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Journal of International Money and Finance
1982 - 2025
Current editor(s): J. R. Lothian 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 154, issue C, 2025
- Climate risk and corporate bond credit spreads

- Feng He, Xingzi Ren, Yueren Wang and Xingfan Lei
- Corporate response to monetary policies: Do foreign subsidiaries and local firms behave differently?

- Jiarui Zhang, Yingying Shi and Lei Li
- Governance arrangements and the use of macroprudential policy

- Soyoung Kim, Aaron Mehrotra and Seri Shim
- Synthetic leverage and fund risk-taking

- Daniel Fricke
- ESG rating changes and stock returns

- Rients Galema and Dirk Gerritsen
- The development of local currency bond markets and uncovered interest rate parity

- Cyn-Young Park and Kwanho Shin
- The role of hedge funds in the Swiss franc foreign exchange market

- Jessica Gentner
- Can exchange rate pass-throughs be perverse? A robust multiple-prior Bayesian SVAR approach*

- Yushi Yoshida and Weiyang Zhai
- Not only green: Sustainability and debt capital markets

- Annette Becker, Serena Fatica and Michela Rancan
- Climate change uncertainty and corporate debt relationship: A quantile panel data analysis

- Fredj Jawadi, Philippe Rozin and Abdoulkarim Idi Cheffou
- Does monetary policy uncertainty moderate the transmission of policy shocks to government bond yields?

- Shan Ying, Jeffrey Sheen, Xin Gu and Ben Zhe Wang
- Is disagreement beneficial for market efficiency? Evidence from ESG ratings

- Libo Yin, Xiaoye Zhu, Zhi Su and Hongliang Guo
- Mandatory versus voluntary: The real effect of ESG disclosures on corporate earnings management

- Xue Cui, Ruochen Li, Shuyu Xue and Xiaomei Zhang
- Forecasting corporate bond returns amid climate change risk: A dynamic forecast combination approach

- Feng Ma, Yangli Guo, Qin Luo and Juandan Zhong
- Natural disasters and financial stress: can macroprudential regulation tame green swans?

- Pauline Avril, Grégory Levieuge and Camelia Turcu
- How the PBoC’s new MLF affects the yield curve

- Makram El-Shagi and Lunan Jiang
- Shifting risk preferences of foreign institutional investors on corporate social responsibility amidst the U.S.-China trade war

- Lu Yang and Haifeng Xu
- The dynamic trade and welfare effects of RCEP

- Chenxin Jin, Wei Jin, Bin Sheng, Zhen Sun and Bing Yan
Volume 153, issue C, 2025
- Measuring transitory inflation: Implications for monetary policy and stock market volatility

- Yosef Bonaparte, Frank J. Fabozzi and Matt Peron
- Central bank independence and inflation tail risks—Evidence from emerging markets

- Luis Jácome and Samuel Pienknagura
- The economic consequences of fiscal rules

- Niklas Potrafke
- Management climate risk concern and corporate bond credit spread

- Xinjie Lu, Qing Zeng, Yisu Huang and Hanlin Wu
- Carbon risk and debt financing: An international perspective

- Xiaohang Ren, Wenqi Li, Kun Duan and Andrew Urquhart
- Firm’s aging perception and debt leverage: A textual analysis

- Qin Wang, Tong Liu, Dongmin Kong and Wenzhe Zhang
- Bonds for a Bluer Tomorrow: Corporate climate concern and its impact on corporate bond maturities

- Chao Liang, Jinyu Yang, Lihua Shen and Luu Duc Toan Huynh
- Corporate debt Regime under Political, Economic, and climate uncertainties

- Sitara Karim and Constantin Gurdgiev
- In the same boat: Climate risk and hidden debt in the supply chain

- Yishuang Liu, Hanmin Dong and Yueyang Wang
- How did Chinese exporters manage the trade war?

- Liugang Sheng, Huasheng Song and Xueqian Zheng
- Rethinking the delayed overshooting puzzle: An examination through present value framework

- Jaeho Yun
- Compass guided: Northbound capital flow and investment clustering in China

- Yunbi An, Zhao Chen, Clement Man Yiu Liu, Qingfu Liu and Chuanjie Wang
Volume 152, issue C, 2025
- Can structural loan policy promote low-carbon transition of manufacturing enterprises? New evidence from China

- Can Tang, Bing Wang and Wenping Zheng
- The market stabilization role of central bank asset purchases: High-frequency evidence from the COVID-19 crisis

- Marco Bernardini and Annalisa De Nicola
- Renaming with purpose: Investor response and fund manager behaviour after fund ESG renaming

