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Journal of Multinational Financial Management
1997 - 2024
Current editor(s): I. Mathur and G. G. Booth 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.
2020, volume 55, articles C
- Institutional ownership, investor recognition and stock performance around index rebalancing: Evidence from Indian market
- Eshan Ahluwalia, Ajay Kumar Mishra and Trilochan Tripathy
- Modeling the relationship between oil and USD exchange rates: Evidence from a regime-switching-quantile regression approach
- Manel Youssef and Khaled Mokni
- Political connections and income smoothing: Evidence of institutional investors’ monitoring in Malaysia
- Chwee Ming Tee
- Economic policy uncertainty and ADR mispricing
- Axel Grossmann and Thanh Ngo
- Signaling value of quality certification: Financing under asymmetric information
- Barkat Ullah
- Shanghai-Hong Kong Stock Exchange Connect Program: A story of two markets and different groups of stocks
- Weishen Wang
2020, volume 54, articles C
- Corruption and corporate cash holdings: international evidence
- Quoc Trung Tran
- Corporate social responsibility and bank efficiency
- Sanaa Belasri, Mathieu Gomes and Guillaume Pijourlet
- Foreign issuers in emerging growth company IPOs
- Rachita Gullapalli and Anzhela Knyazeva
- The investment behavior of Qualified Foreign Institutional Investors in China
- Ningyue Liu, Don Bredin and Huijuan Cao
- Corporate risk-taking in developed countries: The influence of economic policy uncertainty and macroeconomic conditions
- Çiğdem Vural-Yavaş
- Volatility connectedness in global foreign exchange markets
- Tiange Wen and Gang-Jin Wang
2019, volume 52-53
- The impact of exchange rate movements on mergers and acquisitions FDI
- Anand Shetty, John Manley and Nyonyo Kyaw
- Global liquidity, market sentiment, and financial stability indices
- Nataliia Osina
- The impact of financial and economic factors on Islamic mutual fund performance: Evidence from multiple fund categories
- Gazi Uddin, Jose Arreola Hernandez, Chiraz Labidi, Victor Troster and Seong-Min Yoon
- The value relevance of nonfinancial disclosure: Evidence from foreign equity investment
- Yogesh Chauhan and Surya Bhushan Kumar
- Directional spillover effects between ASEAN and world stock markets
- Sang Hoon Kang, Gazi Uddin, Victor Troster and Seong-Min Yoon
- The diminishing hedging role of crude oil: Evidence from time varying financialization
- Shahil Sharma and Ivan Rodriguez
- Should central banks use the currency futures market to manage spot volatility? Evidence from India
- P.C. Biswal and Anshul Jain
- The impact of microcredit on poverty reduction in eleven developing countries in south-east Asia
- Elisabete Félix and Teresa Freitas Belo
- Foreign investors’ trading behavior and market conditions: Evidence from Taiwan
- Li-Ju Tsai, Pei-Gi Shu and Sue-Jane Chiang
- Economic policy uncertainty and corporate risk-taking: International evidence
- Quoc Trung Tran
2019, volume 51, articles C
- How does foreign pressure affect a firm's corporate social performance? Evidence from listed firms in Taiwan pp. 1-22
- Chyi-Lun Chiou and Pei-Gi Shu
- Does firm life cycle impact corporate risk taking and performance? pp. 23-44
- Farrukh Shahzad, Jing Lu and Zeeshan Fareed
- Political institutions and foreign banks’ risk-taking in emerging markets pp. 45-60
- Rui Wang and Yubing Sui
- Corporate governance, earnings quality and idiosyncratic crash risk during the 2007–2008 financial crisis pp. 61-79
- Paulo Silva
- Exchange rate exposure of Latin American firms: Empirical evidence pp. 80-97
- Roberto Santillan-Salgado, José Antonio Núñez-Mora, Raj Aggarwal and Luis Jacob Escobar-Saldivar
- Foreign investor trading behavior has evolved pp. 98-115
- Olena Onishchenko and Numan Ülkü
2019, volume 50, articles C
- Price clustering and economic freedom: The case of cross-listed securities pp. 1-12
- Ahmed S. Baig, Benjamin Blau and Ryan J. Whitby
- The response of different investor types to macroeconomic news pp. 13-28
- Deniz Ikizlerli, Phil Holmes and Keith Anderson
- Why do multinational firms hold so much cash? Further evidence on the precautionary motive pp. 29-43
- Suyan Zheng
- Institutional stock ownership and firm innovation: Evidence from China pp. 44-57
- Jing Chi, Jing Liao and Jingjing Yang
- Firm innovation in transition economies: The role of formal versus informal finance pp. 58-75
- Barkat Ullah
- Technology directors and firm innovation pp. 76-88
- Yunhe Li, Yu Liu and Feixue Xie
2019, volume 49, articles C
- Diversification role of currency momentum for carry trade: Evidence from financial crises pp. 1-19
- Ehab Yamani
- Does foreign currency-denominated debt affect dividend payout policy? Evidence from Korea pp. 20-34
- Young Mok Choi and Kunsu Park
- The impact of social and environmental sustainability on financial performance: A global analysis of the banking sector pp. 35-53
- Esma Nizam, Adam Ng, Ginanjar Dewandaru, Ruslan Nagayev and Malik Abdulrahman Nkoba
- Remittances, finance and industrialisation in Africa pp. 54-66
