Interaction effects of country-level governance quality and debt on stock returns in developing nations
This study examines the moderating effects of country-level governance quality on the relationship between debt and stock returns, using 3,891 firms from 23 developing countries covering the period from 2006 to 2014. Applying the panel generalized method of moments to con...
| Main Authors: | Matemilola, Bolaji Tunde, A. N, Bany Ariffin, Md.Nassir, Annuar |
|---|---|
| Format: | Article |
| Language: | English |
| Published: |
2018
|
| Online Access: | http://psasir.upm.edu.my/id/eprint/74713/ http://psasir.upm.edu.my/id/eprint/74713/1/Interaction%20effects.pdf |
Similar Items
Does top managers’ skills moderate the debt-stock returns relationship in Malaysia?
by: Matemilola, Bolaji Tunde, et al.
Published: (2019)
by: Matemilola, Bolaji Tunde, et al.
Published: (2019)
Impact of institutional quality on firms' debt maturity in developing nations
by: Matemilola, Bolaji Tunde, et al.
Published: (2023)
by: Matemilola, Bolaji Tunde, et al.
Published: (2023)
Interaction impact of cash flow volatility and fixed assets on debt maturity structure in MENA and African countries
by: Naser, Abdulrahman, et al.
Published: (2024)
by: Naser, Abdulrahman, et al.
Published: (2024)
Non-linearity in debt and return relationship: evidence from dynamic panel threshold method
by: Matemilola, Bolaji Tunde, et al.
Published: (2016)
by: Matemilola, Bolaji Tunde, et al.
Published: (2016)
Moderating effects of governance quality on the relationship between stock liquidity and dividend in emerging market countries
by: Mohd Ashari Bakri,, et al.
Published: (2019)
by: Mohd Ashari Bakri,, et al.
Published: (2019)
Moderating effects of governance quality on the relationship between stock liquidity and dividend in emerging market countries
by: Bakri, Mohd Ashari, et al.
Published: (2019)
by: Bakri, Mohd Ashari, et al.
Published: (2019)
Corporate debt maturity structure: the role of firm level and institutional determinants in selected African countries
by: Etudaiye-Muhtar, Oyebola Fatima, et al.
Published: (2017)
by: Etudaiye-Muhtar, Oyebola Fatima, et al.
Published: (2017)
Impact of long-term debt maturity and corporate social responsibility on default probability in developing countries
by: Badayi, Suleiman Ahmed, et al.
Published: (2020)
by: Badayi, Suleiman Ahmed, et al.
Published: (2020)
Relationship among capital structure, managerial ability, firm age and shareholders return in Malaysia
by: Matemilola, Bolaji Tunde
Published: (2015)
by: Matemilola, Bolaji Tunde
Published: (2015)
Debt maturity and stock returns: an inter-sectoral comparison of Malaysian firms
by: Lau, Wei Theng, et al.
Published: (2016)
by: Lau, Wei Theng, et al.
Published: (2016)
Debt Maturity And Stock Returns:
An Inter-Sectoral Comparison Of
Malaysian Firms
by: Wei, Theng Lau, et al.
Published: (2016)
by: Wei, Theng Lau, et al.
Published: (2016)
Financial constraints, firms' investment and debt financing effect in a developing nation.
by: Matemilola, Bolaji, et al.
Published: (2013)
by: Matemilola, Bolaji, et al.
Published: (2013)
Debt financing and importance of fixed assets and goodwill assets as collateral: dynamic panel evidence
by: Matemilola, Bolaji Tunde, et al.
Published: (2015)
by: Matemilola, Bolaji Tunde, et al.
Published: (2015)
Can China’s cross-sectional dispersion of stock returns Cause or influence the herding behaviour of traders in other local markets and China’s trading partners?
by: Chong, Oiping, et al.
Published: (2020)
by: Chong, Oiping, et al.
Published: (2020)
Impact of leverage and managerial skills on shareholders' return
by: Tunde, Matemilola Bolaji, et al.
Published: (2013)
by: Tunde, Matemilola Bolaji, et al.
Published: (2013)
Debt and cash flow relationship in pecking order theory of corporate financing: dynamic panel evidence
by: Matemilola, B. T., et al.
Published: (2014)
by: Matemilola, B. T., et al.
Published: (2014)
Impact of central bank policy on bank lending rate: developing nations evidence
by: Tunde, Matemilola Bolaji, et al.
Published: (2018)
by: Tunde, Matemilola Bolaji, et al.
Published: (2018)
The impact of debt restructuring on debt maturity, cost of capital and cash holding of non-financial institutions in developing countries: a conceptual framework
by: Alfawzan, Loulwah Suliman, et al.
Published: (2023)
by: Alfawzan, Loulwah Suliman, et al.
Published: (2023)
International diversification and firm's value: evidence from developing nations
by: Amin Noordin, Bany Ariffin, et al.
Published: (2016)
by: Amin Noordin, Bany Ariffin, et al.
