Economics, Econometrics and Finance
Alternative Economy
17%
Bank Liquidity
34%
Bankruptcy
22%
Capital Market Returns
40%
Cash Flow
25%
Cash Management
29%
Climate Risks
28%
Corporate Bond
25%
Corporate Governance
17%
Corporate Policy
17%
Corruption
21%
Credit
23%
Credit Market
17%
Debt Financing
36%
Difference-In-Differences
13%
Economic developments
18%
Economic Policy Uncertainty
16%
Emerging Economies
19%
Environmental Policy
17%
Equity Capital
11%
Financial Constraints
64%
Financial Crisis
68%
Financial Inclusion
25%
Financial Risk
17%
Firm Growth
11%
Geopolitical Risks
28%
Green Bonds
12%
Incentives
23%
Industry
100%
Institutional Infrastructure
17%
Institutional Investor
17%
Investment
17%
Investment Opportunity
17%
Investors
65%
Leading Indicator
17%
Liquidity Creation
34%
Loan Spread
17%
Managerial Ability
46%
Manufacturing Industry
20%
Market Share
17%
Measure of Dispersion
40%
Oil Industry
34%
Organisation for Economic Co-Operation and Development
17%
Ownership
60%
Pricing
34%
Research and Development
12%
Risk Factor
20%
Share Repurchase
25%
Spillover Effect
46%
Volatility
57%
Keyphrases
Bank Financing
23%
Bank Liquidity Creation
34%
Cash Holdings
54%
Cash Reserve
17%
CEO Succession
17%
CEO Successor
17%
Characteristic Risk
17%
Climate Risk
28%
Corporate Cash Holdings
29%
Corruption
20%
Cost of Bank Debt
17%
Cost of Bank Loans
25%
Country Governance
28%
Debt Financing
28%
Debt Maturity
60%
Default Risk
51%
External Financing
23%
Extreme Risk
34%
Factor Exposure
17%
Family Control
25%
Family Roles
17%
Financial Constraints
41%
Financial Inclusion
25%
Financial Innovation
25%
Financial Sector
34%
Firm Characteristics
37%
Foreign Ownership
20%
Geopolitical Risk
28%
Industry Risk
17%
Information Opacity
34%
Managerial Ability
43%
Manufacturing Industry
21%
Maturity Choice
19%
Negative Returns
20%
Oil Factor
17%
Oil Industry
34%
Open Market Repurchase
17%
Option Pricing
21%
Options Markets
21%
Pacific Basin
17%
Politicians
28%
Probability of Default
28%
Recent Financial Crisis
17%
Risk Factors
19%
Rollover Risk
81%
Short-term Debt
51%
Stock Returns
18%
Tail Risk Spillover
34%
Taiwan
39%
Uncertain Risk
20%