stability, managerial overconfidence, and enterprise investment in innovation: a perspective based on “Made in China 2025”
  106. Managerial sentiment and non-GAAP earnings disclosure: evidence from terrorist attacks
  107. Proximity to broad bond rating change and managerial ability
  108. Executive compensation linked to corporate social responsibility and firm risk
  109. Determinants of Small and Medium Construction Firms’ Financial Performance
  110.  Corporate strategies oriented towards sustainable governance: advantages, managerial practices and main challenges
  111. Evidence on using the estimation of level 3 fair values as an earnings management tool: evidence from Taiwan
  112. Identifying and Ranking the Factors and Strategies Affecting the Use of Financial Derivative Contract in Risk Management
  113. Strategic Branches of Economic and Managerial Training of Principals in Ukraine using Business-simulations
  114. Opportunistic timing of management earnings forecasts during the COVID-19 crisis in China
  115. Emerging Economies in Fashion Global Value Chains: Brand Positioning and Managerial Implications
  116.  Methodology applied to managerial decision-making in the context of COVID-19
  117. Does gold–platinum price ratio predict stock returns? International evidence
  118. Investigation of the Quality of Accounting Information and Capital Cost According to the Adjusting Role of Financial and Environmental Characteristics in the Iran …
  119. The Company’s Global Strategy as a Tool for Effective Competition: Managerial Issues, Advantages and Disadvantages
  120. The impact of natural disasters on the performance and solvency of US banks
  121. Carbon capital: The lexicon and allegories of US hydrocarbon finance
  122. Impact of Covid-19 on Profitability on Company Value Mediated By Dividend Policy as Intervening Variable
  123. Are CEOs to Blame for Corporate Failure? Evidence from Chapter 11 Filings
  125. The effect of audit firm attributes on audit delay in the presence of financial reporting complexity
  126. Agency frictions, managerial compensation, and disruptive innovations
  127. The Increase of Financial Performance in Mediate the Good Corporate Governance Toward the Company’s Value
  128. Help or Hurt? The Impact of ESG on Firm Performance in S&P 500 Non-Financial Firms
  129. Green CEO, managerial ability and environmental performance
  130.  Earnings Management Mediate the Effect of Managerial Over Confidence, Good Corporate Governance and Corporate Social Responsibility on Company …
  131. Managerial Aspects of Forming Enterprises’ Competitive Advantages: The Case of Agri-food Sector
  132. Who Experiences Financial Reporting Pressure?
  133.  Entrepreneurial, institutional and financial strategies for FinTech profitability
  134. Housing Real Estate Economics and Finance
  135. Turning non-financial performance measurements into financial performance: The usefulness of front-office staff incentive systems in hotels
  136. Minority shareholders protection and corporate financial leverage: Evidence from a natural experiment in China
  137.  Administrative transformation and managerial growth: A longitudinal analysis of changes in the non-academic workforce at Australian universities
  138. Local bank, digital financial inclusion and SME financing constraints: Empirical evidence from China
  139. Financial Leverage and Financial Performanceof Savings and Credit Co-operative Societiesin Tanzania
  140.  Managerial practice of knowledge storage and organizational performance of 3-star hospitality firms in Port Harcourt, Rivers State, Nigeria
  141. Innovation and entrepreneurial ecosystems: fintech in the financial services industry
  142. Diversity, entrepreneurial innovation, and performance of healthcare sector in the COVID-19 pandemic period
  143.  Performance of Satuan PAUD Sejenis Managers through Managerial and Supervision Capability analysis
  144. Artificial Intelligence for Managerial Information Processing and Decision-Making in the Era of Information Overload
  145. Depicting ethical dilemma in Islamic financial institutions; addressing the gender heterogeneity
  146. The mediating role of SMEs’ performance in the relationship between entrepreneurial orientation and access to finance
