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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.
2016, volume 36, articles C
- The impact of European Commission merger regulation on US domestic M&As pp. 1-15
- Shreesh Deshpande, Marko Svetina and Pengcheng Zhu
- Valuation consequences of the decision to divest in the globalized world pp. 16-29
- Margarita Kaprielyan
- Tail risk spillovers and corporate cash holdings pp. 30-48
- 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
- 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
- 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
- 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
- Walid Bahloul and Abdelfettah Bouri
- Investigating temporal variation in the global and regional integration of African stock markets pp. 103-118
- Nicholas Addai Boamah, Edward J. Watts and Geoffrey Loudon
2016, volume 35, articles C
- Hedging exchange rate risk in the gold market: A panel data analysis pp. 1-23
- Kuan Min Wang and Yuan-Ming Lee
- The informative role of trading volume in an expanding spot and futures market pp. 24-40
- Sumon Bhaumik, M. Karanasos and A. Kartsaklas
- Sub-optimal international portfolio allocations and the cost of capital pp. 41-58
- 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
- Francesco Guidi, Christos Savva and Mehmet Ugur
- Financial development, international trade integration, and stock market integration: Evidence from Asia pp. 79-92
- Chaiporn Vithessonthi and Sriyalatha Kumarasinghe
- Spatial competition in the banking system: Alternative lending technologies and collateral assets pp. 93-109
- Juha-Pekka Niinimaki
2016, volume 34, articles C
- The market reaction to Yankee and Rule 144A bond offerings pp. 1-17
- 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
- Imen Ghadhab
- Short- and long-run effects of internationalization and R&D intensity on firm performance pp. 28-45
- Chaiporn Vithessonthi and Olimpia C. Racela
- Market liquidity risks of foreign exchange derivatives and cross-country equity portfolio allocations pp. 46-64
- 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
- Yogesh Chauhan, K. Kiran Kumar and Chakrapani Chaturvedula
- Identifying the relative importance of stock characteristics pp. 80-91
- Declan French, Yuliang Wu and Youwei Li
2015, volume 32-33
- The informational content of ADR mispricing pp. 1-14
- Klaus S. Beckmann, Thanh Ngo and Daphne Wang
- Foreign ownership in emerging stock markets pp. 15-24
- Jonathan Batten and Xuan Vinh Vo
- The value of corporate financial flexibility in emerging countries pp. 25-41
- Kenneth Yung, DeQing Diane Li and Yi Jian
- Firm, market and top management antecedents of speculation: Lessons for corporate governance pp. 42-58
- Rodrigo Zeidan and Jakob Müllner
- Herding behavior in institutional investors: Evidence from China’s stock market pp. 59-76
- Dazhi Zheng, Huimin Li and Xiaowei Zhu
- Cross-listing performance and insider ownership: The experience of U.S. investors pp. 77-94
- Omar Esqueda and Dave O. Jackson
- A study of linkages between frontier markets and the U.S. equity markets using multivariate GARCH and transfer entropy pp. 95-115
- Mary Schmid Daugherty and Thadavillil Jithendranathan
- M&A operations: Further evidence of informed trading in the CDS market pp. 116-130
- Paulo Silva, Isabel Vieira and Carlos Vieira
2015, volume 31, articles C
- Insurance development and the finance-growth nexus: Evidence from 34 OECD countries pp. 1-22
- Rudra P. Pradhan, Mak Arvin and Neville R. Norman
- Competition of trading volume among markets: Evidence from stocks with multiple cross-listing destinations pp. 23-62
- Jing Wang and Haigang Zhou
- Islamic financial institutions, corporate governance, and corporate risk disclosure in Gulf Cooperation Council countries pp. 63-82
- Abed Al-Nasser Abdallah, Mostafa Kamal Hassan and Patrick L. McClelland
- Extreme IPO underpricing and the legal environment in wealthy emerging economies pp. 83-103
- Ahmed S. Alanazi and Haitham Al-Zoubi
- Firm growth and political institutions pp. 104-125
