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International Review of Financial Analysis
1992 - 2025
Current editor(s): B.M. Lucey From Elsevier Bibliographic data for series maintained by Catherine Liu (). Access Statistics for this journal.
Is something missing from the series or not right? See the RePEc data check for the archive and series.
Volume 93, issue C, 2024
- The presence and composition of sustainability committee and waste management practices

- Ammar Gull, Mariela Carvajal, Muhammad Atif and Muhammad Nadeem
- Supply chain diffusion mechanisms for AI applications: A perspective on audit pricing

- Jiaxin Wang, Mu Zhao, Xiang Huang, Zilong Song and Di Sun
- Asymmetric and high-order risk transmission across VIX and Chinese futures markets

- Qun Zhang, Zhendong Zhang and Jiawen Luo
- Digital inclusive finance: A lever for SME financing?

- Ya Bu, Xin Du, Yuting Wang, Shuyu Liu, Min Tang and Hui Li
- Risk factors disclosure and corporate philanthropy

- Xiaowei Sun, Tianyu Zheng, Zehao Wang and Peigong Li
- Credit rating, repayment willingness and farmer credit default

- Yanru Li, Haijun Wang, Huikun Gao, Qinghai Li and Guanglin Sun
- Accounting information quality, firm ownership and technology innovation: Evidence from China

- Chengrui Zhang, Zhaohong Li, Jiaqian Xu and Yiyang Luo
- Local FinTech development, industrial structure, and north-south economic disparity in China

- Tongbin Yang and Bo Zhou
- Intermediate cross-sectional prospect theory value in stock markets: A novel method

- Cheoljun Eom, Yunsung Eom and Jong Won Park
- Is corporate social responsibility a matter of trust? A cross-country investigation

- Hui Zhu and Eva Wagner
- Do ‘Lehman Sisters’ work in China? Women on boards and bank risk

- Yichu Huang, Feifei Fang, Yaoyao Fan and Kim Cuong Ly
- Household financial literacy and retirement planning in rural China

- Yuting Qian, Weiqiang Tan and Jingbo Wu
- VAT rate cut and corporate maturity mismatch: Evidence from China's VAT rate reform

- Lexin Zhao, Gang Peng and Qianbin Feng
- Retreat in order to advance: Environmental performance below legality aspiration and corporate disclosure strategy

- Jintao Zhang, Taoyong Su and Li Meng
- The ripple effect of environmental shareholder activism and corporate green innovation: Evidence from Chinese listed companies

- Yuan Sun, YouYun Wen, Senyang Jiang and Haoxiang Zhang
- The information content of SPAC securities

- Tom Nohel
- Analyst collaboration networks and earnings forecast performance

- Shijiao Cao and Chao Liang
- Substantive response or strategic response? The induced green innovation effects of carbon prices

- Ming Chen, Zhongfei Li and Zhuang Liu
- Media opinion divergence and stock returns: Evidence from China

- Zuochao Zhang, John W. Goodell, Dehua Shen and Oumaima Lahmar
- Occupational health and safety management system and stock price crash risk

- Minghui Yang, Yan Wang, Regin Hammer and Petra Maresova
- The power of a name: Exploring the relationship between ICO name fluency and investor decision making

- Feilian Xia, James Thewissen, Prabal Shrestha and Shuo Yan
- Accounting conservatism as a strategy to deter entry: Evidence from China's Negative List System

- Zehua Xiao and Yitong Zhao
- The impact of key audit matters on goodwill accounting and investment behavior: Evidence from China

- Qianqun Ma, Jianan Zhou, Qi Wang and Kongwen Wang
- Institutional investors' corporate site visits and firm-level climate change risk disclosure

- Yanheng Song and Rui Xian
- Does internal whistleblowing enhance firm innovation?

- Fuyin Lan, Yu Chen, Zijun Ding and Yonghao Xu
- Systemic risk prediction using machine learning: Does network connectedness help prediction?

