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Journal of Multinational Financial Management

1997 - 2017

Current editor(s): I. Mathur and G. G. Booth

From Elsevier
Series data maintained by Dana Niculescu ().

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2017, volume 41, issue C

Determinants of underwriting spreads internationally: Evidence from SEOs pp. 1-22 Downloads
Manu Gupta, Puneet Prakash and Nanda K. Rangan
Integrated reporting: Is it the last piece of the accounting disclosure puzzle? pp. 23-46 Downloads
Athanasios Pavlopoulos, Chris Magnis and George Emmanuel Iatridis
Can corporate diversification induce more tax avoidance? pp. 47-60 Downloads
Suyan Zheng
Bank capital, lending and financing behaviour of dual banking systems pp. 61-79 Downloads
Awatef Louhichi and Younes Boujelbene
Were regulatory interventions effective in lowering systemic risk during the financial crisis in Japan? pp. 80-91 Downloads
Katsutoshi Shimizu and Kim Cuong Ly
Currency price risk and stock market returns in Africa: Dependence and downside spillover effects with stochastic copulas pp. 92-114 Downloads
Gideon Boako and Paul Alagidede

2017, volume 40, issue C

The cost of debt for Yankee and domestic bonds pp. 1-13 Downloads
Kelly Cai
The value implications of target debt issuance in withdrawn takeovers: What role do country-specific M&A regulations play? pp. 14-32 Downloads
Tomas Jandik, Justin Lallemand and William McCumber
How does corporate social responsibility contribute to investment efficiency? pp. 33-46 Downloads
Marwa Samet and Anis Jarboui
Timing liquidity in the foreign exchange market: Did hedge funds do it? pp. 47-62 Downloads
Ji Luo, Kai-Hong Tee and Baibing Li
Assessing the financial and outreach efficiency of microfinance institutions: Do age and size matter? pp. 63-76 Downloads
Mahinda Wijesiri, Jacob Yaron and Michele Meoli
Do we need bigger Islamic banks? An assessment of bank stability pp. 77-91 Downloads
Mansor Ibrahim and Syed Aun R. Rizvi
Economic policy uncertainty and stock market returns in PacificRim countries: Evidence based on a Bayesian panel VAR model pp. 92-102 Downloads
Christina Christou, Juncal Cunado, Rangan Gupta and Christis Hassapis
Assessing marginal, threshold, and net effects of financial globalisation on financial development in Africa pp. 103-114 Downloads
Simplice Asongu

2017, volume 39, issue C

U.S. SPACs with a focus on China pp. 1-18 Downloads
Yochanan Shachmurove and Milos Vulanovic
The joint role of the bonding mechanisms and the reduction in market segmentation in valuation of firms cross-listed as Global Depositary Receipts (GDRs) pp. 19-38 Downloads
Oksana Kim
Multinationals and the impact of corruption on financial derivatives use and firm value: Evidence from East Asia pp. 39-59 Downloads
Trang Kim, Marina Papanastassiou and Quang Nguyen
Creditor rights, culture and dividend payout policy pp. 60-77 Downloads
Julie Byrne and O’Connor, Thomas
Market liberalization and the extent of informed trading: Evidence from China’s equity markets pp. 78-99 Downloads
Yaseen S. Alhaj-Yaseen, Xi Rao and Yinghua Jin
Does monetary policy have any relationship with the expectations of stock market participants? pp. 100-117 Downloads
Kuo-Che Hung and Tai Ma