- Uchenna Efobi, Simplice Asongu, Chinelo Okafor, Vanessa Tchamyou and Belmondo Tanankem
- Institutional quality and financial development: The United States perspective pp. 67-80
- Muhammad Asif Khan, Muhammad Atif Khan, Mohamued Elyas Abdulahi, Idrees Liaqat and Sayyed Sadaqat Hussain Shah
- Time-varying causal relationship between stock market and unemployment in the United Kingdom: Historical evidence from 1855 to 2017 pp. 81-88
- Xolani Sibande, Rangan Gupta and Mark Wohar
2018, volume 47-48
- The roles of the information environment and the stock price performance of foreign firms in their decision to delist from U.S. exchanges pp. 1-13
- Kelly Cai, Heiwai Lee and Magali Valero
- The role of dividend policy in cross-border mergers and acquisitions pp. 14-30
- Margarita Kaprielyan and Kevin Brady
- European cross-border acquisitions: Long-run stock returns and firm characteristics pp. 31-45
- Mathias Jensen-Vinstrup, Damiana Rigamonti and Jesper Wulff
- Informativeness of stock prices after IFRS adoption in Brazil pp. 46-59
- F. Henrique Castro and Verônica Santana
- Herding tendency among investors with heterogeneous information: Evidence from China’s equity markets pp. 60-75
- Yaseen S. Alhaj-Yaseen and Siu-Kong Yau
- News implied volatility and the stock-bond nexus: Evidence from historical data for the USA and the UK markets pp. 76-90
- Rangan Gupta, Christos Kollias, Stephanos Papadamou and Mark Wohar
- The Dodd-Frank Act and Basel III: Market-based risk implications for global systemically important banks (G-SIBs) pp. 91-109
- Sunil K. Mohanty, Aigbe Akhigbe, Abdulrahman Basheikh and Haroon ur Rashid Khan
- Bad luck, Bad policy or Bad banking? Understanding the financial management behavior of MENA banks pp. 110-128
- Saibal Ghosh
- Foreign currency risk hedging and firm value in China pp. 129-143
- Robin Hang Luo and Rui Wang
2018, volume 46, articles C
- Arbitrage opportunities and liquidity: An intraday event study on cross-listed stocks pp. 1-10
- Imen Ghadhab
- Diversification and target leverage of financial institutions pp. 11-35
- Sameh Jouida and Slaheddine Hellara
- The dynamic linkage between insurance and banking activities: An analysis on insurance sector assets pp. 36-50
- Chi-Hung Chang
- Political connections and the cost of debt: Re-examining the evidence from Malaysia pp. 51-62
- Chwee Ming Tee
- Abnormal retained earnings around the world pp. 63-74
- Paulo Alves
- Relationship between stock and currency markets conditional on the US stock returns: A vine copula approach pp. 75-106
- Minoru Tachibana
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On this page- 2020, volume 55
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Articles C
- 2020, volume 54
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Articles C
- 2019, volume 52-53
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Articles
- 2019, volume 51
-
Articles C
- 2019, volume 50
-
Articles C
- 2019, volume 49
-
Articles C
- 2018, volume 47-48
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Articles
- 2018, volume 46
-
Articles C
Other years2024, volume 74
2024, volume 73
2024, volume 72
2023, volume 70-71
2023, volume 69
2023, volume 68
2023, volume 67
2022, volume 66
2022, volume 65
2022, volume 64
2022, volume 63
2021, volume 62
2021, volume 61
2021, volume 60
2021, volume 59
2020, volume 57-58
2020, volume 56
2018, volume 45
2018, volume 44
2017, volume 42-43
2017, volume 41
2017, volume 40
2017, volume 39
2016, volume 37-38
2016, volume 36
2016, volume 35
2016, volume 34
2015, volume 32-33
2015, volume 31
2015, volume 30
2015, volume 29
2014, volume 28
2014, volume 27
2014, volume 24
2013, volume 23
2012, volume 22
2011, volume 21
2010, volume 20
2009, volume 19
2008, volume 18
2007, volume 17
2006, volume 16
2005, volume 15
2004, volume 14
2003, volume 13
2002, volume 12
2001, volume 11
2000, volume 10
1999, volume 9
1998, volume 8
1997, volume 7
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On this page- 2020, volume 55
-
Articles C
- 2020, volume 54
-
Articles C
- 2019, volume 52-53
-
Articles
- 2019, volume 51
-
Articles C
- 2019, volume 50
-
Articles C
- 2019, volume 49
-
Articles C
- 2018, volume 47-48
-
Articles
- 2018, volume 46
-
Articles C
Other years2024, volume 74
2024, volume 73
2024, volume 72
2023, volume 70-71
2023, volume 69
2023, volume 68
2023, volume 67
2022, volume 66
2022, volume 65
2022, volume 64
2022, volume 63
2021, volume 62
2021, volume 61
2021, volume 60
2021, volume 59
2020, volume 57-58
2020, volume 56
2018, volume 45
2018, volume 44
2017, volume 42-43
2017, volume 41
2017, volume 40
2017, volume 39
2016, volume 37-38
2016, volume 36
2016, volume 35
2016, volume 34
2015, volume 32-33
2015, volume 31
2015, volume 30
2015, volume 29
2014, volume 28
2014, volume 27
2014, volume 24
2013, volume 23
2012, volume 22
2011, volume 21
2010, volume 20
2009, volume 19
2008, volume 18
2007, volume 17
2006, volume 16
2005, volume 15
2004, volume 14
2003, volume 13
2002, volume 12
2001, volume 11
2000, volume 10
1999, volume 9
1998, volume 8
1997, volume 7
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