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Journal of Multinational Financial Management
1997 - 2026
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.
2021, volume 62, articles C
- Trade, financial openness and dual banking economies: Evidence from GCC Region

- Ashraf Khan, M. Kabir Hassan, Andrea Paltrinieri and Salman Bahoo
- Does cross-border banking enhance competition and cost efficiency? Evidence from Africa

- Luc Matabaro Borauzima, Dominique Niyondiko and Aline Muller
- Cross-listing and the alignment between short and long-run performance

- Imen Ghadhab
- Does geopolitical risk matter for corporate investment? Evidence from emerging countries in Asia

- Anh-Tuan Le and Thao Phuong Tran
- The diverse effects of currency crises on multinational and local firms: The use of foreign currency debt

- Jing Jin, Rose C. Liao and Gilberto Loureiro
- Determinants of non-compliant equity funds with EU portfolio concentration limits

- Lidia Loban, José Luis Sarto and Luis Vicente
- Does mutual fund family size matter? International evidence

- Yihao Chen, Antonio F. Miguel and Xiayue Liu
- Do the specific countries in which a multinational corporation operates affect its private loan contracts?

- Brandon Ater and Bowe Hansen
- Big data analytics, order imbalance and the predictability of stock returns

- Erdinc Akyildirim, Ahmet Sensoy, Guzhan Gulay, Shaen Corbet and Hajar Novin Salari
- Country-segment disclosure of foreign operations from Central and Eastern Europe: Country-level determinants and value relevance

- Alina Taran, Can Simga-Mugan and Marilena Mironiuc
2021, volume 61, articles C
- The effects of global factors on the Saudi Arabia equity market by firm size: Implications for risk management based on quantile analysis and frequency domain causality

- Faisal Alqahtani, Besma Hamdi and Shawkat Hammoudeh
- An empirical illustration of the integration of sovereign bond markets

- Kei-Ichiro Inaba
- The impact of competition and bank market regulation on banks’ cost efficiency

- Haiyan Yin
- FDI characteristics, industry homogeneity, and audit fees in Japanese multinationals

- Junjian Gu
- Unemployment fluctuations and currency returns in the United Kingdom: Evidence from over one and a half century of data

- Deven Bathia, Riza Demirer, Rangan Gupta and Kevin Kotze
- Does foreign direct investment deepen the financial system in Southeast Asian economies?

- Mollah Aminul Islam, Haiyun Liu, Muhammad Asif Khan, Md Tariqul Islam and Md Reza Sultanuzzaman
2021, volume 60, articles C
- Dynamic measures of asymmetric & pairwise connectedness within an optimal currency area: Evidence from the ERM I system

- David Gabauer
- Dynamic identification of systemically important financial markets in the spread of contagion: A ripple network based collective spillover effect approach

- Zhi Su and Fuwei Xu
- Measuring liquidity risk effects on carry trades across currencies and regimes

- Samuel Abankwa and Lloyd P. Blenman
- Payouts and stock ownership

- H. Kent Baker, Lammertjan Dam and Adri De Ridder
- The stabilizing effects of pension funds vs. mutual funds on country-specific market risk

- Wenjun Xue, Zhongzhi He and Yu Hu
- Evaluating the performance of U.S. international equity closed-end funds

- Jonathan Fletcher
- The long-run performance of cross-border acquirers: An analysis of synergy sources

- Junming Hsu, Tung-Hsiao Yang and Yi-Chi Tsai
2021, volume 59, articles C
- Renegotiating public-private partnerships

- Joaquim Miranda Sarmento and Luc Renneboog
- Foreign direct investments: The role of corporate social responsibility

- Mei Liu, Andrew Marshall and Patrick McColgan
- Reversal returns and expected returns from liquidity provision: Evidence from emerging markets

- Hilal Anwar Butt, Kenneth Högholm and Mohsin Sadaqat
- Connectedness between cryptocurrencies and foreign exchange markets: Implication for risk management

