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Business & Economics

Investors
External auditor
Stock market
Emerging economies
Fraud
Nigeria
Financing
China
Factors
Finance
Analysts
Africa
Developing countries
Assets
Governance
Corporate governance
Cash
Cash flow
Value relevance
Disclosure
Financial reporting
Pakistan
Energy
Project finance
Policy uncertainty
Investment-cash flow sensitivity
Government
Leverage
Economic policy
Payment
Financial constraints
Audit
Equity
Managers
Private sector
Stock returns
Proportion
Debt
Energy sector
Financial analysts
Sub-Saharan Africa
Democracy
Banking sector
Method of payment
Sustainability
News
Mergers and acquisitions
Brokerage
Profitability
Capital markets
Socio-economics
Corporate debt
South Africa
Supply side
Accounting standards
Ownership
Multinational enterprises
Historical analysis
Cross-listing
Board structure
Intangibles
Time horizon
Financial performance
Survivorship bias
Currency risk
Isomorphism
Bank profitability
Central banking
Sustainability index
Currency
Director compensation
Multinationals
World War I
India
Political regime
Delisting
Foreign exchange exposure
Earnings management
Foreign direct investment
Cameroon
Kenya
Ordered logit model
Infrastructure projects
Market behavior
Stock market returns
Small and medium-sized enterprises
Content analysis
Financial time series
Consolidation
Democratization
Volatility risk
Learning algorithm
Investor sentiment
Stock index
Machine learning
Rhetoric
Investor protection
Expropriation
Financial risk management
Pricing
Sarbanes-Oxley
Accounting conservatism
Capital structure
Land reform
Reputation mechanism
Corporate acquisitions
Asset allocation
Zambia
Accountancy
Global standards
Credibility
International Accounting Standards Board
Downside risk
Risk measures
Portfolio management
Analyst recommendations
Investment strategy
Residual income valuation
Competitive advantage
Poland
Family enterprise
Conservatism
Corporate value
Peers
Cash holdings
Uncertainty
Credit
Central bank
Dividends
Robust optimization
Portfolio selection
Emerging markets
Usefulness
Global financial crisis
Persistence
Derivatives
Abnormal returns
Investment risk
Information asymmetry
Stock exchange
Innovation
Intangible assets
Price limits
Optimization model
Economic environment
Credit constraints
Risk factors
Liquidity
Loans
Banking
Auditors
Asset management
Politicians
Financial economics
Management innovation
Financial innovation
Quantitative finance
Investment management
Growth opportunities
Exchange rates
Banking industry
Fraud detection
Fraud risk
Proximity
Foreign investment
Financial centres
Risk preferences
Risk management
Modeling
Cross section
Realized volatility
Legal profession
Macroeconomic factors
Endogeneity
Industrial dynamics
Supply shocks
Credit supply
Threshold model
Natural experiment
Auditing standards
International corporate governance
Bank financing
Bank credit
Financial sector
Dictatorship
Government ownership
Corporate boards
Board composition
Rationalization
Capital adequacy
Sarbanes-Oxley Act
Deviation
Liability
Resources
Structured interview
Academic research
Firm characteristics
Data base
Agenda
Economics