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 (repec@elsevier.com). Access Statistics for this journal.
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Volume 95, issue C, 2024
- Unlocking Dividends: The impact of managerial social capital on international corporate payouts

- Douglas Cumming, David Javakhadze and Tijana Rajkovic
- The nexus of conventional, religious and ethical indexes during crisis

- Omneya Abdelsalam, Daniel Felix Ahelegbey and Yassine Essanaani
- Socially responsible banking: Weathering the Covid-19 storm

- Laura Chiaramonte, Alberto Dreassi, Claudia Girardone and Stefano Piserà
- Climate risk and the systemic risk of banks: A global perspective

- Baohui Wu, Fenghua Wen, Yun Zhang and Huang, Zhijian (James)
- Limits to arbitrage and the term structure of CIP violations

- Paul Wohlfarth and Xiaohong Chen
- Market uncertainties and too-big-to-fail perception: Evidence from Chinese P2P registration requirements

- Zongyuan Li, Jingya Li and Xiao Chang
- Green innovation and corporate default risk

- Md Safiullah, Dinh Hoang Bach Phan and Md. Nurul Kabir
- Bankruptcy reforms and corporate debt structure

- Xiaotian Liu, Yaxuan Qi and Wai Yee Wan
- Global climate policy uncertainty and financial markets

- Qiang Ji, Dandan Ma, Pengxiang Zhai, Ying Fan and Dayong Zhang
Volume 94, issue C, 2024
- Comparative dynamics of housing finance: A cross-country analysis

- Jongseok Rim
- Blockchain factors

- Athanasios Sakkas and Andrew Urquhart
- Green bond issuance and credit risk: International evidence

- Laura Ballester, Ana González-Urteaga and Long Shen
- International crash risk premium

- Steven Shu-Hsiu Chen
- Politicians’ connections and sovereign credit ratings

- Patrycja Klusak, Yurtsev Uymaz and Rasha Alsakka
- Asymmetric trading restriction and return comovement

- Hongbing Zhu, Lihua Yang and Bing Zhang
- Political affinity, multilateralism, and foreign direct investment worldwide

- Wenlian Lin, Jerry Cao, Sili Zhou and Yong Li
- Sovereign risk dynamics in the EU: The time varying relevance of fiscal and external (im)balances*

- Antonio Afonso, José Alves and Sofia Monteiro
- One crash, too many: Global uncertainty, sentiment factors and cryptocurrency market

- Rilwan Sakariyahu, Rodiat Lawal, Rasheed Adigun, Audrey Paterson and Sofia Johan
Volume 93, issue C, 2024
- Reputational risk and firm performance: Family versus nonfamily firms in different regulatory environments

- Yuying Sun and Zhenyu Wu
- Foundation ownership and creditor governance: Evidence from publicly listed companies

- Bonnie Buchanan and Caglar Kaya
- The EU prospectus regulation and its impact on SME listings

- Christoph Kaserer and Victoria Treßel
- Does trade openness promote economic growth in developing countries?

- Hyun-Jung Nam and Doojin Ryu
- Dividend policy under mandatory ESG reporting

- Xiaoqi Chen, Weiping Li, Wouter Torsin and Albert Tsang
- World ESG performance and economic activity

- Timotheos Angelidis, Athanasios Michairinas and Athanasios Sakkas
- Exchange rate, distribution, and outward direct investment

- Wei Tian
- Implicit barriers, market integration and asset prices: Evidence from the inclusion of China A-shares in MSCI global indices

- Bo Li, Qian Sun and Zhihua Wei
- CSR contracting and stock price crash risk: International evidence

- Simeng Liu, Kun Tracy Wang, Sonali Walpola and Nathan Zhenghang Zhu
- Diverse investor reactions to the COVID-19 Pandemic: Insights from an emerging market

- Suman Neupane, Zhebin Fan, Daniel Yanes Sanchez and Biwesh Neupane
- Do natural disasters affect stock price crash risk? Evidence from emerging markets

- Rui Zhao, Dayong Zhang and Mengmeng Guo
- Fintech and financial stability: Evidence from spatial analysis for 25 countries