- Rahma Chemkha, Ahmed BenSaïda and Ahmed Ghorbel
- Do managers pay attention to the market? A review of the relationship between stock price informativeness and investment

- Paulo Silva
- Key factors determining corporate social responsibility practices of Vietnamese firms and the joint effects of foreign ownership

- Rezaul Kabir and Hanh Minh Thai
2020, volume 57-58
- Investor Sentiment and Stock Price Premium Validation with Siamese Twins from China

- Yuan Li and Jimmy Ran
- Economic policy uncertainty and the Bitcoin-US stock nexus

- Khaled Mokni, Ahdi Noomen Ajmi, Elie Bouri and Xuan Vinh Vo
- Profit skimming, asymmetric benchmarking, or the effects of implicit incentives? Evidence from natural disasters

- Syed Walid Reza
- How does internationalization affect capital raising decisions? Evidence from UK firms

- Edward Jones, Nana Abena Kwansa and Hao Li
- Corruption, national culture, law and dividend repatriation policy

- Muhammad Tahir, Haslindar Ibrahim, Abdul Hadi Zulkafli and Muhammad Mushtaq
- Financing benefit from exporting: An indirect identification approach

- Ziliang Yu and Jiadong Tong
- Economic policy uncertainty and bank credit growth: Evidence from European banks

- Gamze Ozturk Danisman, Oguz Ersan and Ender Demir
- Corruption and financial fragility of small and medium enterprises: International evidence

- Anh-Tuan Le and Anh-Tuan Doan
- Trust and quality uncertainty in global value chains

- Douglas Cumming, Ying Ge and Huiwen Lai
- Development and testing of an augmented distress prediction model: A comparative study on a developed and an emerging market

- Sumaira Ashraf, Elisabete Félix and Zélia Serrasqueiro
2020, volume 56, articles C
- Gold, platinum, and expected Bitcoin returns

- Toan Luu Duc Huynh, Tobias Burggraf and Mei Wang
- Bank regulations, bank competition and bank risk-taking: Evidence from Japan

- Jittima Tongurai and Chaiporn Vithessonthi
- An investigation of the financial resource curse hypothesis in oil-exporting countries: The threshold effect of democratic accountability

- Kassouri Yacouba, Halil Altıntaş and Faik Bilgili
- The impact of ownership concentration on payout across Nordic firms

- Twahir M. Khalfan and Stefan Wendt
- Natural resources and financial development: The role of institutional quality

- Muhammad Atif Khan, Lulu Gu, Muhammad Asif Khan and Judit Oláh
- Bank development, competition, and entrepreneurship: International evidence

- Francisco González
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
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On this page- 2021, volume 62
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Articles C
- 2021, volume 61
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Articles C
- 2021, volume 60
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Articles C
- 2021, volume 59
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Articles C
- 2020, volume 57-58
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- 2020, volume 56
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Articles C
- 2020, volume 55
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Articles C
Other years2026, volume 82
2026, volume 81
2025, volume 80
2025, volume 79
2025, volume 78
2025, volume 77
2024, volume 76
2024, volume 75
2024, 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
2020, volume 54
2019, volume 52-53
2019, volume 51
2019, volume 50
2019, volume 49
2018, volume 47-48
2018, volume 46
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- 2021, volume 62
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Articles C
- 2021, volume 61
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Articles C
- 2021, volume 60
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Articles C
- 2021, volume 59
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Articles C
- 2020, volume 57-58
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Articles
- 2020, volume 56
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Articles C
- 2020, volume 55
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Articles C
Other years2026, volume 82
2026, volume 81
2025, volume 80
2025, volume 79
2025, volume 78
2025, volume 77
2024, volume 76
2024, volume 75
2024, 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
2020, volume 54
2019, volume 52-53
2019, volume 51
2019, volume 50
2019, volume 49
2018, volume 47-48
2018, volume 46
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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