2016, volume 37-38

Cross-listing and value creation pp. 1-11 Downloads
Imen Ghadhab and Slaheddine Hellara
The stock preferences of domestic versus foreign investors: Evidence from Qualified Foreign Institutional Investors (QFIIs) in China pp. 12-28 Downloads
Liping Zou, Tiantian Tang and Xiaoming Li
Firm geographic location and voluntary disclosure pp. 29-47 Downloads
Imen Derouiche, Kaouther Jaafar and Ahmed Zemzem
Conditional conservatism and value relevance of financial reporting: A study in view of converging accounting standards pp. 48-70 Downloads
Maximiliaan Willem Pierre Thijssen and George Emmanuel Iatridis
How does the tax status of a country impact capital structure? Evidence from the GCC region pp. 71-89 Downloads
Akram Temimi, Rami Zeitun and Karim Mimouni
Multinational banks’ deleveraging in the Global Financial Crisis pp. 90-113 Downloads
Rainer Frey
Are systemic banking crises in developed and developing countries predictable? pp. 114-138 Downloads
Mekki Hamdaoui
Liquidity in Credit Default Swap Markets pp. 139-157 Downloads
Armen Arakelyan and Pedro Serrano
A calendar effect: Weekend overreaction (and subsequent reversal) in spot FX rates pp. 158-167 Downloads
Thong M. Dao, Frank McGroarty and Andrew Urquhart
A time-varying copula approach for modelling dependency: New evidence from commodity and stock markets pp. 168-189 Downloads
Lanouar Charfeddine and Noureddine Benlagha

2016, volume 36, issue C

The impact of European Commission merger regulation on US domestic M&As pp. 1-15 Downloads
Shreesh Deshpande, Marko Svetina and Pengcheng Zhu
Valuation consequences of the decision to divest in the globalized world pp. 16-29 Downloads
Margarita Kaprielyan
Tail risk spillovers and corporate cash holdings pp. 30-48 Downloads
Wan-Chien Chiu, Chih-Wei Wang and Juan Ignacio Peña
Trader activities, ownership, and stock price reactions to MSCI standard index changes: Evidence from Taiwan pp. 49-63 Downloads
Chung-Wen Hung and Cheng-Yi Shiu
The impact of the intellectual capital efficiency on commercial banks performance: Evidence from the US pp. 64-74 Downloads
Antonio Meles, Claudio Porzio, Gabriele Sampagnaro and Vincenzo Verdoliva
Market reactions to the appointment of women to the boards of Malaysian firms pp. 75-88 Downloads
Ku Nor Izah Ku Ismail and Kamarul Bahrain Abdul Manaf
The impact of investor sentiment on returns and conditional volatility in U.S. futures markets pp. 89-102 Downloads
Walid Bahloul and Abdelfettah Bouri
Investigating temporal variation in the global and regional integration of African stock markets pp. 103-118 Downloads
Nicholas Addai Boamah, Edward J. Watts and Geoffrey Loudon

2016, volume 35, issue C

Hedging exchange rate risk in the gold market: A panel data analysis pp. 1-23 Downloads
Kuan-Min Wang and Yuan-Ming Lee
The informative role of trading volume in an expanding spot and futures market pp. 24-40 Downloads
Sumon Bhaumik, M. Karanasos and A. Kartsaklas
Sub-optimal international portfolio allocations and the cost of capital pp. 41-58 Downloads
Frank Kwabi, Robert Faff, Andrew Marshall and Chandra Thapa
Dynamic co-movements and diversification benefits: The case of the Greater China region, the UK and the US equity markets pp. 59-78 Downloads
Francesco Guidi, Christos Savva and Mehmet Ugur
Financial development, international trade integration, and stock market integration: Evidence from Asia pp. 79-92 Downloads
Chaiporn Vithessonthi and Sriyalatha Kumarasinghe
Spatial competition in the banking system: Alternative lending technologies and collateral assets pp. 93-109 Downloads
Juha-Pekka Niinimaki

2016, volume 34, issue C

The market reaction to Yankee and Rule 144A bond offerings pp. 1-17 Downloads
Kelly Nianyun Cai and Hui Zhu
The effect of additional foreign market presence on the trading volume of cross-listed/traded stocks pp. 18-27 Downloads
Imen Ghadhab
Short- and long-run effects of internationalization and R&D intensity on firm performance pp. 28-45 Downloads
Chaiporn Vithessonthi and Olimpia C. Racela
Market liquidity risks of foreign exchange derivatives and cross-country equity portfolio allocations pp. 46-64 Downloads
Chandra Thapa, Suman Neupane and Andrew Marshall
Information asymmetry and the information content of insider trades: Evidence from the Indian stock market pp. 65-79 Downloads
Yogesh Chauhan, K. Kiran Kumar and Chakrapani Chaturvedula
Identifying the relative importance of stock characteristics pp. 80-91 Downloads
Declan French, Yuliang Wu and Youwei Li
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