- Barbara Koranteng and Kefei You
- Confidence in the world bank and IMF: Alignment of individual beliefs and institutional policies

- John Anderson
- Clustering asset markets based on volatility connectedness to political news

- Hooman Abdollahi, Juha Junttila and Heikki Lehkonen
- Exchange market pressure in interest rate rules

- Franc Klaassen and Kostas(Konstantinos) Mavromatis
- Macro fundamentals and the resurgence of the Feldstein–Horioka puzzle in Europe

- António Martins
- Corporate integrity culture and credit rating assessment

- Xin Bao, Meini Han, Raymond Lau and Xiaowei Xu
- Electricity markets regulations: The financial impact of the global energy crisis

- Ignacio Segarra, Christina Atanasova and Isabel Figuerola-Ferretti
- Unleashing Fintech’s potential: A catalyst for green bonds issuance

- Jin Huang, Ruiqi Liu, Wenting Wang, Zi'ang Wang, Congwei Wang and (Jimmy) Jin, Yong
- Do infectious diseases explain Bitcoin price Fluctuations?

- Florin Aliu
Volume 92, issue C, 2024
- Does green matter for crowdfunding? International evidence

- Xiaobo Tang, Xingyuan Yao, Ruyi Dai and Qian Wang
- Greenhouse gas emissions and the stability of equity markets

- David Y. Aharon, Ahmed S. Baig, Gady Jacoby and Zhenyu Wu
- Spillover effects of US monetary policy on emerging markets amidst uncertainty

- Povilas Lastauskas and Anh Dinh Minh Nguyen
- Size matters: Unpacking the relationship between institutional investor size and private equity asset allocation within diverse institutional contexts

- Douglas Cumming, Muhammad Zubair Khan, Naimat U. Khan and Zafir Ullah Khan
- Trust matters: A global perspective on the influence of trust on bank market risk

- Omneya Abdelsalam, Antonios Chantziaras, Nathan Lael Joseph and Nikolaos Tsileponis
- Does market misvaluation drive cross-border M&As?

- Wenxuan Huang, Weidong Xu, Donghui Li, Ling Zhao and Shijie Yang
- The relevance of media sentiment for small and large scale bitcoin investors

- Joscha Beckmann, Teo Geldner and Jan Wüstenfeld
- Digital disruptors at the gate. Does FinTech lending affect bank market power and stability?

- Pedro Cuadros-Solas, Elena Cubillas, Carlos Salvador and Nuria Suárez
- Climate risk and investment efficiency

- Weidong Xu, Wenxuan Huang and Donghui Li
- ESG and aggregate disagreement

- Di Luo and Hisham Farag
- Empirical study on voting results and proxy advisor recommendations in Japan

- Hiroaki Miyachi and Fumiko Takeda
- Macroeconomic momentum and cross-sectional equity market indices

- Yu Zhang, Konstantina Kappou and Andrew Urquhart
- Forecasting international financial stress: The role of climate risks

- Santino Del Fava, Rangan Gupta, Christian Pierdzioch and Lavinia Rognone
- Impacts of carbon market and climate policy uncertainties on financial and economic stability: Evidence from connectedness network analysis

- Chao Liang, John W. Goodell and Xiafei Li
- Employment protection, corporate governance, and labor productivity around the World

- Guangzhong Li, Keishi Fujiyama, Cen Wu and Ying Zheng
- Family firm, financial constraint, and environmental preparedness: An international study

- Zulfiquer Haider, Yefeng Wang and Yuan Wang
- Capital flow dynamics and the synchronization of financial cycles and business cycles in emerging market economies

- Solikin Juhro, Bernard Njindan Iyke and Paresh Kumar Narayan
- Connectedness between central bank digital currency index, financial stability and digital assets

- Tugba Bas, Issam Malki and Sheeja Sivaprasad
- Detecting the risk of cross-product manipulation in the EUREX fixed income futures market

- Alexis Stenfors, Kaveesha Dilshani, Andy Guo and Peter Mere
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