- Gang-Jin Wang, Yan Chen, You Zhu and Chi Xie
- Retail shareholder activism and investment efficiency

- Yang Zhao
- Human-AI collaboration to mitigate decision noise in financial underwriting: A study on FinTech innovation in a lending firm

- Swati Sachan, Fatima Almaghrabi, Jian-Bo Yang and Dong-Ling Xu
- Currency overvaluation and export product quality: Evidence from China

- Dongmin Kong, Zheng Shi and Mengxu Xiong
- Do foreign currency risk management strategies increase value in family business?

- Salma Mefteh-Wali and Nazim Hussain
- Global financial risk and market connectedness: An empirical analysis of COVOL and major financial markets

- Chunlin Lang, Danyang Xu, Shaen Corbet, Yang Hu and John W. Goodell
- Does social trust affect firms' ESG performance?

- Bo Zhu and Yansen Wang
- Credit default swaps and shareholder monitoring

- Qiankun Gu, Dongmin Kong, Fangbo Si, Xi Xiong and Xiaoxu Yu
- Coping with the storm: The role of fintech in SME survival

- Nan Zhou and Ruohan Sun
- Bursting the bitcoin bubble: Do market prices reflect fundamental bitcoin value?

- Andrea Podhorsky
- Donald Trump's tweets, political value judgment, and the Renminbi exchange rate

- Qisi Zhang, Michael Frömmel and Edwin Baidoo
- Brand capital and debt choice

- Nurul Alam, Sabri Boubaker, Xiaomeng Charlene Chen and Mostafa Monzur Hasan
- Benefits and costs: The impact of capital control on growth-at-risk in China

- Yang Zhou
- Nonlinear behavior of tail risk resonance and early warning: Insight from global energy stock markets

- Qichang Xie, Tingwei Fang, Xueyun Rong and Xin Xu
- Are “too big to fail” banks just different in size? – A study on systemic risk and stand-alone risk

- Zongyuan Li and Rose Neng Lai
- Data breach disclosures and stock price crash risk: Evidence from data breach notification laws

- Hung Cao, Hieu V. Phan and Sabatino Silveri
- Being famous matters: Evidence from cash flow volatility

- Mohamed Shaker Ahmed and Marwa Elnahass
- Investigating extreme linkage topology in the aerospace and defence industry

- Elie Bouri, Barry Quinn, Lisa Sheenan and Yayan Tang
- What accounts for the effect of sustainability engagement on stock price crash risk during the COVID-19 pandemic—Agency theory or legitimacy theory?

- Junru Zhang, Chen Zheng and Yuan George Shan
- Strategic liquidity provision in high-frequency trading

- Takaki Hayashi and Katsumasa Nishide
- The impact of corporate governance on the information content of earnings and cash flows: Evidence from Brazil

- Jose Miranda-Lopez and Isho Tama-Sweet
- Does downside risk in the stock market differ by legal origin? The impact of property rights and the rule of law on stock markets

- Yosuke Tomita
- VAT credit refunds and firm productivity: Evidence from China's VAT reform

- Lihua Liu, Lele Cao, Yuqiang Cao, Meiting Lu and Yaowen Shan
- Why does price deviate from net asset value? The case of Singaporean infrastructure REITs

- Calvin Kumala, Zhen Ye, Yite Zhu and Qiulin Ke
- Cybersecurity and executive compensation: Can inside debt-induced risk aversion improve cyber risk management effectiveness?

- Asligul Erkan-Barlow and Trung Nguyen
- Cybersecurity data breaches and internal control

- Fuzhao Zhou and Jianning Huang
- Real-time forecast of DSGE models with time-varying volatility in GARCH form

- Semih Emre Çekin, Sergey Ivashchenko, Rangan Gupta and Chien-Chiang Lee
- The effect of directors' and officers' liabilities insurance on corporate social responsibility evidence from China

- Qingbin Meng, Song Wang and Ziya Zhong
- Connectedness across meme assets and sectoral markets: Determinants and portfolio management

- Ahmed Elsayed, Mohammad Enamul Hoque, Syed Billah and Md. Kausar Alam
- Do stress and overstatement in the news affect the stock market? Evidence from COVID-19 news in The Wall Street Journal

