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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 ().

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Volume 118, issue C, 2021

Is capital flow management effective? Evidence based on U.S. monetary policy shocks Downloads
Jian Wang and Jason Wu
Innovation and FDI: Does the target of intellectual property rights protection matter? Downloads
Hung-Ju Chen
Capital market financing and firm growth Downloads
Tatiana Didier, Ross Levine, Ruth Llovet Montanes and Sergio Schmukler
Not all government budget deficits are created equal: Evidence from advanced economies' sovereign bond markets Downloads
Jemima Peppel-Srebrny
International outsourcing, exchange rates, and monetary policy☆ Downloads
Wai-Ming Ho
Shock-dependent exchange rate pass-through: Evidence based on a narrative sign approach for Japan Downloads
Lian An, Mark Wynne and Ren Zhang
Quantitative easing and exuberance in stock markets: Evidence from the euro area Downloads
Thomas Hudepohl, Ryan van Lamoen and Nander de Vette
Emotions in macroeconomic news and their impact on the European bond market Downloads
Sergio Consoli, Luca Tiozzo Pezzoli and Elisa Tosetti
Bank risks and lending outcomes: Evidence from QE Downloads
Alex Sclip, Claudia Girardone, Federico Beltrame and Andrea Paltrinieri

Volume 117, issue C, 2021

Bond flows and liquidity: Do foreigners matter? Downloads
Jens H.E. Christensen, Eric Fischer and Patrick J. Shultz
Insider ownership, governance mechanisms, and corporate bond pricing around the world Downloads
Rob Bauer, Jeroen Derwall and Nora Pankratz
Central bank tone and currency risk premia Downloads
Asad Dossani
The real effects of exchange rate risk on corporate investment: International evidence Downloads
Mark Taylor, Zigan Wang and Qi Xu
Do oil endowment and productivity matter for accumulation of international reserves? Downloads
Rasmus Fatum, Guozhong Zhu and Wenjie Hui
Capital flight: The travel channel Downloads
Anna Wong
Bilateral de-jure exchange rate regimes and foreign direct investment: A gravity analysis Downloads
Philipp Harms and Jakub Knaze
Monetary, financial and fiscal fragility in 2020s Downloads
Makram El-Shagi and Camelia Romocea Turcu
Acquirers and financial constraints: Theory and evidence from emerging markets Downloads
Rahul Mukherjee and Christian Proebsting
Monetary theory reversed: Virtual currency issuance and the inflation tax Downloads
Luca Marchiori
Good-bye original sin, hello risk on-off, financial fragility, and crises? Downloads
Joshua Aizenman, Yothin Jinjarak, Donghyun Park and Huanhuan Zheng
What affects bank market power in the euro area? A country-level structural model approach Downloads
Paolo Coccorese, Claudia Girardone and Sherrill Shaffer
In search of lost time: Examining the duration of growth-reducing sudden stops Downloads
Antonio David and Carlos Goncalves
Exchange rates, foreign currency exposure and sovereign risk Downloads
Kerstin Bernoth and Helmut Herwartz
The potential impact of financial portability measures on mortgage refinancing: Evidence from Chile Downloads
Carlos Madeira
State ownership, macroprudential policies, and bank lending Downloads
Ali Mirzaei, Fotios Pasiouras and Anis Samet
Speculation and informational efficiency in commodity futures markets Downloads
Jean-Baptiste Bonnier

