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 114, issue C, 2021
- Middle income traps, long-run growth, and structural change

- Kei-Mu Yi
- Comment on ‘‘Trade shocks and the shifting landscape of U.S. manufacturing”

- Nicholas Bloom
- Technological progress and monetary policy: Managing the fourth industrial revolution

- Stephen S. Poloz
- Reprint: Monetary policy uncertainty and monetary policy surprises

- Michiel De Pooter, Giovanni Favara, Michele Modugno and Jason Wu
- Reprint: Monetary policy news in the US: Effects on emerging market capital flows

- Tatjana Dahlhaus and Garima Vasishtha
- Reprint: Comment on “Monetary policy news in the U.S.: Effects on emerging market capital flows”

- Galina Hale
- Reprint: Drawing conclusions from structural vector autoregressions identified on the basis of sign restrictions

- Christiane Baumeister and James Hamilton
- Reprint: Is China fudging its GDP figures? Evidence from trading partner data

- John Fernald, Eric Hsu and Mark Spiegel
- Reprint: Trade shocks and the shifting landscape of U.S. manufacturing

- Katherine Eriksson, Katheryn Russ, Jay Shambaugh and Minfei Xu
- Reprint: Two challenges from globalization

- Maurice Obstfeld
Volume 113, issue C, 2021
- Ties that bind: Estimating the natural rate of interest for small open economies

- Ren Zhang, Enrique Martínez-García, Mark Wynne and Valerie Grossman
- Bank competition and multimarket contact intensity

- Paula Cruz-García, Juan Fernández de Guevara and Joaquín Maudos
- Life after default. Private and official deals

- Silvia Marchesi and Tania Masi
- Limited joint liability in structured Eurobonds: Pricing the political costs

- Christian Bauer and Marc-Patrick Adolph
- What can commercial property performance reveal about bank valuations?

- Emanuel Kohlscheen and Elod Takats
- Does investor sentiment affect bank stability? International evidence from lending behavior

- Elena Cubillas, Elena Ferrer and Nuria Suárez
- Managerial ability premium factor and fund performance

- Feng Dong and John A. Doukas
- Stock market volatility and jumps in times of uncertainty

- Anastasios Megaritis, Nikolaos Vlastakis and Athanasios Triantafyllou
- Financial stress in lender countries and capital outflows from emerging market economies

- Ilhyock Shim and Kwanho Shin
- Is the renminbi a safe-haven currency? Evidence from conditional coskewness and cokurtosis

- Xin Cheng, Hongyi Chen and Yinggang Zhou
- Portfolio rebalancing in times of stress

- Andreas Fischer, Rafael P. Greminger, Christian Grisse and Sylvia Kaufmann
- The evolution of offshore renminbi trading: 2016 to 2019

- Yin-Wong Cheung, Louisa Grimm and Frank Westermann
Volume 112, issue C, 2021
- Substitution patterns in capital inflows: Evidence from disaggregated capital flow data

- Eugenio Cerutti and Gee Hee Hong
- Cross-border mergers and acquisitions for innovation

- Po-Hsuan Hsu, Peng Huang, Mark Humphery-Jenner and Ronan Powell
- The effect of market returns and volatility on investment choices in Chile’s defined contribution retirement plan

- Werner D. Kristjanpoller and Josephine E. Olson
- Monetary policy uncertainty and monetary policy surprises

- Michiel De Pooter, Giovanni Favara, Michele Modugno and Jason Wu
- The dynamics of core and periphery in the European monetary union: A new approach

- Nauro Campos and Corrado Macchiarelli
- Measuring the natural rates of interest of OECD and BRICS economies: A time varying perspective

- Bin Wang and Yum K. Kwan
- Do EU fiscal rules support or hinder counter-cyclical fiscal policy?

- Martin Larch, Eloïse Orseau and Wouter van der Wielen
- Offshore EME bond issuance and the transmission channels of global liquidity

- Soyoung Kim and Hyun Song Shin
- The relative pricing of sovereign credit risk after the Eurozone crisis

- Raffaele Corvino and Francesco Ruggiero
- Digitalization, retail trade and monetary policy

- Christian Glocker and Philipp Piribauer
- Monetary policy spillovers under intermediate exchange rate regimes

- Rashad Ahmed
Volume 111, issue C, 2021
- Trade shocks and the shifting landscape of U.S. manufacturing

- Katherine Eriksson, Katheryn Russ, Jay Shambaugh and Minfei Xu
- Echo over the great wall: Spillover effects of QE announcements on Chinese yield curve

- Mucai Lin and Linlin Niu
- Fiscal stress and monetary policy stance in oil-exporting countries

- Hao Jin and Chen Xiong
- What drives the commodity-sovereign risk dependence in emerging market economies?

