Journal of International Financial Markets, Institutions and Money
1997 - 2025
Current editor(s): I. Mathur and C. J. Neely From Elsevier Bibliographic data for series maintained by Catherine Liu (). Access Statistics for this journal.
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Volume 100, issue C, 2025
- Dollarization vs. bitcoinization in Türkiye: Which is more dangerous for the financial market?

- George M. Jabbour and Layal Mansour-Ichrakieh
- Multiple large shareholders and controlling shareholders’ over-appointing of directors

- Feng Wei and Lei Zhou
- Aggregate earnings and global equity returns

- Yigit Atilgan, K. Ozgur Demirtas, A. Doruk Gunaydin, Aynur Dilan Tosun and Duygu Zirek
- Exchange rate regime changes and market efficiency: An event study

- Teresa Corzo, Karin Martin-Bujack, Jose Portela and Alejandro Rodríguez-Gallego
- ESG ratings: Disagreement across providers and effects on stock returns

- Giulio Anselmi and Giovanni Petrella
- Multidimensional information spillover between cryptocurrencies and China’s financial markets under shocks from stringent government regulations

- Ming-Yuan Yang, Zhe-Kai Chen, Jingwen Hu, Yiru Chen and Xin Wu
- Spillover effects of US economic policy uncertainty on emerging markets: Evidence from transnational supply chains

- Jieying Gao, Qi Qin and Shengjie Zhou
- Religious similarity in mergers and acquisitions

- Yunhao Dai, Xu Huang, Weiqiang Tan and Yao, Daifei (Troy)
- From the executive suite to the environment: How does CEO power affect climate change disclosures?

- Sudipta Bose, Sabri Boubaker, Hussein Daradkeh and Syed Shams
Volume 99, issue C, 2025
- The crypto collapse chronicles: Decoding cryptocurrency exchange defaults

- Niranjan Sapkota
- Accounting comparability between M&A bidders and targets and deal outcome

- Seraina C. Anagnostopoulou and Andrianos Tsekrekos
- Give me a break: What does the equity premium compensate for?

- Patrizia Perras and Niklas Wagner
- Central bank digital currency and systemic risk

- Muhammad Suhail Rizwan, Ghufran Ahmad and Anum Qureshi
- Bank profitability and central bank digital currency

- Mario Bellia and Ludovic Calès
- The domestic and spillover effects of fiscal consolidation: The role of fiscal instruments, exchange rate regimes, and capital controls

- Yunhan Zhang, Zhixin Liu and Hao Jin
- Does international trade moderate economic development’s impact on income inequality in the EU?

- Hyun-Jung Nam and Doojin Ryu
- Stablecoins as anchors? Unraveling information flow dynamics between pegged and unpegged crypto-assets and fiat currencies

- Rafael Baptista Palazzi, Sebastian Schich and Alan de Genaro
- Tech titans and crypto giants: Mutual returns predictability and trading strategy implications

- Elie Bouri, Amin Sokhanvar, Harald Kinateder and Serhan Çiftçioğlu
- Global convergence of financial reporting and resilience to fiscal spillover shocks

- Zhong, Rong (Irene)
- Sudden stops of capital inflows, macroprudential policies, and bank systemic risk: An international investigation

- Yu Wang, Yiming Lu and Gaoya Song
- Banking regulation and corporate R&D investment: Evidence from regulatory penalties in China

- Yuanbiao Huang and Jinlei Li
- Stock market reaction to mandatory carbon disclosure announcements: The role of institutional investors

- Chris Florackis, Dewan Muktadir-Al-Mukit, Sushil Sainani and Zhang, Ziyang (John)
- Ex ante bond returns and time-varying monotonicity

- Hamid Yahyaei, Abhay Singh and Tom Smith
- Other comprehensive income volatility and bank risk

- Yang Su, Junrui Zhang, Hong Zhao and Mingming Zhou
- Nonlinearity in the nexus between financial development and wealth inequality

- Dong-Hyeon Kim, Peiyao Liu and Shu-Chin Lin
- Downside belief disagreements and financial instability: Evidence from risk factor disclosures in U.S. financial institutions’ 10-K filings

- Rui Li, Jianping Li and Xiaoqian Zhu
- Extractive institutions and banks’ implicit subsidies

- Lucas N.C. Vasconcelos and Rafael Schiozer
- Governmental venture capital and investor sentiment: Evidence from Chinese government guidance funds

- Xinfei Huang, Yue Zhang and Zhe Zong
- Sovereign debt cost and economic complexity

- Jose Gomez-Gonzalez, Jorge Uribe and Oscar Valencia
- Covered interest rate parity deviations, COVID-19 pandemic infection cases, and vaccination

