Mamoru Nagano Official Website

Refereed Journal Articles: International

1Does Islamic Finance Follow Financial Hierarchy? Evidence from the Malaysian Firms, The Singapore Economic Review, 2022, Vol. 67, pp. 511-540.
2What Promotes/Prevents Firm Bond Issuance in Emerging Economies:Bank–Firm Relationship or Information Asymmetry?, International Review of Economics and Finance, 2018, Vol.56, pp.161-177.
3What Drives Inter-Regional Bank Branch Closure?:The Case of Japan's Regional Banks in the Post-Deregulation Period (with T. Ushijima), International Review of Finance, 2018, Vol.18, pp.595-635.
4Sukuk Issuance and Information Asymmetry: Why Do Firms Issue Sukuk?, Pacific-Basin Finance Journal, 2017, Vol.42, pp.142-157.
5The Bank-Firm Relationship during Economic Transition:The Impacts on Bank Performance, Emerging Markets Review, 2016, Vol.28, pp.117-139.
6Who Issues Sukuk, and When?: An Analysis of the Determinants of Islamic Bond Issuance, Review of Financial Economics,2016,Vol.31, pp.45-55.
7Financing Patterns and Property Acquisitions of Sponsor-backed REITs: Evidence from J-REIT Markets, International Real Estate Review, Vol.19,No.2,2016,pp.223-248.
8Another Determinant of Household Leverage:Evidence from Japan's Mortgage Loan Data (with D.H.Yeom), International Review of Finance,2014,Vol.14,No.1,pp.105-139.
9Similarities and Differences among Cross-border M&A and Greenfield FDI Determinants, Emerging Markets Review,Vol. 16,2013,pp.100-118.
10Cross-border Acquisitions in a Transition Economy: Recent Experience of China and India (with Yuan Yuan), Journal of Asian Economics,Vol.24,2013,pp.66-79.
11Real Estate Securitization and the Dept Maturity Structure: Evidence from J-REITs, International Real Estate Review,Vol.16.No.3,2013,pp.252-273.
12Ownership Structure and Risk Taking Behavior: Evidence from Banks in Korea and Japan (with S.E.Chun and M.H.Lee), Asian Economic Journal,Vol.25,No.2, June 2011, pp.151-175.
13The Effect of Easing Monetary Policy in Regional Leading Marlets in Japan, Global Economic Review, Vol.2,March 2011, pp.1-19.
14Market Competition Before and After Bank Merger Wave: A Comparative Study of Korea and Japan(with M.H.Lee), Pacific Economic Review,Vo.13,Issue 5,2008,pp.604-619.
15Corporate Finance and the Asian Bond Market, Journal of International Economic Studies, Vol.22, March, pp.87-96, 2008.
16Information Economics of Asian Bond Markets: A Comparative Analysis of Credit Agencies, Journal of Asia Pacific Business, Vol.8, Number 3, 14 August,pp.91-112(22), 2007.
17R&D Investment and the Government's R&D Policies of Electronics Industries in Korea and Taiwan, Journal of Asian Economics, Vol 17, pp.653-666, 2006.
18Public Finance of Seigniorage and Inflation: An Empirical Study of Asian Countries, The Review of Asia and Pacific Studies, No.31, pp.115-127, 2006.
19Investment and Export-Led Industrialization: Financial Constraints and Export Promotion of East Asian Firms, Journal of Economic Development, Vol.30, Number 1 June, pp.81-93, 2005.
20Inter-Regional and Intra-Regional Trade in East Asia: Recent Developments and Aggregate Bilateral Trade Elasticities, Journal of Economic Integration, Vol.18 No.1, March 2003, pp.105-125, 2003.

Refereed Journal Articles: Domestic

1The Economics of Technological Innovation : Evidence from Japanese Firms in the 2000s,
『国際公共政策研究』大阪大学、第16巻1号、135-152頁.
2東アジア社債市場の発展は可能か?:社債発行決定要因の国際比較分析
『金融経済研究』 第25号, 2007年10月, 55-71頁.
3アジア債券市場と情報仲介機関―域内外格付機関の格付け行動の実証分析
『アジア研究』第51巻第4号, 2005年10月, pp.50-64.
4中国B株市場におけるIPOの決定要因、『証券アナリストジャーナル』
Jul.2004. Vol.42 NO.7, pp.81-93.
5東アジア・ビジネス・グループのファイナンスに関する一考察:リスクシェアリング効果は存在するか、
『証券経済研究』第43号、2003年9月, pp.85-100.
6為替レート変動の非定常性に関する分析、『日本経済研究』 No.35, 1997年12月, pp.1-25.

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