Published: (2016)
Impact of financial inclusion on firms’ growth in African nations
by: Hayatu, Ahmed, et al.
Published: (2024)
by: Hayatu, Ahmed, et al.
Published: (2024)
Pecking order theory of capital structure: empirical evidence from dynamic panel data
by: Tunde, Matemilola Bolaji, et al.
Published: (2011)
by: Tunde, Matemilola Bolaji, et al.
Published: (2011)
Role of women board members in the relationship between internal CSR and firm efficiency: evidence from multiple countries
by: Setyowati, Arum, et al.
Published: (2023)
by: Setyowati, Arum, et al.
Published: (2023)
Impact of goodwill on firms’ capital structure in developing countries
by: Thakur, Oli Ahad, et al.
Published: (2020)
by: Thakur, Oli Ahad, et al.
Published: (2020)
Impact of goodwill on firms capital structure in developed and developing countries: moderating effects of legal system
by: Thakur, Oli Ahad, et al.
Published: (2023)
by: Thakur, Oli Ahad, et al.
Published: (2023)
Does top managers experience affect firms capital structure?
by: Tunde, Matemilola Bolaji, et al.
Published: (2018)
by: Tunde, Matemilola Bolaji, et al.
Published: (2018)
Unobservable effects and speed of adjustment to target capital structure
by: Matemilola, Bolaji Tunde, et al.
Published: (2015)
by: Matemilola, Bolaji Tunde, et al.
Published: (2015)
Impact of Capital Structure on the Performance of Nigerian Banks
by: Tunde, Matemilola Bolaji
Published: (2007)
by: Tunde, Matemilola Bolaji
Published: (2007)
Validity of pecking order and trade-off theories in explaining capital structure of listed firms in South Africa
by: Tunde, Matemilola Bolaji
Published: (2012)
by: Tunde, Matemilola Bolaji
Published: (2012)
Financial inclusion and companies' default risk
by: Tunde, Matemilola Bolaji
Published: (2024)
by: Tunde, Matemilola Bolaji
Published: (2024)
Top management characteristics and firm's international diversification activities: evidence from a developing nation
by: Amin Noordin, Bany Ariffin, et al.
Published: (2014)
by: Amin Noordin, Bany Ariffin, et al.
Published: (2014)
Innovation's influence on working capital management and profitability: a Chinese high-tech manufacturing perspective
by: Zhou, Siyu, et al.
Published: (2024)
by: Zhou, Siyu, et al.
Published: (2024)
Cash flow volatility and capital structure in MENA and Africa: the moderating role of fixed assets
by: Naser, Abdulrahamn, et al.
Published: (2024)
by: Naser, Abdulrahamn, et al.
Published: (2024)
Islamic bond announcement: The relationship between Islamic debt characteristics and stock return
by: Fauzi, Fitriya, et al.
Published: (2015)
by: Fauzi, Fitriya, et al.
Published: (2015)
Enhancing stock volatility prediction with the AO-GARCH-MIDAS model
by: Liu, Ting, et al.
Published: (2024)
by: Liu, Ting, et al.
Published: (2024)
The impact of monetary policy on bank lending rate in South Africa
by: Tunde, Matemilola Bolaji, et al.
Published: (2015)
by: Tunde, Matemilola Bolaji, et al.
Published: (2015)
International diversification and multinational firms' risk: do locations of investments matter?
by: Harjito, Agus, et al.
Published: (2018)
by: Harjito, Agus, et al.
Published: (2018)
Do remittances promote human development? empirical evidence from developing countries
by: Chong, Siew Huay, et al.
Published: (2019)
by: Chong, Siew Huay, et al.
Published: (2019)
Technical efficiency and returns to scale on banking sector: empirical evidence from GCC countries
by: Kamarudin, Fakarudin, et al.
Published: (2015)
by: Kamarudin, Fakarudin, et al.
Published: (2015)
Does environmental Kuznets curve hypothesis exist? evidence from dynamic panel threshold
by: Sirag, Abdalla, et al.
Published: (2018)
by: Sirag, Abdalla, et al.
Published: (2018)
Government debt-economic growth nexus in Asean-4 countries
by: Hajian, Hoda, et al.
Published: (2022)
by: Hajian, Hoda, et al.
Published: (2022)
Similar Items
-
Does top managers’ skills moderate the debt-stock returns relationship in Malaysia?
by: Matemilola, Bolaji Tunde, et al.
Published: (2019) -
Impact of institutional quality on firms' debt maturity in developing nations
by: Matemilola, Bolaji Tunde, et al.
Published: (2023) -
Interaction impact of cash flow volatility and fixed assets on debt maturity structure in MENA and African countries
by: Naser, Abdulrahman, et al.
Published: (2024) -
Non-linearity in debt and return relationship: evidence from dynamic panel threshold method
by: Matemilola, Bolaji Tunde, et al.
Published: (2016) -
Moderating effects of governance quality on the relationship between stock liquidity and dividend in emerging market countries
by: Mohd Ashari Bakri,, et al.
Published: (2019)