EconPapers    
Economics at your fingertips  
 

Journal of Multinational Financial Management

1997 - 2018

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

From Elsevier
Bibliographic data for series maintained by Dana Niculescu ().

Access Statistics for this journal.
Track citations for all items by RSS feed
Is something missing from the series or not right? See the RePEc data check for the archive and series.


2018, volume 46, issue C

Arbitrage opportunities and liquidity: An intraday event study on cross-listed stocks pp. 1-10 Downloads
Imen Ghadhab
Diversification and target leverage of financial institutions pp. 11-35 Downloads
Sameh Jouida and Slaheddine Hellara
The dynamic linkage between insurance and banking activities: An analysis on insurance sector assets pp. 36-50 Downloads
Chi-Hung Chang
Political connections and the cost of debt: Re-examining the evidence from Malaysia pp. 51-62 Downloads
Chwee Ming Tee
Abnormal retained earnings around the world pp. 63-74 Downloads
Paulo Alves
Relationship between stock and currency markets conditional on the US stock returns: A vine copula approach pp. 75-106 Downloads
Minoru Tachibana

2018, volume 45, issue C

Regulatory institutions, natural resource endowment and location choice of emerging-market FDI: A dynamic panel data analysis pp. 1-14 Downloads
Yuanfei Kang
Endogenous dynamics between innovation, financial markets, venture capital and economic growth: Evidence from Europe pp. 15-34 Downloads
Rudra P. Pradhan, Mak Arvin, Mahendhiran Nair, Sara E. Bennett, Sahar Bahmani and John H. Hall
Callable convertible bonds in sequential financing: Evidence on the Western European market pp. 35-51 Downloads
Adoukonou Olivier, Andre Florence and Viviani Jean-Laurent
The role of economic and financial uncertainties in predicting commodity futures returns and volatility: Evidence from a nonparametric causality-in-quantiles test pp. 52-71 Downloads
Walid Bahloul, Mehmet Balcilar, Juncal Cunado and Rangan Gupta
Asymmetries in the African financial markets pp. 72-87 Downloads
Konstantinos Gkillas, Dimitrios I. Vortelinos and Tahir Suleman
Is information diffusion a threat to market power for financial access? Insights from the African banking industry pp. 88-104 Downloads
Simplice Asongu, Enowbi Batuo, Jacinta Nwachukwu and Vanessa Tchamyou

2018, volume 44, issue C

An empirical evaluation of estimation error reduction strategies applied to international diversification pp. 1-13 Downloads
Shaun McDowell
Cross-country determinants of ownership choices in cross-border acquisitions: Evidence from emerging markets pp. 14-35 Downloads
Man Dang, Darren Henry, Manh Toan Nguyen and Viet Anh Hoang
The impact of market competition on the relation between CEO power and firm innovation pp. 36-50 Downloads
Shahbaz Sheikh
Do confident individuals generally work harder? pp. 51-60 Downloads
Elena Pikulina, Luc Renneboog and Philippe N. Tobler
Oil and energy sector stock markets: An analysis of implied volatility indexes pp. 61-68 Downloads
Anupam Dutta
Information asymmetry and market power in the African banking industry pp. 69-83 Downloads
Agyenim Boateng, Simplice Asongu, Raphael Akamavi and Vanessa Tchamyou

2017, volume 42-43

Corporate social responsibility and firm financing decisions: A literature review pp. 1-10 Downloads
Mohammed Benlemlih
Board structure of immigrant-founder firms pp. 11-23 Downloads
Hui James, Chialing Hsieh and Chen Y. Wu
Do female directors really add value in Indian firms? pp. 24-36 Downloads
Yogesh Chauhan and Dipanjan Kumar Dey
Board characteristics and the amount of capital raised in the Malaysian IPO market pp. 37-55 Downloads
Bazeet O. Badru, Nurwati A. Ahmad-Zaluki and Wan Nordin Wan-Hussin
Does equity holding by main banks affect the earnings quality of client firms? Empirical evidence from Japan pp. 56-73 Downloads
Koji Kojima, Bishnu Kumar Adhikary and Ranjan Kumar Mitra
The asymmetric impact of currency purchasing power imparities on ADR mispricing pp. 74-94 Downloads
Axel Grossmann, Thanh Ngo and Marc W. Simpson
IPO underpricing: What about the shipping sector? pp. 95-115 Downloads
Valeriia Klova
Conditional dependence between international stock markets: A long memory GARCH-copula model approach pp. 116-131 Downloads
Khaled Mokni and Faysal Mansouri
Cyclical co-movements of private real estate, public real estate and equity markets: A cross-continental spectrum pp. 132-151 Downloads
Steven Devaney and Qin Xiao
Is gold a hedge or safe haven for Islamic stock market movements? A Markov switching approach pp. 152-163 Downloads
Walid Chkili

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
Page updated 2018-12-18