Corporate Finance, Governance, and Social Responsibility

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 artic...

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フォーマット: Online
言語:英語
出版事項: MDPI - Multidisciplinary Digital Publishing Institute 2023
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オンライン・アクセス:ONIX_20230808_9783036580920_3
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_version_ 1869522948806672384
collection Directory of Open Access Books
description 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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publishDate 2023
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spelling doab-20.500.12854ir-1124352024-03-30T02:53:58Z Corporate Finance, Governance, and Social Responsibility Gherghina, Ştefan Cristian capital structure New Technology-Based Firms (NTBFs) internal and external innovativeness intangibility corporate governance information disclosure timeliness of financial reporting law violation private firms corporate governance best practice corporate governance compliance company value Warsaw Stock Exchange accrual earnings management Nordic model zero-debt policy flexibility tax shield free cash flow problem debt overhang dividend policy emerging economy profitability working capital management employee stock option plans executive compensation firm performance New Zealand financial derivatives Shenzhen stock exchange of China state-owned companies private-owned enterprises performance measurement of performance EVA strategies business success Romanian stock market volatility clustering autocorrelation COVID-19 GARCH models vector autoregression model Granger causality CSR practice financial performance environmental social and governance (ESG) board size independent board members return on equity Romania boards of directors Egypt gender diversity Egyptian Revolution investor relations Bucharest Stock Exchange firm efficiency data envelopment analysis (DEA) pharmaceutical, cosmetic and detergent (PCD) firms Greece agency corporate social responsibility information environment distress risk trade credit LGBT market value resource-based theory sexual orientation and identity simultaneous equations protection of minority investors stock market development economic growth board diversity CEO characteristics board committees ownership concentration agency theory COVID-19 pandemic Iran global economy financial management corporate social responsibility reports mandatory disclosure mandatory assurance analyst forecast accuracy analyst forecast dispersion board independence bankruptcy risk Europe corporate sustainability environmental social failure risk nonbinding voting shareholder activism systematic risk risk management practices performance outcome strategy supply chain capital budgeting capital budgeting practices footwear industry metalworking industry manufacturing SMEs equity investments property and liability insurers financial crisis n/a thema EDItEUR::K Economics, Finance, Business and Management::KC Economics::KCM Development economics and emerging economies 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. 2023-08-08T15:11:00Z 2023-08-08T15:11:00Z 2023 book ONIX_20230808_9783036580920_3 9783036580920 9783036580937 https://directory.doabooks.org/handle/20.500.12854/112435 eng image/jpeg Attribution 4.0 International https://mdpi.com/books/pdfview/book/7546 https://mdpi.com/books/pdfview/book/7546 MDPI - Multidisciplinary Digital Publishing Institute 10.3390/books978-3-0365-8093-7 10.3390/books978-3-0365-8093-7 46cabcaa-dd94-4bfe-87b4-55023c1b36d0 9783036580920 9783036580937 534 Basel open access
spellingShingle capital structure
New Technology-Based Firms (NTBFs)
internal and external innovativeness
intangibility
corporate governance
information disclosure
timeliness of financial reporting
law violation
private firms
corporate governance best practice
corporate governance compliance
company value
Warsaw Stock Exchange
accrual earnings management
Nordic model
zero-debt policy
flexibility
tax shield
free cash flow problem
debt overhang
dividend policy
emerging economy
profitability
working capital management
employee stock option plans
executive compensation
firm performance
New Zealand
financial derivatives
Shenzhen stock exchange of China
state-owned companies
private-owned enterprises
performance
measurement of performance
EVA
strategies
business success
Romanian stock market
volatility clustering
autocorrelation
COVID-19
GARCH models
vector autoregression model
Granger causality
CSR practice
financial performance
environmental social and governance (ESG)
board size
independent board members
return on equity
Romania
boards of directors
Egypt
gender diversity
Egyptian Revolution
investor relations
Bucharest Stock Exchange
firm efficiency
data envelopment analysis (DEA)
pharmaceutical, cosmetic and detergent (PCD) firms
Greece
agency
corporate social responsibility
information environment
distress risk
trade credit
LGBT
market value
resource-based theory
sexual orientation and identity
simultaneous equations
protection of minority investors
stock market development
economic growth
board diversity
CEO characteristics
board committees
ownership concentration
agency theory
COVID-19 pandemic
Iran
global economy
financial management
corporate social responsibility reports
mandatory disclosure
mandatory assurance
analyst forecast accuracy
analyst forecast dispersion
board independence
bankruptcy risk
Europe
corporate sustainability
environmental
social
failure risk
