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Journal of Multinational Financial Management

1997 - 2025

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

From Elsevier
Bibliographic data for series maintained by Catherine Liu ().

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2019, volume 50, articles C

Price clustering and economic freedom: The case of cross-listed securities pp. 1-12 Downloads
Ahmed S. Baig, Benjamin Blau and Ryan J. Whitby
The response of different investor types to macroeconomic news pp. 13-28 Downloads
Deniz Ikizlerli, Phil Holmes and Keith Anderson
Why do multinational firms hold so much cash? Further evidence on the precautionary motive pp. 29-43 Downloads
Suyan Zheng
Institutional stock ownership and firm innovation: Evidence from China pp. 44-57 Downloads
Jing Chi, Jing Liao and Jingjing Yang
Firm innovation in transition economies: The role of formal versus informal finance pp. 58-75 Downloads
Barkat Ullah
Technology directors and firm innovation pp. 76-88 Downloads
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 Downloads
Ehab Yamani
Does foreign currency-denominated debt affect dividend payout policy? Evidence from Korea pp. 20-34 Downloads
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 Downloads
Esma Nizam, Adam Ng, Ginanjar Dewandaru, Ruslan Nagayev and Malik Abdulrahman Nkoba
Remittances, finance and industrialisation in Africa pp. 54-66 Downloads
Uchenna Efobi, Simplice Asongu, Chinelo Okafor, Vanessa Tchamyou and Belmondo Tanankem
Institutional quality and financial development: The United States perspective pp. 67-80 Downloads
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 Downloads
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 Downloads
Kelly Cai, Heiwai Lee and Magali Valero
The role of dividend policy in cross-border mergers and acquisitions pp. 14-30 Downloads
Margarita Kaprielyan and Kevin Brady
European cross-border acquisitions: Long-run stock returns and firm characteristics pp. 31-45 Downloads
Mathias Jensen-Vinstrup, Damiana Rigamonti and Jesper Wulff
Informativeness of stock prices after IFRS adoption in Brazil pp. 46-59 Downloads
F. Henrique Castro and Verônica Santana
Herding tendency among investors with heterogeneous information: Evidence from China’s equity markets pp. 60-75 Downloads
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 Downloads
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 Downloads
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 Downloads
Saibal Ghosh
Foreign currency risk hedging and firm value in China pp. 129-143 Downloads
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 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, articles 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 Jean-Laurent Viviani
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 Cuñado and Rangan Gupta
Asymmetries in the African financial markets pp. 72-87 Downloads
Konstantinos Gkillas (Gillas), 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, Michael Batuo, Jacinta Nwachukwu and Vanessa Tchamyou

2018, volume 44, articles 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, articles 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 Imhotep Alagidede
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