- Federico Carlini, Vincenzo Farina, Ivan Gufler and Daniele Previtali
- Volatility connectedness on the central European forex markets

- Peter Albrecht and Evžen Kočenda
- ESG performance and corporate fraudulence: Evidence from China

- Fei Su, Mengyao Guan, Yujie Liu and Jia Liu
- Connectedness between healthcare cryptocurrencies and major asset classes: Implications for hedging and investments strategies

- Ritesh Patel, Mariya Gubareva, Muhammad Zubair Chishti and Tamara Teplova
- Friends in media: Implications of media connections for analyst forecast optimism

- Md Miran Hossain, Babak Mammadov and Hamid Vakilzadeh
- COVID-19 mortality risk premium and the interest rate on mortgage loans

- Balbinder Singh Gill
- Vulnerability of a developing stock market to openness: One-way return and volatility transmissions

- Aminu Hassan, Masud Usman Ibrahim and Ahmed Jinjiri Bala
- Does investor attitude toward carbon neutrality affect stock returns in China?

- Boqiang Lin and Kai Wei
- The effect of regime-switching transaction costs and cash dividends on liquidity premia

- Jiwon Chae, Bong-Gyu Jang and Taeyoon Kim
- Collateral damage: Evidence from share pledging in China

- Danglun Luo, Zhirong Piao, Cen Wu and Frank Feida Zhang
- Executive characteristics as moderators: Exploring the impact of geopolitical risk on capital structure decisions

- Mona Yaghoubi
- The impacts of registration regime implementation on IPO pricing efficiency

- Qi Deng, Linhong Zheng, Jiaqi Peng, Xu Li, Zhong-guo Zhou, Monica Hussein, Dingyi Chen and Mick Swartz
- Revisiting the residual momentum in Japan

- Yasuhiro Iwanaga
- Carbon intensity and market pricing: An asymmetric valuation

- Massimo Mariani, Alessandra Caragnano, Francesco D'Ercole and Domenico Frascati
- Reforming the Eurozone financial system: A system-dynamics approach

- N.D. van Egmond and B.J.M. de Vries
- Does short selling reduce classification shifting?—— Exploration of market-oriented governance mechanism

- Meng He, Xuelian Bai and Junrui Zhang
- The impact of the Russia–Ukraine war on volatility spillovers

- Tony Sio-Chong U, Yongjia Lin and Yizhi Wang
- Does greenwashing affect Company's stock Price? Evidence from Europe

- Emanuele Teti, Leonardo L. Etro and Lorenzo Pausini
- Uncertainty shocks, investor sentiment and environmental performance: Novel evidence from a PVAR approach

- Wissal Zribi, Talel Boufateh, Bechir Ben Lahouel and Christian Urom
- Quantile time-frequency spillovers among green bonds, cryptocurrencies, and conventional financial markets

- Mingguo Zhao and Hail Park
- Numerological superstitions and market-wide herding: Evidence from China

- Yueting Cui, Konstantinos Gavriilidis, Bartosz Gebka and Vasileios Kallinterakis
- From dawn to dusk: The relationship between CEO career horizon and ESG engagement

- David Cabreros, Gabriel de la Fuente and Pilar Velasco
- Fintech and financial sector: ADO analysis and future research agenda

- Priya Choudhary and M. Thenmozhi
- When one domino falls, others follow: A machine learning analysis of extreme risk spillovers in developed stock markets

- Sitara Karim, Muhammad Shafiullah and Muhammad Abubakr Naeem
- The National Team: Stock market interventions and corporate catering behavior

- Yasir Shahab, Chong-xiao Wang, P. Eric Yeung and Jia-nan Zhou
- Investor network and stock return comovement: Information-seeking through intragroup and intergroup followings

- Shan Lu and Jichang Zhao
- How do depositors respond to banks' discretionary behaviors? Evidence from market discipline, deposit insurance, and scale effects