  147.  Corporate growth strategies and financial performance of deposit-taking savings and credit co-operative societies in Nairobi City County, Kenya
  148. Powerful political corporate appointments and firm bribery channels
  149. Determining risk factors that diminish asset quality of Indian commercial banks
  150. Network Centrality and Managerial Market-Timing Ability
  151. Managerial Myopia and the Unintended Real Consequences of Conditional Conservatism
  152. Non-financial reporting research and practice: Lessons from the last decade
  153. Critical mass and voice: Board gender diversity and financial reporting quality
  154. The effect of ownership structure, dividend policy, composition of the board of directors on financial performance and share return
  155. Cross-regional comparative study on digital finance and finance efficiency in China: The eastern and non-eastern areas
  156. Research on the impact mechanism of green finance on the green innovation performance of China’s manufacturing industry
  157. Has the technological investment been worth it? Assessing the aggregate efficiency of non-homogeneous bank holding companies in the digital age
  158. The Effect of Managerial Ownership and Institutional Ownership on Sustainability Reporting and Their Impact on Earning Management
  159.  Review of valuation models and identification and ranking of valuation indicators of startup companies in the idea stage in Iran based on AHP mathematical …
  161. Stakeholders’ engagement in the business strategy as a key driver to increase companies’ performance: Evidence from managerial and stakeholders’ practices
  162.  Effectiveness of monitoring, managerial entrenchment, and corporate cash holdings
  163. Market Reaction to Abnormal Inventory Growth: Evidence for Managerial Decision-Making
  164. Estimation of Insurer’s Managerial Ability: A Goal Programming Approach
  165. Green supply chain management strategy and financial performance in the shipping industry
  166. Managerial and Economical Aspects of the Just-In-Time System “Lean Management in the Time of Pandemic”
  167.  Spatial Managerial ption Modeling for Determining O s for Structuring Productivity in KPH Bogor
  168. Understanding the cultural underpinnings of managerial performance reporting (MPR) in Ghana
  169. Managerial Activism
  170. The liquidity risk–financial performance nexus: Evidence from hybrid financial institutions
  171.  Financial Stability Considerations for Bank Merger Analysis
  172. Ownership Structure, Integrated Reporting, and Performance of European companies Kawther DHIFI Doctor in management sciences-Finance-at the University of …
  175. Corporate governance and ownership structure on illegal insider trading activities in Malaysian public listed companies
  176.  Company investments in the context of financial strategies
  177. The development and issues of energy-ICT: a review of literature with economic and managerial viewpoints
  178. An Empirical Investigation of Public Relations Roles: A Case Study of the Financial Service Sector of Ghana
  179. Efficiency and stability of Islamic vs. conventional banking models: a meta frontier analysis
  180. The Influence of Total Quality Management (TQM) on Quality Cost Efficiency and Managerial Performance and the Implications for Company Performance
  181. Classification of Contributing Factors to Financial Statements Transparency Using Met analysis and Delphi-Fuzzy
  182. Provide a model for calculating the economic capital of bank loan portfolio and compare it with regulatory capital
  183. Investors’ responses to macroeconomic news: the role of mandatory derivatives and hedging activities disclosure
  184. Intellectual Capital Disclosures Analysis of Indonesia and Thailand Tourism and Hospitality Industry: Comparison of Ownership Structure
  185. Environmental, Social and Governance Literature: A Bibliometric Analysis
  186.  Financial Analysis of Select Information Technology Company in India
  187. The development of corporate governance literature in Malaysia: a systematic literature review and research agenda
  188.  Investigating the Relationship between Machiavellianism and Financial Behavior and Objective and Subjective Financial Knowledge of Iranian Association of …