- Hannes Boehm, Stefan Eichler and Stefan Giessler
- Revisiting the political economy of fiscal adjustments

- Thanasis Ziogas and Theodore Panagiotidis
- What macroeconomic conditions lead financial crises?

- Michael Kiley
- Designing a global digital currency

- Ronald Balvers and Bill McDonald
- Beta herding through overconfidence: A behavioral explanation of the low-beta anomaly

- Soosung Hwang, Alexandre Rubesam and Mark Salmon
- Growth-friendly fiscal rules? Safeguarding public investment from budget cuts through fiscal rule design

- Martin Ardanaz, Eduardo Cavallo, Alejandro Izquierdo and Jorge Puig
Volume 110, issue C, 2021
- Recalibration of capital controls: Evidence from the IMF taxonomy

- Mahir Binici and Mitali Das
- Attractive and non-attractive currencies

- Philippe Dupuy, Jessica James and Ian W. Marsh
- Assessing the cyclical behaviour of bank capital buffers in a finance-augmented macro-economy

- Alberto Montagnoli, Kostas Mouratidis and Kemar Whyte
- Comment on “Monetary policy news in the U.S.: Effects on emerging market capital flows”

- Galina Hale
- The role of stock-flow adjustment during the global financial crisis

- Katharina Bergant
- Is China fudging its GDP figures? Evidence from trading partner data

- John Fernald, Eric Hsu and Mark Spiegel
- Centralised or decentralised banking supervision? Evidence from European banks

- Giuseppe Avignone, Yener Altunbas, Salvatore Polizzi and Alessio Reghezza
- Foreign-currency exposures and the financial channel of exchange rates: Eroding monetary policy autonomy in small open economies?

- Georgios Georgiadis and Feng Zhu
- The impact of US monetary policy on managed exchange rates and currency peg regimes

- Ingmar Roevekamp
- Does cash-flow news play a better role than discount-rate news? Evidence from global regional stock markets

- Ming Wu, Kiyool Ohk and Kwangsoo Ko
- The Halloween indicator, “Sell in May and Go Away”: Everywhere and all the time

- Cherry Y. Zhang and Ben Jacobsen
- Why are countries’ asset portfolios exposed to nominal exchange rates?

- Jonathan Adams and Philip Barrett
- Assessing cross-border interconnectedness between shadow banking systems

- Tom Fong, Angela Kin Wan Sze and Edmund Ho Cheung Ho
- The joint effects of economic policy uncertainty and firm characteristics on capital structure: Evidence from US firms

- Xiao-Ming Li and Mei Qiu
- Interconnectedness in the global financial market

- Matthias Raddant and Dror Y. Kenett
- The relationship between bank size and the propensity to lend to small firms: New empirical evidence from a large sample

- Achraf Mkhaiber and Richard Werner
- Identifying external debt shocks in low- and middle-income countries

- Xuguang Simon Sheng and Rubena Sukaj
- Housing prices and trade surpluses in China: An inter-temporal approach

- Qiuyu Chen, Ling Feng, Zhiyuan Li and Ching-Yi Lin
- Can risk explain the profitability of technical trading in currency markets?

- Yuliya Ivanova, Christopher Neely, Paul Weller and Matthew T. Famiglietti
- Current account drivers and exchange rate regimes in Central and Eastern Europe

- Kersti Harkmann and Karsten Staehr
- Switching volatility in a nonlinear open economy

- Jonathan Benchimol and Sergey Ivashchenko
- Effects of the degree of financial constraint and excessive indebtedness on firms’ investment decisions

- Juan Fernández de Guevara, Joaquin Maudos and Carlos Salvador
- The cost of banking crises: Does the policy framework matter?

- Grégory Levieuge, Yannick Lucotte and Florian Pradines-Jobet
- Are global spillovers complementary or competitive? Need for international policy coordination

- Keshab Bhattarai, Sushanta Mallick and Bo Yang
- The maturity of sovereign debt issuance in the euro area

- Roel Beetsma, Massimo Giuliodori, Jesper Hanson and Frank de Jong
- Two challenges from globalization

- Maurice Obstfeld
- Financial stress and the probability of sovereign default

- Caterina Rho and Manrique Saenz
- The effects of inequality in the 1997–98 Asian crisis and the 2008–09 global tsunami: The case of five Asian economies

- Xinhua Gu, Pui Sun Tam and Chun Kwok Lei
- Comparing the impact of discretionary and pre-announced central bank interventions

- Francisco Luna Santos
- Monetary policy uncertainty in China

- Hongyi Chen and Peter Tillmann
- Herding by corporates in the US and the Eurozone through different market conditions

- Meryem Duygun, Radu Tunaru and Davide Vioto
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