nonbinding voting
shareholder activism
systematic risk
risk management practices
performance outcome
strategy
supply chain
capital budgeting
capital budgeting practices
footwear industry
metalworking industry
manufacturing
SMEs
equity investments
property and liability insurers
financial crisis
n/a
thema EDItEUR::K Economics, Finance, Business and Management::KC Economics::KCM Development economics and emerging economies
Corporate Finance, Governance, and Social Responsibility
title Corporate Finance, Governance, and Social Responsibility
title_full Corporate Finance, Governance, and Social Responsibility
title_fullStr Corporate Finance, Governance, and Social Responsibility
title_full_unstemmed Corporate Finance, Governance, and Social Responsibility
title_short Corporate Finance, Governance, and Social Responsibility
title_sort corporate finance governance and social responsibility
topic capital structure
New Technology-Based Firms (NTBFs)
internal and external innovativeness
intangibility
corporate governance
information disclosure
timeliness of financial reporting
law violation
private firms
corporate governance best practice
corporate governance compliance
company value
Warsaw Stock Exchange
accrual earnings management
Nordic model
zero-debt policy
flexibility
tax shield
free cash flow problem
debt overhang
dividend policy
emerging economy
profitability
working capital management
employee stock option plans
executive compensation
firm performance
New Zealand
financial derivatives
Shenzhen stock exchange of China
state-owned companies
private-owned enterprises
performance
measurement of performance
EVA
strategies
business success
Romanian stock market
volatility clustering
autocorrelation
COVID-19
GARCH models
vector autoregression model
Granger causality
CSR practice
financial performance
environmental social and governance (ESG)
board size
independent board members
return on equity
Romania
boards of directors
Egypt
gender diversity
Egyptian Revolution
investor relations
Bucharest Stock Exchange
firm efficiency
data envelopment analysis (DEA)
pharmaceutical, cosmetic and detergent (PCD) firms
Greece
agency
corporate social responsibility
information environment
distress risk
trade credit
LGBT
market value
resource-based theory
sexual orientation and identity
simultaneous equations
protection of minority investors
stock market development
economic growth
board diversity
CEO characteristics
board committees
ownership concentration
agency theory
COVID-19 pandemic
Iran
global economy
financial management
corporate social responsibility reports
mandatory disclosure
mandatory assurance
analyst forecast accuracy
analyst forecast dispersion
board independence
bankruptcy risk
Europe
corporate sustainability
environmental
social
failure risk
nonbinding voting
shareholder activism
systematic risk
risk management practices
performance outcome
strategy
supply chain
capital budgeting
capital budgeting practices
footwear industry
metalworking industry
manufacturing
SMEs
equity investments
property and liability insurers
financial crisis
n/a
thema EDItEUR::K Economics, Finance, Business and Management::KC Economics::KCM Development economics and emerging economies
topic_facet capital structure
New Technology-Based Firms (NTBFs)
internal and external innovativeness
intangibility
corporate governance
information disclosure
timeliness of financial reporting
law violation
private firms
corporate governance best practice
corporate governance compliance
company value
Warsaw Stock Exchange
accrual earnings management
Nordic model
zero-debt policy
flexibility
tax shield
free cash flow problem
debt overhang
dividend policy
emerging economy
profitability
working capital management
employee stock option plans
executive compensation
firm performance
New Zealand
financial derivatives
Shenzhen stock exchange of China
state-owned companies
private-owned enterprises
performance
measurement of performance
EVA
strategies
business success
Romanian stock market
volatility clustering
autocorrelation
COVID-19
GARCH models
vector autoregression model
Granger causality
CSR practice
financial performance
environmental social and governance (ESG)
board size
independent board members
return on equity
Romania
boards of directors
Egypt
gender diversity
Egyptian Revolution
investor relations
Bucharest Stock Exchange
firm efficiency
data envelopment analysis (DEA)
pharmaceutical, cosmetic and detergent (PCD) firms
Greece
agency
corporate social responsibility
information environment
distress risk
trade credit
LGBT
market value
resource-based theory
sexual orientation and identity
simultaneous equations
protection of minority investors
stock market development
economic growth
board diversity
CEO characteristics
board committees
ownership concentration
agency theory
COVID-19 pandemic
Iran
global economy
financial management
corporate social responsibility reports
mandatory disclosure
mandatory assurance
analyst forecast accuracy
analyst forecast dispersion
board independence
bankruptcy risk
Europe
corporate sustainability
environmental
social
failure risk
nonbinding voting
shareholder activism
systematic risk
risk management practices
performance outcome
strategy
supply chain
capital budgeting
capital budgeting practices
footwear industry
metalworking industry
manufacturing
SMEs
equity investments
property and liability insurers
financial crisis
n/a
thema EDItEUR::K Economics, Finance, Business and Management::KC Economics::KCM Development economics and emerging economies
url ONIX_20230808_9783036580920_3