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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 147, issue C, 2024
- Inflation and income inequality in an open-economy growth model with liquidity constraints on R&D

- Ruiyang Hu, Jian Wang, Yibai Yang and Zhijie Zheng
- UK Foreign Direct Investment in uncertain economic times

- Costas Milas, Theodore Panagiotidis and Georgios Papapanagiotou
- ‘Making text talk’: The minutes of the Central Bank of Brazil and the real economy

- Carlos Moreno-Pérez and Marco Minozzo
- Protectionism, bilateral integration, and the cross section of exchange rate returns in US presidential debates

- Jantke de Boer, Stefan Eichler and Ingmar Rövekamp
- Global mispricing matters

- Fuwei Jiang, Hongkui Liu, Guohao Tang and Jiasheng Yu
- Firms Entangled in Geopolitical Conflicts: Evidence from the Russia-Ukraine War

- Onur Kemal Tosun, Arman Eshraghi and Samuel A. Vigne
- Capital flows-at-risk: Push, pull and the role of policy

- Fernando Eguren-Martin, Cian O'Neill, Andrej Sokol and Lukas von dem Berge
- Liquidity in the German corporate bond market: Has the CSPP made a difference?

- Lena Boneva, Mevlud Islami and Kathi Schlepper
- Prices and returns: Role of inflation

- Yulong Sun
- China’s GDP-at-Risk: Real-Time Monitoring, Risk Tracing, and Macroeconomic Policy Effects

- Jianli Sui, Wenqiang Lv, Xiang Gao and Kees G. Koedijk
- Energy shocks in the Euro area: Disentangling the pass-through from oil and gas prices to inflation

- Chiara Casoli, Matteo Manera and Daniele Valenti
- Trade liberalization and entrepreneurship: Evidence from China’s WTO accession

- Ni Qin, Dongmin Kong and Qin Wang
- Exchange rate and corporate investment: Heterogeneous effects via the global value chain networks

- Wendi Huang and Weikang Zhang
- Can rising urban house prices actually limit the outward FDI by firms in a home country? A story from China

- Feng Yu, Ning Li, Castiel Chen Zhuang and Jingwei Chen
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 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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