  189.  Research on the corporate financial transformation with big data technologies
  190. Do Managerial Ties Help or Hinder Corporate Green Innovation? The Moderating Roles of Contextual Factors
  191. Effects of qualitative factors and auditors’ personal characteristics on materiality judgments
  192.  Are we on time? Bibliometric analysis of natural disasters and their financial effects.
  193.  The Influence of CEO Gender on Chinese Enterprise Innovation: The Moderating Role of Managerial Discretion
  195. Do family firms perform better under financial constraints? Financial constraints, family firms and performance
  196. On the nature of managerial work in a transitional society: the case of Estonia at the point of transition
  197. How financial technology (fintech) can improve the business performance of securities firms by using the dynamic data envelopment analysis modified model
  198. Developing a multi-criteria sustainable credit score system using fuzzy BWM and fuzzy TOPSIS
  199.  Free Float Supercharging and its Impact on Company Performance
  200. Do different political connections affect financial reporting quality differently? Evidence from Malaysia
  201. Exploring the mediating effect of managerial ability on knowledge diversity and innovation performance in reverse cross-border M&As: Evidence from Chinese …
  202. Assessing the effect of financial literacy among managers on the performance of small-scale enterprises
  203.  What factors condition the financial viability of sheltered employment centres? Empirical evidence
  204. Does board committee independence affect financial distress likelihood? A comparison of China with the UK
  205. How Do Financial Distress Risk and Related Party Transactions Affect Financial Reporting Quality? Empirical Evidence from Iran
  206. Managerial career concerns and corporate tax avoidance: Evidence from the inevitable disclosure doctrine
  207.  Financial management for public, health, and not-for-profit organizations
  209. Decision-making style in entrepreneurial finance and growth
  210. How do chief executive officers with pilot status navigate through corporate social responsibility?
  211. Intergovernmental Influence, Managerial Turnover, and City Energy Policy Adoption
  212. Modelling a sustainable credit score system (SCSS) using BWM and fuzzy TOPSIS
  213. The adoption of blockchain technology in the financial sector during the era of fourth industrial revolution: a moderated mediated model
  214.  Impact of dividend payouts and corporate social responsibility on firm value–Evidence from India
  215. Entrepreneurial finance and HRM practices in small firms
  216.  Innovation and entrepreneurial ecosystems: fintech in the financial services industry. Review of Managerial Science, 16 (1), 45–64
  217. Impacts of top management team fault-line on firm’s innovation—Financial slack over-investment and underinvestment
  218.  The influence of board members with foreign experience on the timely delivery of financial reports
  219. Corporate-level influences on internal capital allocation: The role of financial analyst performance projections
  220. The Influence of Ownership Structure, Capital Structure, Dividends, and Auditors on Firm Performance
  221. Leverage, competition and financial distress hazard: Implications for capital structure in the presence of agency costs
  222. State/finance symbiosis
  223. The impact of cost stickiness on financial reporting: evidence from income smoothing
  224. ETF ownership and corporate cash holdings
  225.  Effects of contextual variables on strategic investment decision-making styles: An empirical study from Pakistan.
  226. Technical efficiency in the Ghanaian banking sector: does boardroom gender diversity matter?
  227. Insights Into Preparing Training Courses on Financial Services for Entrepreneurs in Africa
  228. Managerial optimism and debt covenants
  229. Strategic human capital analytics and organisation performance: The mediating effects of managerial decision-making
  230.  No cryptocurrency experience required: managerial characteristics in cryptocurrency fund performance
  231. Freedom at Risk: The Effects of Autonomy and Busyness on Financial Risk-Taking
  233.  Gender diversity and earnings management: the case of female directors with financial background
  234. How the Drafting of the Clayton Antitrust Act Helped Spread the Managerial Approach to Efficiency
  235. Uncertainty about managerial horizon and voluntary disclosure
  236. Circular economy and financial performances of European SMEs
  237. Time-varying impact of housing price fluctuations on banking financial risk
  238. What Can Motivate Me to Keep Working? Analysis of Older Finance Professionals’ Discourse Using Self-Determination Theory
  239.  Role of banking sector performance in renewable energy consumption
  240. Identifying potential millennial customers for financial institutions using SVM
  241. Fintech: from budding to explosion-an overview of the current state of research
  242. An integrative framework for supply chain rating: from financial-based to ESG-based rating models
  243. Determinants/motivations of corporate social responsibility disclosure in developing economies: A survey of the extant literature
