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 87, issue C, 2023
- TLAC bonds and bank risk-taking

- Yasutake Homma and Katsushi Suzuki
- The effects of the ECB’s unconventional monetary policies from 2011 to 2018 on banking assets

- Gerald Dwyer, Biljana Gilevska, Maria J. Nieto and Margarita Samartín
- The politician as a CEO, corporate governance and firm value

- Qazi Amin and Douglas Cumming
- Crisis sentiment and banks’ stock price crash risk: A missing piece of the puzzle?

- Christos Tzomakas, Dimitris Anastasiou, Apostolos Katsafados and Styliani Iris Krokida
- Decentralized lending and its users: Insights from compound

- Kanis Saengchote
- A value-based measure of market power for the participatory deposits of Islamic banks

- Kenneth Baldwin and Maryam Alhalboni
- Network structure and risk-adjusted return approach to stock indices integration: A study on Asia-Pacific countries

- Molla Ramizur Rahman, Arun Kumar Misra, Brian Lucey, Sabyasachi Mohapatra and Satish Kumar
- A Comparative Textual Study of FOMC Transcripts Through Inflation Peaks

- Asif M. Ruman
Volume 85, issue C, 2023
- Turkish currency crunch: Examining behavior across investor types

- Cagri Berk Onuk and Andrew Fodor
- Exploring style herding by mutual funds

- Caterina Santi and Remco C.J. Zwinkels
- Realized higher-order moments spillovers across cryptocurrencies

- Nicholas Apergis
- Hedging effectiveness of bitcoin and gold: Evidence from G7 stock markets

- Lei Xu and Takuji Kinkyo
- Deviations from covered interest parity in the emerging markets after the global financial crisis

- Utku Geyikçi and Süheyla Özyıldırım
- Geopolitical risk and crowdfunding performance

- Naif Alsagr, Douglas Cumming, Justin G. Davis and Ahmed Sewaid
- A multifractal model of asset (in)variances

- Klaus Grobys
- How does the Russian-Ukrainian war change connectedness and hedging opportunities? Comparison between dirty and clean energy markets versus global stock indices

- Renata Karkowska and Szczepan Urjasz
- FDI and human development: The role of governance, ODA, and national competitiveness

- Hyun-Jung Nam and Doojin Ryu
- Learning financial survival from disasters

- Onur Kemal Tosun, Arman Eshraghi and Yaz Muradoglu
- Unconventional monetary policies and credit co-movement in the Eurozone

- Yacoub Sleibi, Fabrizio Casalin and Giorgio Fazio
- Cross-currency basis swap spreads and corporate dollar funding

- Lior David-Pur, Koresh Galil, Mosi Rosenboim and Offer Moshe Shapir
- International stock volatility predictability: New evidence from uncertainties

- Jiqian Wang, Feng Ma, Tianyang Wang and Lan Wu
- Factor-timing in the Chinese factor zoo: The role of economic policy uncertainty

- Zhiyong Li, Yifan Wan, Tianyi Wang and Mei Yu
- Global systemic risk dynamic network connectedness during the COVID-19: Evidence from nonlinear Granger causality

- Ping Zhang, Shiqi Yin and Yezhou Sha
- Determinants of financial stability and risk transmission in dual financial system: Evidence from the COVID pandemic

- Ahmed Elsayed, Habib Ahmed and Mohamad Husam Helmi
- Will investors’ excitement last? Determinants of investors’ responses to cross-border acquisitions by Chinese firms

- Zeng, Rong (Ratchel), Won-Yong Oh and Pengcheng Zhu
- What drives DeFi market returns?

- Florentina Şoiman, Jean-Guillaume Dumas and Sonia Jimenez-Garces
- Does strategic deviation influence firms’ use of supplier finance?

- Xiaomeng Charlene Chen, Stewart Jones, Mostafa Monzur Hasan, Ruoyun Zhao and Nurul Alam
Volume 84, issue C, 2023
- Which COVID-19 information really impacts stock markets?

