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 142, issue C, 2024
- To what extent are tariffs offset by exchange rates?

- Olivier Jeanne and Jeongwon Son
- Weighted Median Inflation Around the World: A Measure of Core Inflation

- Laurence Ball, Carlos Carvalho, Christopher Evans and Luca Antonio Ricci
- The medium-term effects of fiscal policy rules

- Christos Chrysanthakopoulos and Athanasios Tagkalakis
- SMEs’ financing in the aftermath of the financial and sovereign debt crises: A comparison across euro area countries

- Sébastien Roux and Frédérique Savignac
- Assessing the effects of borrower-based macroprudential policy on credit in the EU using intensity-based indices

- Lara Coulier and Selien De Schryder
- Evolution of the exchange rate pass-through into prices in Peru: An empirical application using TVP-VAR-SV models

- Gabriel Rodríguez, Paul Castillo B., Roberto Calero, Rodrigo Salcedo Cisneros and Miguel Ataurima
- RMB exchange rate volatility and the cross-section of Chinese A-share returns

- Tongshuai Qiao, Wenjie Ding, Liyan Han and Donghui Li
- Inflation at risk in advanced and emerging market economies

- Ryan Banerjee, Juan Contreras, Aaron Mehrotra and Fabrizio Zampolli
- Exchange rate predictability: Fact or fiction?

- Karen Jackson and Georgios Magkonis
- The international transmission of shocks through the lens of foreign banks in Hong Kong

- Simon Kwan, Kelvin Ho, Cho-hoi Hui and Eric T.C. Wong
- Welfare gains from market insurance: The case of Mexican oil price risk

- Chang Ma and Fabián Valencia
- Global supply chain pressures, inflation, and implications for monetary policy

- Guido Ascari, Dennis Bonam and Andra Smadu
- Preaching to the agnostic: Inflation reporting can increase trust in the central bank but only among people with weak priors

- Bernd Hayo and Pierre-Guillaume Méon
- The transmission of U.S. monetary policy to small open economies

- Francisco Nadal De Simone
- Effects of the ECB’s communication on government bond spreads

- Frederik Neugebauer, Jan Russnak, Lilli Zimmermann and Sebastian Camarero Garcia
- The ESG washing in banks: Evidence from the syndicated loan market

- Kuo-Jui Huang, Dien Giau Bui, Yuan-Teng Hsu and Chih-Yung Lin
- Debt choice in the regulated competition era

- Raymond M.K. Wong, Cephas Simon Peter Dak-Adzaklo and Agnes W.Y. Lo
- Why don't we follow the rules? Drivers of compliance with fiscal policy rules in emerging markets

- Martín Ardanaz, Carolina Ulloa-Suárez and Oscar Valencia
- Capital inflow liberalization and bank credit risk

- Kexin Li, Zhongfei Chen and Athanasios Andrikopoulos
- Revisiting capital flow drivers: Regional dynamics, constraints, and geopolitical influences

- Zied Ftiti, Hachmi Ben Ameur, Wael Louhichi, Dimitris Anastasiou and Haithem Awijen
- ECB communication policies: An overview and comparison with the Federal Reserve

- Jakob de Haan and Lex Hoogduin
Volume 141, issue C, 2024
- The relationship between firm-level climate change exposure, financial integration, cost of capital and investment efficiency

- Konstantina K. Agoraki, Maria Giaka, Dimitrios Konstantios and Ioannis Negkakis
- Inflation targeting and fiscal policy volatility: Evidence from developing countries

- Ablam Estel Apeti, Jean-Louis Combes and Alexandru Minea
- Monetary policy implementation: Which “new normal”?