- Dung Viet Tran, Nazim Hussain, Duc Khuong Nguyen and Trung Duc Nguyen
- Impact of climate risk shocks on global food and agricultural markets: A multiscale and tail connectedness analysis

- Rabeh Khalfaoui, John W. Goodell, Salma Mefteh-Wali, Muhammad Zubair Chishti and Giray Gözgör
- Bitcoin replication using machine learning

- Richard D.F. Harris, Murat Mazibaş and Dooruj Rambaccussing
- Economic uncertainty, public debt and non-performing loans in the Eurozone: Three systemic crises

- Veton Zeqiraj, Constantin Gurdgiev, Kazi Sohag and Shawkat Hammoudeh
- Reasons for M&A: A perspective from senior executives' rural experiences- Evidence from Chinese private listed companies

- Xiaohong Xiao, Jinxia Peng and Xiaogang He
- Harnessing the power of real-time forum opinion: Unveiling its impact on stock market dynamics using intraday high-frequency data in China

- Zhenpeng Tang, Qiaofeng Lin, Yi Cai, Kaijie Chen and Dinggao Liu
- Diversification, hedging, and safe-haven characteristics of cryptocurrencies: A structural change approach

- Shu-Han Hsu, Po-Keng Cheng and Yiwen Yang
- A pricing model system for small and micro loan insurance considering limited claims

- Bin Hu and Yan-Ping Hu
- The impact of firm's ESG performance on the skill premium: Evidence from China's green finance reform pilot zone

- Dongyang Zhang, Cao Wang, Shan Miao and Lei Deng
- Does a consistently capitalized R&D ratio improve information effects of capitalized development expenditures?

- Cho, Joe (Joonghi) and Heejung Kim
- Reflections of public perception of Russia-Ukraine conflict and Metaverse on the financial outlook of Metaverse coins: Fresh evidence from Reddit sentiment analysis

- Indranil Ghosh, Esteban Alfaro-Cortés, Matías Gámez and Noelia García-Rubio
- Economic policy uncertainty and managerial short-termism

- Eun Hye Jo and Jung Wha Lee
- Information shocks and short-term market overreaction: The role of investor attention

- Yongqiang Meng, Xiao Li and Xiong Xiong
- Examining the impact of a central bank digital currency on the access to banking

- Kwamie Dunbar and Daniel N. Treku
- Prediction of realized volatility and implied volatility indices using AI and machine learning: A review

- Elias Søvik Gunnarsson, Håkon Ramon Isern, Aristidis Kaloudis, Morten Risstad, Benjamin Vigdel and Sjur Westgaard
- Prescreening bank failures with K-means clustering: Pros and cons

- Dror Parnes and Alper Gormus
- Network centrality, information diffusion and asset pricing

- Miao Yu, Xiaolu Hu and Angel Zhong
- Operational analysis of crowdfunding on business: A perspective of product competition

- Ju Wei, Xiaomin Gong and Xiao Cao
- To be green or not to be: How governmental regulation shapes financial institutions' greenwashing behaviors in green finance

- Changyu Liu, Jing Wang, Qiang Ji and Dayong Zhang
- Do vocal cues matter in information disclosure? Evidence from IPO online roadshows in the SSE STAR market

- Shengpeng Zhang, Yaokuang Li, Yu He and Ruixin Liang
- Across the faultlines: A multi-dimensional index to measure and assess board diversity

- Tamer Elshandidy, Matthew Bamber and Hossam Omara
- Nexus between carbon emissions and local debt risk: Evidence from China's prefecture-level cities

- Xiaojun Dong, Xiaowen Yu, Tao Shi and Dan Qiao
- From concept to capital: Investigating the influence of green innovation on equity financing in BRICS economies

- Qianqian Chen
- The effects of membership expansion on credit union risk and returns

- Jordan van Rijn
- Geopolitical risk and corporate cash Holdings in China: Precautionary motive and agency problem perspectives

- Xueting Wang, Man Wang and Haoran Wu
- Presidential economic approval rating and trade credit

- Augustine Tarkom and Lukai Yang
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