- Yu-Lun Chen, Yi-Hua Li, Wan-Shin Mo and J. Jimmy Yang
- Managing cryptocurrency risk exposures in equity portfolios: Evidence from high-frequency data

- Minhao Leong, Vitali Alexeev and Simon Kwok
Volume 97, issue C, 2024
- Forecasting Bitcoin volatility using machine learning techniques

- Zih-Chun Huang, Ivan Sangiorgi and Andrew Urquhart
- Market timing with moving average distance: International evidence

- Menachem Abudy, Guy Kaplanski and Yevgeny Mugerman
- Financial openness, liability composition of banks, and bank risk: International evidence

- Zixian Li and Fernando Moreira
- Forecasting exchange rate volatility: An amalgamation approach

- Antonios K. Alexandridis, Ekaterini Panopoulou and Ioannis Souropanis
- Organization capital, dividends and firm value: International evidence

- Ioannis Chasiotis, Georgios Loukopoulos and Kanellos Toudas
- Firm biodiversity risk, climate vulnerabilities, and bankruptcy risk

- Gbenga Adamolekun
- CEO age and corporate environmental policies

- Huong Le, Tung Nguyen and Andros Gregoriou
- Impact of using derivatives on stock market liquidity

- Neeru Chaudhry and Aastha Gupta
- Asymmetric Higher-Moment spillovers between sustainable and traditional investments

- Xie He and Shigeyuki Hamori
- Self-regulation for responsible banking and ESG disclosure scores: Is there a link?

- Ronny Manos, Maya Finger and Haim Boukai
- Real earnings management and debt choice

- Mostafa Monzur Hasan, Nurul Alam, Mohammad Riaz Uddin and Stewart Jones
- Does climate risk shape firms’ accounting conservatism?

- Rong Ding, Gady Jacoby, Mingzhi Liu, Tingting Wang and Zhenyu Wu
- HACKED: Understanding the stock market response to cyberattacks

- Erdinc Akyildirim, Thomas Conlon, Shaen Corbet and Hou, Yang (Greg)
- Global banks and the picking order in internal capital markets: Do locational activity patterns matter?

- D’Avino, Carmela
- Carbon emission trading scheme, investors’ attention, and earnings response coefficients

- Jun Hu, Siyu Zhang, Liang Wang and Daifei Yao
Volume 96, issue C, 2024
- Fall of dwarfs: micro and macroeconomic determinants of the disappearance of European small banks

- Federica Poli, Simone Rossi and Mariarosa Borroni
- How does standardization affect OTC markets in the long term? Evidence from the small bang reform in the CDS market

- Radu-Dragomir Manac, Chiara Banti and Neil Kellard
- Secrecy culture and sensitivity of investment to stock prices: Evidence from emerging markets

- Barbara Abou Tanos, Omar Farooq and Neveen Ahmed
- The bind and the slack of Basel III liquidity regulations: Evidence from Indonesia

- Zaäfri A. Husodo, Arisyi Raz and Dwi Danarsari
- Beyond the target: The spillover effect of shareholder activism on corporate tax avoidance

- Haowen Tian, Junkai Wang and Sirui Wu
- Are state-owned enterprises more responsible for carbon neutrality? Evidence from stock market reactions to China’s commitment to carbon neutrality

- Qing Yu, Eddie C.M. Hui and Jianfu Shen
- A more sustainable future: Can politically connected CEOs spur the nexus between ESG performance and firm financial performance?

- Mohamed Marie, Baolei Qi, Mohammed Elgammal and Marwa Elnahass
- The Shock of US-China trade war and the job Market: Downstream shrinkage and upstream employment

- Yunqing Tao, Wei Yang, Yongwei Ye and Dongmin Kong
- Does ESG contracting align or compete with stakeholder interests?

- Maria Gaia Soana
- Social media as an amplifier of insider trading profits

- Yi Li, Wei Zhang, Pengfei Wang and John W. Goodell
- Global uncertainty and exchange rate conditions: Assessing the impact of uncertainty shocks in emerging markets and advanced economies

- Helena Glebocki and Sujata Saha
- Dependence of green energy markets on big data and other fourth industrial revolution technologies

- Ramzi Benkraiem, Khaled Guesmi, Gideon Ndubuisi, Christian Urom and Samuel Vigne
- Good vs. bad volatility in major cryptocurrencies: The dichotomy and drivers of connectedness

- Jan Sila, Evžen Kočenda, Ladislav Kristoufek and Jiri Kukacka
- Financial sector development and microcredit to small firms

- Désiré Kanga, Issouf Soumare and Hubert Tchakoute Tchuigoua
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