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.
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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
Volume 150, issue C, 2025
- Fiscal policy design and inflation: The COVID-19 pandemic experience

- Galina Hale, John Leer and Fernanda Nechio
- How U.S. tariffs impact China’s domestic sourcing: Evidence from firm-to-firm transactions

- Binkai Chen, Dongmei Guo, Yuting Li, Junjie Xia and Mingzhi (Jimmy) Xu
- Bond supply expectations and the term structure of interest rates

- Monica Billio, F. Busetto, Alfonso Dufour and S. Varotto
- Nothing special about an allowance for corporate equity: Evidence from Italian banks

- Dennis Dreusch, Felix Noth and Peter Reichling
- Not all banking crises are alike: Assessing their distributional impacts relative to pre-crisis credit gaps

- Jean-Marc Atsebi, Samuel Ligonnière and Clément Mathonnat
- Innovation’s false spring: U.S. export controls and Chinese patent quality

- Yankun Kang, Xin Ma, Mi Xie and Ninghua Zhong
- Asset bubbles and financial frictions in small open economies☆

- Feng Dong, Dongzhou Mei and Zehua Xiao
- Understanding the use of unconventional monetary policy for portfolio decarbonisation in Europe

- José Antonio Muñiz, Charles Larkin and Shaen Corbet
- Trade circumvention in free trade areas

- Jianpeng Deng, Jialin Li, Joseph Mai, Yanmin Shi and Linke Zhu
- A post-pandemic new normal for interest rates in emerging bond markets? Evidence from Chile

- Luis Ceballos, Jens H.E. Christensen and Damian Romero
- Spillovers between cryptocurrencies and financial markets in a global framework

- Darko B. Vuković, Michael Frömmel, Samuel A. Vigne and Vyacheslav Zinovev
Volume 149, issue C, 2024
- Fiscal spillover in emerging economies: Real versus financial channels

- Abhishek Kumar, Sushanta Mallick and Apra Sinha
- International exposure and the transmission of financial shocks: Evidence from China

- Yushan Hu and Penglong Zhang
- Monetary and fiscal policy impacts under alternative trilemma regimes

- Hiro Ito and Masahiro Kawai
- Gas price shocks and euro area inflation

- Jakob Adolfsen, Massimo Ferrari Minesso, Jente Esther Mork and Ine Van Robays
- Asymmetry and non-linearity in exchange rate pass-through: Evidence from scanner data

- In Kyung Kim, Jinhyuk Lee and Hyejoon Im
- ETFs and tail dependence: Evidence from Chinese stock market

- Wei Ning, Jiahua Zhao and Fuwei Jiang
- Financial integration and hedging and safe haven properties of metals for sovereign bonds

- Markus Höfler and Andrea Schertler
- Heterogeneity in exchange rate pass-through to import prices in Thailand: Evidence from micro data

- Tosapol Apaitan, Pym Manopimoke, Nuwat Nookhwun and Jettawat Pattararangrong
- COVID-19 and redemptions from Irish-resident bond funds

- David Doran and Vahagn Galstyan
- Green vs. brown: Climate risk showdown – who’s thriving, who’s diving?

- Dongyang Zhang, Dingchuan Bai and Yizhi Wang
- Monetary and fiscal policy challenges in emerging markets amid elevated uncertainty

- Joshua Aizenman, John Beirne, Menzie D. Chinn, Yothin Jinjarak and Donghyun Park
- Talking in a language that everyone can understand? Clarity of speeches by the ECB Executive Board

- Lena Bjerkander and Alexander Glas
- Energy price surges and inflation: Fiscal policy to the rescue?

- Christian Glocker and Philipp Wegmüller
- Uncertainty and innovation in renewable energy

- Luca Bettarelli, Davide Furceri, Pietro Pizzuto and Nadia Shakoor
- Tax shocks, firm entry, and productivity in the open economy

- Mathias Klein and Ludger Linnemann
- Adjusting toward long-run purchasing power parity

- Kian Ong
- From ban to balance: How agricultural climate policies reshape rural asset allocation?

- Dongyang Zhang
- Is high debt Constraining monetary policy? evidence from inflation expectations

- Luis Brandao-Marques, Marco Casiraghi, R. Gaston Gelos, Olamide Harrison and Gunes Kamber
- Stress testing climate risk: A network-based analysis of the Chinese banking system

- Hai-Chuan Xu, Tai-Min Li, Peng-Fei Dai, Duc Khuong Nguyen and Wei-Xing Zhou
- Are R&D-intensive firms more resilient to trade shocks? Evidence from the U.S.–China trade war

- Kenneth A. Kim, Hongjun Xie and Xiaojia Zheng
- Import licenses, intermediaries, and price pass-through: Evidence from the Chinese steel market

- Puyang Sun, Kewei Ma and Li Su
- Heterogeneous inflation expectations: A call for customized monetary policy communication?

- Juan Medina, Miguel Mello and Jorge Ponce
- Did interest rate guidance in emerging markets work?

- Julián Caballero and Blaise Gadanecz
- Carbon risk and corporate maturity mismatch

- Ming Huang, Xiaoxiao Wang, Xuewu Wang and Qunzi Zhang
- Economic policy uncertainty in OFDI host countries and the cross-section of stock returns

- Ya Peng and Xueyong Zhang
- Green innovation through trade: The impact of European Union emissions trading scheme on Chinese exporters

- Yinan Liu, Peiyao Lv and Hao Zhao
- Geopolitical turmoil and investor green preference: Evidence from the corporate bond market

- Paolo Fiorillo, Antonio Meles, Dario Salerno and Vincenzo Verdoliva
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