  244. Can the economic value added Be used as the universal financial metric?
  245.  The Dynamic Relationship between Strategic Deviance and Performance—Moderating Effect of Industry Heterogeneity and Managerial Discretion
  246. Toward a new conceptualization of financial well-being
  247. Information leakage in the football transfer market
  248. Creative Accounting Determination and Financial Reporting Quality: The Integration of Transparency and Disclosure
  249. The influence of operating capital and cash holding on firm profitability
  250. Designing credit risk early-warning system for individual and corporate customers of the bank using multiple logit comparison model and survival function
  251. Analysis of Governance, Leverage and Financial Distress Conditions on Earnings Management in the Banking Services Sector in Indonesia
  252. Headteachers’ Managerial Skills and TeachersPerformance at Public Secondary Schools
  253.  The effect of ESG rating events on corporate green innovation in China: The mediating role of financial constraints and managers’ environmental awareness
  254. Sustainable supply chain finance and supply networks: The role of artificial intelligence
  255. How does offshore outsourcing of knowledge-intensive activities affect the exports and financial performance of emerging market firms?
  256. The role of agritourism farms’ characteristics on the performance: A case study of agritourism farm in South Korea
  257.  Time Value of Money from a Financial Perspective
  258.  Impact of International Financial Reporting Standards on Firm Performance: Evidence from Pakistani Non-Financial Firms
  259. Barbarians at the store? Private equity, products, and consumers
  260. Corporate transformation toward Industry 4.0 and financial performance: The influence of environmental, social, and governance (ESG)
  261. Incentives for Palm Oil Smallholders in Mandatory Certification in Indonesia
  262. Does gender diversity on boards reduce the likelihood of financial distress? Evidence from Malaysia
  263. Credit risk prediction of SMEs in supply chain finance by fusing demographic and behavioral data
  264. Analyst forecasting during COVID-19 pandemic
  265.  Exploring the impact of sustainability (ESG) disclosure on firm value and financial performance (FP) in airline industry: the moderating role of size and age
  266.  Study of the efficiency of economic activity of Russian regions–Moscow and the Moscow Region
  267. Under COVID-19 Pandemic Impact: Do Internal Mechanisms Play Fundamental Role in Corporations’ Outcomes
  268.  Effect of Corporate Governance on Financial Distress: Evidence from Listed Firms at Ghana Stock Exchange
  269.  Effects of performance based financing on facility autonomy and accountability: evidence from Zambia
  270. Do ESG strategies enhance bank stability during financial turmoil? Evidence from Europe
  271. Explaining the relationship between IQ and a variety of Earnings Management emphasizing Managers’ Narcissism
  272.  Exploring the first steps of retirement engagement: a conceptual model and field evidence
  273. Corporatization and political ideology: The case of hospitals in Spain
  274. Investor learning and mutual fund flows
  275. Relational Economics: Theoretical Framework and Managerial Implications—A Short Introduction
  276. The Moderating Effects of Corporate Social Responsibility on the Relationship between Creative Accounting Determinants and Financial Reporting Quality
  277. Financial statement analysis
  278.  Identification of environmental cleaning and managerial best practices for integration in competitive bidding documents for outsourcing of housekeeping …
  279. Board chair–CEO relationship, board chair characteristics, and nonprofit executive compensation
  280. Financial statement complexity and bank lending
  281.  How Does Firm ESG Performance Impact Financial Constraints? An Experimental Exploration of the COVID-19 Pandemic
  282. A meta-analysis of cross-country context effects on the link between green product strategy and financial performance
  283.  Effect of Working Capital Management on Organizational Performance
  284.  The Impact of Ownership Structure and Corporate Governance on Capital Structure of Jordanian Industrial Companies
  285. CSR & financial performance: Facing methodological and modeling issues commentary paper to the eponymous FRL article collection
  286. Green supply chain coordination model under environmental impact and conformance quality sensitive consumer demand
  287. A strategic analysis of incorporating corporate environmental responsibility into managerial incentive design: a differential game approach