Volume 116, issue C, 2021

Capital flow waves—or ripples? Extreme capital flow movements since the crisis Downloads
Kristin Forbes and Francis E. Warnock
Capital controls and international trade: An industry financial vulnerability perspective Downloads
Kevin Lai, Tao Wang and David Xu
The IRB model, bank regulatory arbitrage, and the Eurozone crisis Downloads
Cai Liu
Is volatility spillover enough for investor decisions? A new viewpoint from higher moments Downloads
Xie He and Shigeyuki Hamori
Public spending, currency mismatch and financial frictions Downloads
Marie-Pierre Hory, Grégory Levieuge and Daria Onori
Fact or fiction: Implicit government guarantees in China’s corporate bond market Downloads
Thomas Walker, Xueying Zhang, Aoran Zhang and Yulin Wang
Shadow banks, banking policies and China’s macroeconomic fluctuations Downloads
Vo Phuong Mai Le, Kent Matthews, David Meenagh, A. Patrick Minford and Zhiguo Xiao
Towards a dead end? EMU bond market exposure and manager performance Downloads
Gueorgui S. Konstantinov and Frank J. Fabozzi
Capital account liberalization and the composition of bank liabilities Downloads
Luís A.V. Catão and Daniel te Kaat

Volume 115, issue C, 2021

Fiscal policy and fiscal fragility: Empirical evidence from the OECD Downloads
Makram El-Shagi and Gregor von Schweinitz
Corporate Governance and Banking Systemic Risk: A Test of the Bundling Hypothesis Downloads
Kwabena Aboah Addo, Nazim Hussain and Jamshed Iqbal
Asset pricing in monetary economies Downloads
Lukas Altermatt, Kohei Iwasaki and Randall Wright
Quantitative easing and the hot potato effect: Evidence from euro area banks Downloads
Ellen Ryan and Karl Whelan
Unconventional monetary policy and the portfolio choice of international mutual funds Downloads
Gino Cenedese and Ilaf Elard
Employment adjustment and financial tightness – Evidence from firm-level data Downloads
Gregor Bäurle, Sarah Lein and Elizabeth Steiner
Mortgage spreads, asset prices, and business cycles in emerging countries Downloads
Jaroslav Horvath and Philip Rothman
Cross-border bank funding and lending in a monetary union: Evidence from Slovenia Downloads
Uros Herman and Matija Lozej
External debt composition and domestic credit cycles Downloads
Stefan Avdjiev, Stephan Binder and Ricardo Sousa
Does a reduction of state control affect IPO underpricing? Evidence from the Chinese A-share market Downloads
Hafiz Hoque and Shaolong Mu
Accounting for trade deficits Downloads
Hakan Yilmazkuday
Access to finance and the exchange rate elasticity of exports Downloads
Mi Dai, Francesco Nucci, Alberto Pozzolo and Jianwei Xu
Risk-taking of bank CEOs and corporate innovation Downloads
Dien Giau Bui, Yehning Chen, Chih-Yung Lin and Tse-Chun Lin
Investor sentiment and sovereign bonds Downloads
Yulin Li
Persistent current account imbalances: Are they good or bad for regional and global growth? Downloads
John Beirne, Nuobu Renzhi and Ulrich Volz
Familiarity and Surprises in International Financial Markets: Bad news travels like wildfire; good news travels slow Downloads
Jordi Mondria, Xin Wang and Thomas Wu
Do macroprudential policies affect the bank financing of firms in China? Evidence from a quantile regression approach Downloads
Qiaoling Kang, Ji Wu, Minghua Chen and Bang Jeon
Does communication influence executives’ opinion of central bank policy?☆ Downloads
In Do Hwang, Thomas Lustenberger and Enzo Rossi
The Global Financial Cycle and US monetary policy in an interconnected world Downloads
Stephane Dees and Alessandro Galesi
Does debt market integration amplify the international transmission of business cycles during financial crises? Downloads
Jiyoun An, Kyunghun Kim and Ju Hyun Pyun
International debt and special purpose entities: Evidence from Ireland Downloads
Vahagn Galstyan, Eduardo Maqui and Peter McQuade
GEA tracker: A daily indicator of global economic activity Downloads
Elena Maria Diaz and Gabriel Perez-Quiros
How much does economic news influence bilateral exchange rates? Downloads
Paresh Kumar Narayan, Deepa Bannigidadmath and Seema Narayan
Page updated 2025-04-03