- Jan Jakub Szczygielski, Ailie Charteris, Princess Rutendo Bwanya and Janusz Brzeszczynski
- FinTech platforms and mutual fund markets

- Yu You, Zongdai Yu, Wenqiao Zhang and Lei Lu
- Dynamic portfolio allocation for financial markets: A perspective of competitive-cum-compensatory strategy

- Cheng Zhang, Xiaomin Gong, Jingshu Zhang and Zhiwei Chen
- Recency bias and the cross-section of international stock returns

- Nusret Cakici and Adam Zaremba
- Bank lending during the COVID-19 pandemic: A comparison of Islamic and conventional banks

- Narjess Boubakri, Ali Mirzaei and Mohsen Saad
- Cryptocurrency regulation and market quality

- Todd Griffith and Danjue Clancey-Shang
- Social trust and firm innovation*

- Sadok El Ghoul, Gong, Zhaoran (Jason), Omrane Guedhami, Fangfang Hou and Wilson H.S. Tong
- Justice as efficiency: Courts and the allocation of electricity in China

- Tong Fu, Feng He and Brian Lucey
- Ethical bank disclosures and liquidity creation

- George Kladakis, Lei Chen and Sotirios K. Bellos
- Cross-border equity flows and information transmission: Evidence from Chinese stock markets

- Jiangze Bian, Kalok Chan, Bing Han and Donghui Shi
- Does genetic diversity on corporate boards lead to improved environmental performance?

- Renatas Kizys, Emmanuel C. Mamatzakis and Panagiotis Tzouvanas
- Hedging effectiveness of cryptocurrencies in the European stock market

- Luca Gambarelli, Gianluca Marchi and Silvia Muzzioli
- A cross-regional investigation of institutional quality and sustainable development

- Ahmed Hunjra, Muhammad Azam, Maria Giuseppina Bruna and Elie Bouri
- Do CoCos serve the goals of macroprudential supervisors or bank managers?

- Linda Allen and Andrea Golfari
Volume 83, issue C, 2023
- Underdog mentality, identity discrimination and access to peer-to-peer lending market: Exploring effects of digital authentication

- Bao Wu, Zijia Liu, Qiuyang Gu and Fu-Sheng Tsai
- The role of interpersonal trust in cryptocurrency adoption

- Akanksha Jalan, Roman Matkovskyy, Andrew Urquhart and Larisa Yarovaya
- Fear sells: On the sentiment deceptions and fundraising success of initial coin offerings

- Niranjan Sapkota and Klaus Grobys
- An evolution of global and regional banking networks: A focus on Japanese banks’ international expansion

- Michael Harrison, Jouchi Nakajima and Mimoza Shabani
- Does adopting voluntary ESG practices affect executive compensation?

- Menachem Abudy, Ilanit Gavious and Efrat Shust
- Asymmetric relationship between green bonds and Sukuk markets: The role of global risk factors

- Syed Billah, Ahmed Elsayed and Sinda Hadhri
- What explains the benefits of international portfolio diversification?

- Najah Attig, Omrane Guedhami, Gregory Nazaire and Oumar Sy
- Climate uncertainty and information transmissions across the conventional and ESG assets

- Oguzhan Cepni, Riza Demirer, Linh Pham and Lavinia Rognone
- Market risks that change US-European equity correlations

- Ghulam Sarwar
- Blue-Collar Crime and Finance

- Alejandro Bernales, Diether Beuermann, Douglas Cumming and Christian Olid
- Spreading of cross-market volatility information: Evidence from multiplex network analysis of volatility spillovers

- Jue Gong, Gang-Jin Wang, Yang Zhou, You Zhu, Chi Xie and Matteo Foglia
- Asset pricing in bull and bear markets

- Sampan Nettayanun
- Cross-market spoofing

- Alexis Stenfors, Mehrdaad Doraghi, Cristina Soviany, Masayuki Susai and Kaveh Vakili
- Cultural values of parent bank board members and lending by foreign subsidiaries: The moderating role of personal traits

- Iftekhar Hasan, Krzysztof Jackowicz, Oskar Kowalewski and Łukasz Kozłowski
- Economic consequences of building a cross-country barrier among alternative policies to deal with unauthorized immigration

- Ilanit Gavious, Tomer Jacoby and Orit Milo
- Social capital, trust, and bank tail risk: The value of ESG rating and the effects of crisis shocks

- Vu Quang Trinh, Ngan Duong Cao, Teng Li and Marwa Elnahass
- Competitive conditions in development finance

- Christopher A. McHugh
- Efficiency dynamics across segmented Bitcoin Markets: Evidence from a decomposition strategy

- Kun Duan, Yang Gao, Tapas Mishra and Stephen Satchell
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