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Corporate Finance, Governance, and Social Responsibility

Corporate Finance, Governance, and Social Responsibility

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This reprint covers 27 papers published in the Special Issue entitled “Corporate Finance, Governance, and Social Responsibility,” which examines several topics related to corporate finance, financial modeling, corporate governance, and corporate social responsibility. Corporate finance-related articles (Anton and Afloarei Nucu, 2021; Bae et al., 2023; Kedzior et al., 2020; Lääts and Lukason, 2022; Miglo, 2020; Mihail et al., 2021; Mota and Moreira, 2023; Tsolas, 2021; Tudose et al., 2021; and Wen et al., 2021) focus on the drivers of the capital structure and firm performance, the effect of working capital management on profitability, and the link between derivative use and profitability. Regarding financial modeling, stock market volatility was explored during COVID-19 (Gherghina et al., 2021). Corporate governance studies (Aluchna and Kuszewski, 2020; Ararat et al., 2021; Ding and Chea, 2021; Kjærland et al., 2020; Lourenço et al., 2021; Lukason and Camacho-Miñano, 2020; Maier and Yurtoglu, 2022; Mihail and Dumitrescu, 2021; Mihail et al., 2022; Mihail and Micu, 2021; and Pourmansouri et al., 2022) examine the effect of corporate governance compliance practices, board attributes, or employee stock option plans on bankruptcy risk, performance, firm value, or earnings management. Regarding CSR (Bozos et al., 2022; Rossi et al., 2021; Saeed and Sroufe, 2021; Singh and Hong, 2023; and Tseng and Shih, 2022), the research focuses on how CSR affects financial performance, risk management, or analyst profits estimates.

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Keywords

  • accrual earnings management
  • agency
  • agency theory
  • analyst forecast accuracy
  • analyst forecast dispersion
  • autocorrelation
  • bankruptcy risk
  • board committees
  • Board Diversity
  • board independence
  • board size
  • boards of directors
  • Bucharest Stock Exchange
  • business success
  • capital budgeting
  • capital budgeting practices
  • capital structure
  • CEO characteristics
  • company value
  • Corporate Governance
  • corporate governance best practice
  • corporate governance compliance
  • Corporate social responsibility
  • corporate social responsibility reports
  • corporate sustainability
  • COVID-19
  • COVID-19 Pandemic
  • CSR practice
  • Data Envelopment Analysis (DEA)
  • debt overhang
  • Development economics & emerging economies
  • distress risk
  • dividend policy
  • economic growth
  • Economics
  • Economics, finance, business & management
  • Egypt
  • Egyptian Revolution
  • emerging economy
  • employee stock option plans
  • environmental
  • environmental social and governance (ESG)
  • equity investments
  • Europe
  • EVA
  • Executive compensation
  • failure risk
  • Financial Crisis
  • financial derivatives
  • financial management
  • financial performance
  • firm efficiency
  • Firm Performance
  • flexibility
  • footwear industry
  • free cash flow problem
  • GARCH models
  • gender diversity
  • global economy
  • Granger causality
  • Greece
  • independent board members
  • information disclosure
  • information environment
  • intangibility
  • internal and external innovativeness
  • Investor relations
  • Iran
  • law violation
  • lgbt
  • mandatory assurance
  • mandatory disclosure
  • manufacturing
  • market value
  • measurement of performance
  • metalworking industry
  • n/a
  • New Technology-Based Firms (NTBFs)
  • New Zealand
  • nonbinding voting
  • nordic model
  • ownership concentration
  • Performance
  • performance outcome
  • pharmaceutical, cosmetic and detergent (PCD) firms
  • private firms
  • private-owned enterprises
  • Profitability
  • property and liability insurers
  • protection of minority investors
  • resource-based theory
  • return on equity
  • risk management practices
  • Romania
  • Romanian stock market
  • sexual orientation and identity
  • shareholder activism
  • Shenzhen stock exchange of China
  • simultaneous equations
  • SMEs
  • social
  • state-owned companies
  • stock market development
  • Strategies
  • Strategy
  • supply chain
  • systematic risk
  • tax shield
  • thema EDItEUR::K Economics, Finance, Business and Management::KC Economics::KCM Development economics and emerging economies
  • timeliness of financial reporting
  • trade credit
  • vector autoregression model
  • volatility clustering
  • Warsaw Stock Exchange
  • working capital management
  • zero-debt policy

Links

DOI: 10.3390/books978-3-0365-8093-7

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