- Kayshani Gibbon, Jeroen Derwall, Dirk Gerritsen and Kees Koedijk
- SDG performance and stock returns: Fresh insights from China

- Chen Zhang-Hangjian, Xu Mengqing, Ren Fei and Xiong Xiong
- The intersection of security attributes of national debt and socially responsible investment objectives

- Yang Liu, Aihua Wang and Rong Tan
- The quantile connectedness of the international housing market

- Xichen Wang
- Inequality, current account imbalances, and middle incomes

- Océane Blomme and Jérôme Héricourt
- Firm-level climate change risk and corporate debt maturity

- John W. Goodell, Alessia Palma, Andrea Paltrinieri and Stefano Piserà
- Time-varying effects of financial uncertainty shocks on macroeconomic fluctuations in Peru

- Mauricio Alvarado and Gabriel Rodríguez
- Exchange rate regime and optimal policy: The case of China

- Yujeong Cho, Yintao He, Yiping Huang, Jieru Wang and Changhua Yu
- Monetary policy spillovers: Is this time different?

- Hongyi Chen and Peter Tillmann
- The exchange rate elasticity of the Swiss current account

- Johannes Eugster and Giovanni Donato
- Stablecoin price dynamics under a peg-stabilising mechanism

- Cho-Hoi Hui, Andrew Wong and Chi-Fai Lo
- Climate change exposure and green bonds issuance

- Khaled Guesmi, Panagiota Makrychoriti and Emmanouil G. Pyrgiotakis
- Climate policy uncertainty and synergistic industrial agglomeration: What role does financial development play?

- Qunxi Kong, Ziqi Wang, Peipei Wu and Dan Peng
- Industry growth at the lower bound

- Arsenios Skaperdas
Volume 151, issue C, 2025
- Non-standard monetary policy and ECB communication: Confusion or predictability?

- Quentin Bro de Comères, Cornel Oros, Marc Pourroy, Léonore Raguideau and Anne-Gaël Vaubourg
- Reconciling contrasting views on the growth effect of currency misalignments

- Cécile Couharde, Carl Grekou, Valérie Mignon and Florian Morvillier
- Current account dynamics and saving-investment nexus in a changing and uncertain world

- Menzie Chinn and Hiro Ito
- The effects of inflation uncertainty on firms and the macroeconomy

- Carola Binder, Ezgi Ozturk and Xuguang Simon Sheng
- Can fiscal consolidations announcements help anchor inflation expectations?

- Antonio David, Samuel Pienknagura and Juan F. Yépez
- Influence of ESG on corporate debt default risk: An analysis of the dual risk scenarios

- Yuping Shang, Zisheng Xiao, Asma Nasim and Xin Zhao
- Corrigendum to “Measuring systemic risk in Asian foreign exchange markets” [J. Int. Money Financ. 146 (2024) 103135]

- Yanghan Chen and Juan Lin
- Market mechanisms for energy transition: Fossil energy price shocks and irrational renewable energy financing

- Siquan Wang, Anna Min Du and Boqiang Lin
- Misaligned currencies and economic growth: The role of global value chains

- Shiu-Sheng Chen, Yao-Ting Huang and Tzu-Yu Lin
- Geopolitical risk and U.S. foreign portfolio investment: A tale of advanced and emerging markets

- Sangyup Choi and Jiri Havel
- CEOS’ climate risk perception bias and corporate debt structure

- Shupei Huang, Xinya Wang, Yi Xue and Xinzhi Zhang
- U.S. monetary policy and portfolio spillover effects: The role of global production network

- Tong Qi and Jiezhou Ying
- U.S.-China trade frictions and supply chain reconstruction: Perspective from indirect links

- Changyuan Luo and Ning Wang
- Financial crime and corporate social responsibility: Evidence from China

- Caiquan Bai, Huimin Wang, Qihang Xue and Yaping Zhao
- Climate change and U.S. Corporate bond market activity: A machine learning approach

- Charilaos Mertzanis, Ilias Kampouris and Aristeidis Samitas
- Media-based climate risks and international corporate bond market

- Ramzi Benkraiem, Nebojsa Dimic, Vanja Piljak, Laurens Swinkels and Milos Vulanovic
- Climate risk and corporate debt decision

- Chuyu Jiang, Yating Li, Xuan Zhang and Yang Zhao
- Does extreme climate exacerbate the risk spillover in green finance markets? evidence from a multi-horizon investment perspective

- Qichang Xie, Ruize Gong, Lei Yin and Xin Xu
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