- Narjess Boubakri, Sadok El Ghoul and Walid Saffar
- The law of one price, arbitrage opportunities and price convergence: Evidence from cross-listed stocks pp. 126-145
- Imen Ghadhab and Slaheddine Hellara
2015, volume 30, articles C
- Earnings quality under financial crisis: A global empirical investigation pp. 1-35
- Anthony Persakis and George Emmanuel Iatridis
- Do demographic changes matter? A cross-country perspective pp. 36-61
- Aleksandar Šević and Derek Brawn
- Geographical diversification with a World Volatility Index pp. 62-82
- Sofiane Aboura and Julien Chevallier
- On the compensation for illiquidity in sovereign credit markets pp. 83-100
- Juan Angel Lafuente and Pedro Serrano
- Foreign ownership and stock return volatility – Evidence from Vietnam pp. 101-109
- Xuan Vinh Vo
- The role of internal and external certification mechanisms in seasoned equity offerings pp. 110-127
- Hardjo Koerniadi, Chandrasekhar Krishnamurti, Sie Ting Lau, Alireza Tourani-Rad and Ting Yang
2015, volume 29, articles C
- The effect of firm size on the leverage–performance relationship during the financial crisis of 2007–2009 pp. 1-29
- Chaiporn Vithessonthi and Jittima Tongurai
- Value-at-Risk analysis in the MENA equity markets: Fat tails and conditional asymmetries in return distributions pp. 30-45
- Ata Assaf
- CEO compensation and corporate social responsibility pp. 46-65
- Ming Jian and Kin-Wai Lee
- Disaggregation, auditor conservatism and implied cost of equity capital: An international evidence from the GCC pp. 66-98
- Ahmed Al-Hadi, Grantley Taylor and Mahmud Hossain
- Cultural distance and foreign IPO underpricing variations pp. 99-114
- Kelly Cai and Hui Zhu
- Risk-return characteristics of Islamic equity indices: Multi-timescales analysis pp. 115-138
- Ginanjar Dewandaru, Obiyathulla Bacha, A. Mansur M. Masih and Rumi Masih
2014, volume 28, articles C
- U.S. stock market uncertainty and cross-market European stock returns pp. 1-14
- Ghulam Sarwar
- Country risk and the cost of equity in emerging markets pp. 15-27
- Ignacio Warnes and Pablo E. Warnes
- Basel III, capital stability, risk-taking, ownership: Evidence from Asia pp. 28-46
- Pichaphop Chalermchatvichien, Seksak Jumreornvong and Pornsit Jiraporn
- Emerging market currency exposure: Taiwan pp. 47-61
- Ding Du, Ou Hu and Hong Wu
- Mutual funds’ holdings and listed firms’ earnings management: Evidence from China pp. 62-78
- Jing Chi, Jingjing Yang and Martin Young
- Global banks and internal capital markets: Evidence from bank-level panel data in emerging economies pp. 79-94
- Bang Jeon and Ji Wu
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On this page- 2016, volume 36
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Articles C
- 2016, volume 35
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Articles C
- 2016, volume 34
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Articles C
- 2015, volume 32-33
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Articles
- 2015, volume 31
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Articles C
- 2015, volume 30
-
Articles C
- 2015, volume 29
-
Articles C
- 2014, volume 28
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Articles C
Other years2024, 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
2021, volume 62
2021, volume 61
2021, volume 60
2021, volume 59
2020, volume 57-58
2020, volume 56
2020, volume 55
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
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- 2016, volume 36
-
Articles C
- 2016, volume 35
-
Articles C
- 2016, volume 34
-
Articles C
- 2015, volume 32-33
-
Articles
- 2015, volume 31
-
Articles C
- 2015, volume 30
-
Articles C
- 2015, volume 29
-
Articles C
- 2014, volume 28
-
Articles C
Other years2024, 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
2021, volume 62
2021, volume 61
2021, volume 60
2021, volume 59
2020, volume 57-58
2020, volume 56
2020, volume 55
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
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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