  288. The development of cost management within the information and communication technology enterprises
  289. Cash holdings in start-ups: The role of founder sociodemographic characteristics
  290. The impact of climate change management on banks profitability
  291. Asymmetric and dynamic links in GCC Sukuk-stocks: Implications for portfolio management before and during the COVID-19 pandemic
  292.  Corporate Social Responsibility and Governance: Stakeholders, Management and Organizational Performance in the European Union
  293. Financial frictions and firm informality: A general equilibrium perspective
  294. Food technology management based on the implementation of innovative principles and approaches
  295.  A Grounded Theory Study: Representing a New Model to Exploring Transnational Capabilities for the Steel Pipe Manufacturing Companies Attaining …
  296. Financial performance shortfall, ESG controversies, and ESG performance: Evidence from firms around the world
  297. Is corporate governance a good predictor of SMEs financial performance? Evidence from developing countries (the case of Lebanon)
  298. A DEA and random forest regression approach to studying bank efficiency and corporate governance
  299. Sustainability, Non-Financial, Integrated, and Value Reporting (Extended External Reporting): A conceptual framework and an agenda for future research
  301. Positioning big data analytics capabilities towards financial service agility
  302. Embedding sustainability in risk management: The impact of environmental, social, and governance ratings on corporate financial risk
  303. Overconfident CEOs and corporate tax avoidance
  304. Financial market sustainable development of Kazakhstan: scenario approach based on fuzzy cognitive maps
  305. Pandemic, Roadblock, or End of On-campus Finance Education?
  306.  Research on Earnings Management under IFRS Framework
  307. The most consistent and reliable predictors of corporate financial choices in Pakistan: New evidence using BIC estimation
  308. Management ability, political influence, and financial pressure on deferred claims of Iranian banks
  309. Exposing the use of Fronting to Circumvent Mainstreaming of African Women to Managerial Positions in the South African private sector
  310. The effect of combined firm size index on improving corporate profitability models
  311.  Do sustainable institutional investors contribute to firms’ environmental performance? Empirical evidence from Europe
  312. Does social trust restrict dual agency costs? Evidence from China
  313. The capital structure puzzle: what are we missing?
  314. Women participation in achieving sustainability of microfinance institutions (MFIs)
  315. The Effect of Firm Characteristics, Corporate Governance, and Capital Structure towards Financial Performance and Islamicity Disclosure Index
  316. When the going gets tough: Private equity firms’ role as agents and the resolution of financial distress in buyouts
  317.  The extensification of managerial work in the digital age: Middle managers, spatio-temporal boundaries and control
  318. Short selling: A review of the literature and implications for future research
  319. Do changes in MD&A section tone predict investment behavior?
  320. How to embed environmental sustainability: The role of dynamic capabilities and managerial approaches in a life cycle management perspective
  321. Guest editorial: The COVID-19 pandemic: a catalyst for digital transformation
  322. The signalling role of voluntary ESG assurance
  323. The Case for Using Fun in Building Depth of Thought and Involvement in Engineering Education
  324. Effects of sustainable supply chain integration on green innovation and firm performance
  325. Exporting by Private Equity-Backed Portfolio Companies
  326. Neoliberal failures and the managerial takeover of governance
  327. Financial capacity and organizational stability in US local governments
  328. Social Dimension of Shopping Centers Operation: Managerial Perspectives
  329. Earnings and discretionary accruals
  330. CFO social ties to non-CEO senior managers and financial restatements
  331. Managerial Practices for the Digital Transformation of Manufacturers
  332. Managerial measures to reduce rework and improve construction safety in a developing country: Malaysian case
  334. Real earnings smoothing and crash risk: Evidence from Japan
  335. Reputational risks in banks: A review of research themes, frameworks, methods, and future research directions
  336. The Managerial Competencies Development of Oil Palm Plantation Managers for Industry 4.0 Era
  337. Managing divestments as projects: Benefits of stakeholder orientation
