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 146, issue C, 2024
- International macroeconomic vulnerability

- Marcio Garcia, Diogo Guillen, Bernardo Ribeiro and João Velloso
- Latent fragility: Conditioning banks' joint probability of default on the financial cycle

- Paul Bochmann, Paul Hiebert, Yves Schüler and Miguel A. Segoviano
- The effect of fragmentation risk on monetary conditions in the euro area

- Ivo J.M. Arnold
- Which sectors go on when there is a sudden stop? An empirical analysis

- István Kónya and Miklós Váry
- Optimal monetary policy and the time-dependent price and wage Phillips curves: An international comparison

- Giovanni Di Bartolomeo and Carolina Serpieri
- How do institutions affect output recovery after financial crises?

- Hsien-Yi Chen, Sheng-Syan Chen and Chong-Chuo Chang
- Inflation targeting and capital flows: A tale of two cycles in developing countries

- Olena Ogrokhina and Cesar Rodriguez
- Lessons from low interest rate policy: How did euro area banks respond?

- Jorien Freriks and Jan Kakes
- The dollar versus the euro as international reserve currencies

- Menzie D. Chinn, Jeffrey Frankel and Hiro Ito
- Geopolitics and the global economy

- Barry Eichengreen
- A presence of absence: The benign emergence of monetary stability

- A.K. Rose and A.I.G. Rose
- Are exchange rates absorbers of global oil shocks? A generalized structural analysis

- Andre Harrison, Xiaochun Liu and Shamar Stewart
- Trend inflation and exchange rate dynamics: A new Keynesian approach

- Takashi Kano
- Blowing against the Wind? a narrative approach to central Bank foreign exchange intervention

- Alain Naef
- Cross-country variation in economic preferences and the asset composition of international investment positions

- Mika Nieminen and Kamila Kuziemska-Pawlak
- Can Firms’ ESG initiatives deter hostile Takeovers?

- Albert Tsang, Shuo Yan and Lingyi Zheng
- Measuring systemic risk in Asian foreign exchange markets

- Yanghan Chen and Juan Lin
Volume 145, issue C, 2024
- Capital controls and capital flows: Do controls reduce the size of flows?

- Gao Chen
- Long-run perspectives on r-g in OECD countries: An empirical analysis

- Freddy Heylen, Marthe Mareels and Christophe Van Langenhove
- Inspecting cross-border macro-financial mechanisms

- Eddie Gerba, Danilo Leiva-Leon and Margarita Rubio
- The volatility of capital flows in emerging markets: Measures and determinants

- Maria Sole Pagliari and Swarnali Ahmed Hannan
- Commodity currencies revisited: The role of global commodity price uncertainty

- Theodora Bermpei, Laurent Ferrara, Aikaterini Karadimitropoulou and Athanasios Triantafyllou
- RMB internationalization and exchange rate exposure of Chinese listed firms

- Qing He, Bailin Liang and Junyi Liu
- The impact of macroprudential policies on industrial growth

- Carlos Madeira
- Co-Bubble transmission across clean and dirty Cryptocurrencies: Network and portfolio analysis

- Yan Chen, Lei Zhang and Elie Bouri
Volume 144, issue C, 2024
- Environmental effects of foreign indirect investment: The information channel

- Pingyi Lou and Chenyu Wu
- State-dependent oil price shocks on inflation and the efficacy of inflation targeting regime

- Inwook Hwang and Xiaoyang Zhu
- Can you hear me now? Identifying the effect of Chinese monetary policy announcements

- Harrison Shieh
- Can participation in IMF programs facilitate sovereign debt rescheduling? The role of program size

- Ye Bai, Sanjay Banerji, Zilong Wang and Wenjing Zhang
- Financial contagion and networks among the oil and BRICS stock markets during seven episodes of crisis events

- Cody Yu-Ling Hsiao and Yi-Bin Chiu
- Oil price shocks and macroeconomic dynamics in resource-rich emerging economies under regime shifts

- Babatunde Omotosho and Bo Yang
- Trade imbalance, heavy goods, and pollution

- Jungho Lee, Shang-Jin Wei and Jianhuan Xu
- The impact of financial tightening on firm productivity: Maturity matters

- Christian Abele, Agnès Benassy-Quere and Lionel Fontagné
- Commodity prices and international Inflation, 1851–1913

- Stefan Gerlach and Rebecca Stuart
Volume 143, issue C, 2024
- Quantifying adaptation costs in sequential FDI location choices: Evidence from German firms

- Dong Lu and Aiyong Zhu
- The out-of-sample performance of carry trades

- Po-Hsuan Hsu, Mark Taylor, Zigan Wang and Yan Li
- Metal and energy price uncertainties and the global economy

- Natalia Ponomareva, Jeffrey Sheen and Ben Zhe Wang
- How to conduct monetary policies. The ECB in the past, present and future

- Paul De Grauwe and Yuemei Ji
- Borrower-based measures, house prices and household debt

- Francesco G. Caloia
- Constructing quarterly Chinese time series usable for macroeconomic analysis

- Kaiji Chen, Patrick Higgins and Tao Zha
- Spillovers from US monetary policy: Role of policy drivers and cyclical conditions

- Elif C. Arbatli-Saxegaard, Davide Furceri, Pablo Gonzalez Dominguez, Jonathan Ostry and Shanaka Jayanath Peiris
- Domestic lending and the pandemic: How does banks’ exposure to COVID-19 abroad affect their lending in the United States?

- Judit Temesvary and Andrew Wei
- Analyst distance and credit rating consistency

- Marc Altdörfer, Andre Guettler and Gunter Löffler
- Commodity returns co-movement, uncertainty shocks, and the US dollar exchange rate

- Wenting Liao, Jun Ma and Chengsi Zhang
- A short term credibility index for central banks under inflation targeting: An application to Brazil

- Alain Hecq, João Victor Issler and Elisa Voisin
- Trade liberalization, wage inequality, and monetary policy

- Wolfgang Lechthaler and Mariya Mileva
- Trust in the central bank, financial literacy, and personal beliefs

- Mihai Niţoi and Maria-Miruna Pochea
- Exchange rates and fundamentals: Forecasting with long maturity forward rates

- Zsolt Darvas and Zoltán Schepp
- Uncertainty spill-overs: When policy and financial realms overlap

- Emanuele Bacchiocchi and Catalin Dragomirescu-Gaina
- No safe haven, only diversification and contagion — Intraday evidence around the COVID-19 pandemic

- Zeyun Bei, Juan Lin and Yinggang Zhou
- Exposure to Dollar, financial Openness, and the heterogeneous impact of US monetary spillover

- Jingting Liu, Sook Rei Tan and Wai Mun Chia
- The return of expansionary austerity: Firms' investment response to fiscal adjustments in emerging markets

- Nicolas Magud and Samuel Pienknagura
- Heterogeneous macro and financial effects of ECB asset purchase programs

- Terri van der Zwan, Erik Kole and Michel van der Wel
- Macroprudential capital regulation and fiscal balances in the euro area

- Nikolay Hristov, Oliver Hülsewig and Benedikt Kolb
- Territorial comparative advantage, wage inequality, and monetary policy in the global world

- Oscar Afonso and Pedro Gil
- Fintech mergers and acquisitions

- Hao Zheng and Mike Qinghao Mao
- Monetary policy, threshold of profitability and dynamics of private investment in the West African Economic and Monetary Union

- Koffi Sodokin, Yao Kouwonou, Mawuli Kodjovi Couchoro and Akilou Amadou
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