Developing a competitive and sustainable destination of the future: Clusters and predictors of successful national-level destination governance across destination life …
This study advances the research and methodological approach to measuring and
understanding national-level destination competitiveness, sustainability and governance, by …
understanding national-level destination competitiveness, sustainability and governance, by …
Good governance and sustainable investment: The effects of governance indicators on stock market returns
SNAC Darsono, WK Wong, TTH Nguyen… - Advances in Decision …, 2022 - ideas.repec.org
This research uses the WGI data as proxied of good governance and employs The Fixed
Effect Model (FEM) and Random Effect Model (REM) on the panel data from the sustainable …
Effect Model (FEM) and Random Effect Model (REM) on the panel data from the sustainable …
[PDF][PDF] Measuring the impact of governance quality on stock market performance in developed countries
The aim of this article is to examine the relationship between stock market performance and
country level governance indicators. A good quality of governance in a country ensures …
country level governance indicators. A good quality of governance in a country ensures …
Does corruption matter for stock markets? The role of heterogeneous institutions
In examining the role of institutions in resisting corruption and its impact on growth, most
studies concentrate on the aggregate level and conclude that sound institutions enhance …
studies concentrate on the aggregate level and conclude that sound institutions enhance …
Understanding emerging market equity risk premia: Industries, governance and macroeconomic policy uncertainty
M Donadelli, L Persha - Research in International Business and Finance, 2014 - Elsevier
The average equity risk premium (ERP) in emerging markets is well-known to be
significantly higher than in developed markets. But, key reasons for this remain unclear …
significantly higher than in developed markets. But, key reasons for this remain unclear …
Country-level governance quality and stock market performance of GCC countries
KP Modugu, J Dempere - Modugu, Kennedy P. and Dempere, Juan …, 2020 - papers.ssrn.com
This study examines the association between governance quality at country level and stock
market performance. Specifically, the study investigates the influence of control of corruption …
market performance. Specifically, the study investigates the influence of control of corruption …
The link between quality of governance and stock market performance: International level evidence
The present study investigates the link between quality of governance and stock market
performance within the context of international markets. The study employed the Fixed Effect …
performance within the context of international markets. The study employed the Fixed Effect …
Institutions, regulations and initial coin offerings: An international perspective
Investors and policy-makers still know little about the dynamics of initial coin offerings (ICOs)
as a funding mechanism. Investors' decisions to contribute to ICOs are essentially a leap of …
as a funding mechanism. Investors' decisions to contribute to ICOs are essentially a leap of …
Dynamics between disaggregates of governance and stock market performance in selected South Asia countries
This study explores the dynamics between disaggregated factors of governance and stock
market development for the panel of selected South Asian countries (ie, Bangladesh, India …
market development for the panel of selected South Asian countries (ie, Bangladesh, India …
Shariah-compliant status and investors demand for IPOs: the moderating role of regulatory quality
Purpose The purpose of this study is to look at how Shariah-compliant status and Shariah
regulation affect the demand for initial public offerings (IPOs) in Pakistan. The Shariah …
regulation affect the demand for initial public offerings (IPOs) in Pakistan. The Shariah …