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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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2015, volume 31, articles C

Insurance development and the finance-growth nexus: Evidence from 34 OECD countries pp. 1-22 Downloads
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 Downloads
Jing Wang and Haigang Zhou
Islamic financial institutions, corporate governance, and corporate risk disclosure in Gulf Cooperation Council countries pp. 63-82 Downloads
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 Downloads
Ahmed S. Alanazi and Haitham Al-Zoubi
Firm growth and political institutions pp. 104-125 Downloads
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 Downloads
Imen Ghadhab and Slaheddine Hellara

2015, volume 30, articles C

Earnings quality under financial crisis: A global empirical investigation pp. 1-35 Downloads
Anthony Persakis and George Emmanuel Iatridis
Do demographic changes matter? A cross-country perspective pp. 36-61 Downloads
Aleksandar Šević and Derek Brawn
Geographical diversification with a World Volatility Index pp. 62-82 Downloads
Sofiane Aboura and Julien Chevallier
On the compensation for illiquidity in sovereign credit markets pp. 83-100 Downloads
Juan Angel Lafuente and Pedro Serrano
Foreign ownership and stock return volatility – Evidence from Vietnam pp. 101-109 Downloads
Xuan Vinh Vo
The role of internal and external certification mechanisms in seasoned equity offerings pp. 110-127 Downloads
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 Downloads
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 Downloads
Ata Assaf
CEO compensation and corporate social responsibility pp. 46-65 Downloads
Ming Jian and Kin-Wai Lee
Disaggregation, auditor conservatism and implied cost of equity capital: An international evidence from the GCC pp. 66-98 Downloads
Ahmed Al-Hadi, Grantley Taylor and Mahmud Hossain
Cultural distance and foreign IPO underpricing variations pp. 99-114 Downloads
Kelly Cai and Hui Zhu
Risk-return characteristics of Islamic equity indices: Multi-timescales analysis pp. 115-138 Downloads
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 Downloads
Ghulam Sarwar
Country risk and the cost of equity in emerging markets pp. 15-27 Downloads
Ignacio Warnes and Pablo E. Warnes
Basel III, capital stability, risk-taking, ownership: Evidence from Asia pp. 28-46 Downloads
Pichaphop Chalermchatvichien, Seksak Jumreornvong and Pornsit Jiraporn
Emerging market currency exposure: Taiwan pp. 47-61 Downloads
Ding Du, Ou Hu and Hong Wu
Mutual funds’ holdings and listed firms’ earnings management: Evidence from China pp. 62-78 Downloads
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 Downloads
Bang Jeon and Ji Wu

2014, volume 27, articles C

Comparative analysis of the performance of Chinese Owned Banks’ in Hong Kong 2004–2010 pp. 1-10 Downloads
Kevin Daly and Xiaoxi Zhang
Tax revenues convergence across ASEAN, Pacific and Oceania countries: Evidence from club convergence pp. 11-21 Downloads
Nicholas Apergis and Arusha Cooray
Do political institutions affect the choice of the U.S. cross-listing venue? pp. 22-48 Downloads
Jean-Claude Cosset, Charles Martineau and Anis Samet
Institutional shareholdings and the January effects in Taiwan pp. 49-66 Downloads
Yih-Wen Shiu, Chun I. Lee and Kimberly C. Gleason
Financial markets development and bank risk: Experience from Thailand during 1990–2012 pp. 67-88 Downloads
Chaiporn Vithessonthi
What explains the initial return of initial public offerings after the 1997 Asian financial crisis? Evidence from Thailand pp. 89-113 Downloads
Chaiporn Vithessonthi
The German humpback: Internationalization and foreign exchange hedging pp. 114-129 Downloads
Tom Aabo and Rasmus Ploeen
Corporate diversification, real activities manipulation, and firm value pp. 130-151 Downloads
Javeria Farooqi, Oneil Harris and Thanh Ngo

2014, volume 24, articles C

The political economy of share issue privatization: International evidence pp. 1-18 Downloads
Walid Saffar
The impact of institutions, ownership structure, business angels, venture capital and lead managers on IPO firm underpricing across North Africa pp. 19-42 Downloads
Bruce Hearn
Transmission of pricing information between level III ADRs and their underlying domestic stocks: Empirical evidence from India pp. 43-59 Downloads
Kaushik Bhattacharjee, Nupur Pavan Bang and Sravya Mamidanna

2013, volume 23, articles 5

Capital structure effects of international expansion pp. 375-393 Downloads
Robert Joliet and Aline Muller
Information, hedging demand, and institutional investors: Evidence from the Taiwan Futures Exchange pp. 394-414 Downloads
Cheng-Yi Chien, Hsiu-Chuan Lee, Shih-Wen Tai and Tzu-Hsiang Liao
Hedging, selective hedging, or speculation? Evidence of the use of derivatives by Brazilian firms during the financial crisis pp. 415-433 Downloads
Jose Rossi
Media coverage, board structure and CEO compensation: Evidence from Taiwan pp. 434-445 Downloads
Chia-Wei Chen, Bingsheng Yi and J. Barry Lin
Do monetary policy announcements affect stock prices in emerging market countries? The case of Thailand pp. 446-469 Downloads
Chaiporn Vithessonthi and Yaowaluk Techarongrojwong

2013, volume 23, articles 3

Financial management in China pp. 125-133 Downloads
Zhan Jiang and Kenneth Kim
CEO's financial experience and earnings management pp. 134-145 Downloads
Fuxiu Jiang, Bing Zhu and Jicheng Huang
Bank lending incentives and firm investment decisions in China pp. 146-165 Downloads
Ying Zheng and Yuande Zhu
Fund ownership and stock price informativeness of Chinese listed firms pp. 166-185 Downloads
Rong Ding, Wenxuan Hou, Jing-Ming Kuo and Edward Lee
An empirical investigation of mergers and acquisitions by Chinese listed companies, 1997–2007 pp. 186-207 Downloads
Harjeet S. Bhabra and Jiayin Huang
Innovation or imitation? pp. 208-234 Downloads
Joseph P.H. Fan, Stuart L. Gillan and Xin Yu
The choice between rights and underwritten equity offerings: Evidence from Chinese stock markets pp. 235-253 Downloads
Li Dang and J. Jimmy Yang

2013, volume 23, articles 1

Hedging efficiency in the Greek options market before and after the financial crisis of 2008 pp. 1-18 Downloads
Mark Shackleton and Nikolaos Voukelatos
Does investor protection regime affect the effectiveness of outside directorship on the board? pp. 19-33 Downloads
Jagdish Pathak and Jerry Sun
The impact of corporate governance, regulatory differences and futures contracts on movements among portfolios of cross-listed equities: The case of Germany pp. 34-53 Downloads
Athanasios Koulakiotis, Nikos Kartalis, Katerina Lyroudi and Nicholas Papasyriopoulos
Does cross-listing in the US foster mergers and acquisitions and increase target shareholder wealth? pp. 54-73 Downloads
Jean-Claude Cosset and Siham Meknassi
Financial restatements by Canadian firms cross-listed and not cross-listed in the U.S pp. 74-96 Downloads
Lawrence Kryzanowski and Ying Zhang
US cross-listing and corporate disclosure policy pp. 97-112 Downloads
Guy Charest, Jean-Claude Cosset, Ahmed Marhfor and M’Zali, Bouchra
Does culture influence IPO underpricing? pp. 113-123 Downloads
Bruce A. Costa, Anthony Crawford and Keith Jakob
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