- Angelo Baglioni
- Losing traction? The real effects of monetary policy when interest rates are low

- Rashad Ahmed, Claudio Borio, Piti Disyatat and Boris Hofmann
- Euro area monetary policy and TARGET balances: A trilogy

- Jens Eisenschmidt, Danielle Kedan and Martin Schmitz
- Chinese monetary policy spillovers on its international portfolio investment flows

- Zixi Liu
- Transmission of natural disasters to the banking sector: Evidence from thirty years of tropical storms in the Caribbean

- Michael Brei, Preeya Mohan, Agustin Perez Barahona and Eric Strobl
- International evidence on extending sovereign debt maturities

- Jens H.E. Christensen, Jose Lopez and Paul L. Mussche
- Diminishing gains from trade across countries: Interaction between trade elasticity and openness

- Hakan Yilmazkuday
- Home country uncertainty and cash holdings: Evidence from multinational subsidiaries in South Korea

- Youngho Kang and Ryoonhee Kim
- Does “Lean Against the Wind” monetary policy improve welfare in a commodity exporter?

- Udara Peiris, A. Shirobokov and Dimitrios Tsomocos
- Money never sleeps: Capital flows under global risk and uncertainty

- Maria-Eleni Agoraki, Haoran Wu, Tongbin Xu and Min Yang
- Real exchange rate and international reserves in the era of financial integration

- Joshua Aizenman, Sy-Hoa Ho, Luu Duc Toan Huynh, Jamel Saadaoui and Gazi Uddin
- Exchange rates, invoicing currencies and the margins of exports

- Kwan Yong Lee and Kanda Naknoi
- Nominal exchange rates and net foreign assets' dynamics: The stabilization role of valuation effects

- Sara Eugeni
Volume 140, issue C, 2024
- Smart systemic-risk scores

- Sylvain Benoit
- What is real and what is not in the global FDI network?

- Jannick Damgaard, Thomas Elkjaer and Niels Johannesen
- Estimating shadow policy rates in a small open economy and the role of foreign factors

- Jorge Fornero, Markus Kirchner and Carlos Molina
- Technology diffusion and international business cycles

- Uluc Aysun
- Climate impacts on the loan quality of Chinese regional commercial banks

- Dayong Zhang, Yalin Wu, Qiang Ji, Kun Guo and Brian Lucey
- Price diffusion across international private commercial real estate markets

- Bing Zhu, Dorinth van Dijk and Colin Lizieri
- Is the Bank of Canada concerned about inflation or the state of the economy?

- Ke Pang and Christos Shiamptanis
- Asset purchases and sovereign bond spreads in the euro area during the pandemic

- Robert Blotevogel, Gergely Hudecz and Elisabetta Vangelista
- Foreign institutional ownership and Cross-Listing

- Xiangting Kong, Jeff Ng, Albert Tsang and Shuo Yan
- Dealer networks, client sophistication and pricing in OTC derivatives

- Vidya Kamate and Abhishek Kumar
- The effect of trade credit on firm performance: Evidence from Korean firms during the Global Financial Crisis

- Ye Jin Heo
- Corporate acquisitions and firm-level uncertainty: Domestic versus cross-border deals

- Ye Bai, Sourafel Girma and Alejandro Riaño
- Quantitative easing and the spillover effects from the crude oil market to other financial markets: Evidence from QE1 to QE3

- Yongjian Lyu, Xinyu Zhang, Jin Cao, Jiatao Liu and Mo Yang
- Multinationals' profits in China: Impact of tax avoidance

- Bing Lu and Yaqi Wang
- Data transparency and GDP growth forecast errors

- Roberta Gatti, Daniel Lederman, Asif Islam, Ha Nguyen, Rana Lotfi and Mennatallah Emam Mousa
- Private bank deposits and macro/fiscal risk in the euro-area

- Michael G. Arghyrou, Maria-Dolores Gadea and Alexandros Kontonikas
- Quantifying spillovers among regions

- Deborah Gefang, Stephen Hall, George Tavlas and Yongli Wang
- Regional fiscal spillovers: The role of trade linkages

- Luca Bettarelli, Davide Furceri, Pietro Pizzuto and Khatereh Yarveisi
- What difference do new factor models make in portfolio allocation?

- Frank J. Fabozzi, Dashan Huang, Fuwei Jiang and Jiexun Wang
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