  338. A model for effective development of performance appraisal with an emphasis on policies and budgetary credits
  339. Earnings management and tone management: Evidence from FTSE 350 companies
  340. Study of Ramayana and Bhagavad Gita technical and managerial intellects with enlightening lessons
  341.  Modul-Nr./Module Code BMSB1300 Modulbezeichnung/Module title Accounting
  343. Do institutional framework and its threshold matter in the sensitivity of CEO pay to firm performance? Fresh insights from an emerging market economy
  344. Low carbon transition risk in mutual fund portfolios: Managerial involvement and performance effects
  345.  Effect of identity conflict and multiple identity on paradox of embedded agency in management accountants
  346.  The Influence of Global Cooperative Principles on Leadership Effectiveness in SACCOS in Kampala City, Uganda
  347. The role of corporate board and auditors in tax planning: evidence from Italy
  348. Nature of property right and the motives for holding cash: Empirical evidence from Chinese listed companies
  349. Effects of the adoption of management control practices on profitability: evidence from Latin America
  350. Performance review of Gujarat state road transport corporation
  351.  Pocket parks towards more sustainable cities. Architectural, environmental, managerial and legal considerations towards an integrated framework: A case …
  352. Evaluation of Intelligent and Statistical Prediction Models for Overconfidence of Managers in the Iranian Capital Market Companies
  353. Wives’ empowerment and corporate financial risk in Chinese family firms
  354. Corporate social responsibility disclosure (CSRD) and financial distressed risk (FDR): does institutional ownership matter?
  355.  Stemming the downturn: How ambidexterity and public policy influence firm performance stability during economic crises
  356. A systematic literature review of crisis management in and by small and medium-sized enterprises
  357. The Impact of Self-Serving Bias on Selection of Stocks by Retail Investors in Equity Market: A Study of the Urban Middle Class of India
  358. Family businesses under COVID-19: Inspiring models–Sometimes
  360. The effect of the determinants of the financing structure on financial leverage.(Applied study of a sample of companies listed in the Iraq Stock Exchange).
  361. A Course Outline for Education in Legal and Managerial Aspects of Technology
  362. Consumer intentions, reactance and the marketing implications of policy induced mergers and acquisitions in financial services
  363. Restrictions on managerial outside job opportunities and corporate tax policy: Evidence from a natural experiment
  364. Confucianism and auditor changes: evidence from China
  365. Water, physically connected yet institutionally fragmented—Investing in its strategies, asset classes, and organizations
  366. The Effect of Tax Planning, Tax Avoidance and Profitability on Company Value With Financial Performance as Intervening Variables
  367. Judgment and decision making research on CSR reporting in the COVID-19 pandemic environment
  368. An Overview of Corporate Fraud and its Prevention Approach
  369.  Accounting tool supporting decision making for commissioning company
  370. The digital economy, enterprise digital transformation, and enterprise innovation
  371. To Innovate or not to Innovate when times are bad
  372.  Corporate governance disclosure in Italy in the context of climate change
  374. CEO power and labor-friendly policy
  375. CEO’s educational background, economic policy uncertainty and investment-cash flow sensitivity: evidence from India
  376. The impact of corporate governance on the financial performance of the banking sector in the MENA (Middle Eastern and North African) region: An immunity test of …
  377. Board of director attributes: effects on financial performance in SMEs
  378. Nexus between corporate social responsibility and earnings management: Sustainable or opportunistic
  379. Oil price uncertainty, corporate governance and firm performance
  380. Past, Present, and Future of Corporate Social Responsibility and Earnings Management Research
  381. Do managers issue more voluntary disclosure when GAAP limits their reporting discretion in financial statements?
  382. Business Ethics-Hindrance or Necessity for Corporate Profitability: An Empirical Corporate Governance Study of US Listed Firms
  383. China’s secondary privatization and corporate investment efficiency
  384. Blockchain-enabled deep-tier supply chain finance
  385. IPO in family business: A systematic review and directions for future research
  386. Tax haven incorporation and financial reporting transparency
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