International Review of Economics & Finance
1992 - 2025
Current editor(s): H. Beladi and C. Chen From Elsevier Bibliographic data for series maintained by Catherine Liu (). Access Statistics for this journal.
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Volume 87, issue C, 2023
- Local governments' economic growth target pressure and bank loan loss provision: Evidence from China pp. 1-14

- Meixu Ren, Konglin Ke, Xin Yu and Jinxuan Zhao
- Stakeholder orientation and trade credit: Evidence from a natural experiment pp. 15-34

- Tongxia Li, Chun Lu and Hui Wang
- Does competition exacerbate investment inefficiencies? Evidence from Japanese firms pp. 35-53

- Surjit Tinaikar and Bo Xu
- Impacts of home country's institutional environment on OFDI dual margin pp. 54-67

- Fengchun Li and Siying Wu
- The tail wagging the dog: How do meme stocks affect market efficiency? pp. 68-78

- Arash Aloosh, Hyung-Eun Choi and Samuel Ouzan
- Export prices and markups with a common currency: Empirical evidence from Greek exporting firms and euro adoption pp. 79-98

- Kyriakos Drivas, Sarantis Kalyvitis and Margarita Katsimi
- Heterogeneous dependence among cryptocurrency, green bonds, and sustainable equity: New insights from Granger-causality in quantiles analysis pp. 99-109

- Chi-Chuan Lee, Chin-Hsien Yu and Jian Zhang
- Explaining the volatility of the real exchange rate in emerging markets pp. 110-123

- Manuel Agosin and Juan D. Díaz
- The impact of a systemic tax on bank capital holdings, optimal capital requirements and social welfare pp. 124-142

- Chao Huang, Fernando Moreira, Thomas Archibald, Kaidong Yu and Xuan Zhang
- Spillovers between green and dirty cryptocurrencies and socially responsible investments around the war in Ukraine pp. 143-162

- Ritesh Patel, Sanjeev Kumar, Elie Bouri and Najaf Iqbal
- Understanding the role of social media sentiment in identifying irrational herding behavior in the stock market pp. 163-179

- Tong Li, Hui Chen, Wei Liu, Guang Yu and Yongtian Yu
- Corporate governance and systemic risk: Evidence from Chinese-listed banks pp. 180-202

- Chien-Chiang Lee, Yurong Wang and Xiaoming Zhang
- Uncertain mean–variance portfolio model with inflation taking linear uncertainty distributions pp. 203-217

- Xiaoxia Huang, Di Ma and Kwang-Il Choe
- Blockchain market and eco-friendly financial assets: Dynamic price correlation, connectedness and spillovers with portfolio implications pp. 218-243

- Emmanuel Abakah, Gm Wali Ullah, Oluwasegun Adekoya, Christiana Osei Bonsu and Mohammad Abdullah
- Long-term liquidity effects of large-scale asset purchase programs: Evidence from the euro covered bond market pp. 244-264

- Michael Weigerding
- Volatility spillover between oil and stock prices: Structural connectedness based on a multi-sector DSGE model approach with Bayesian estimation pp. 265-286

- Ying Tung Chan and Hui Qiao
- Minimum wage effects on firms’ R&D investment: Evidence from China pp. 287-305

- Zhihua Wei, Zerong Ren, Caiyun Zhu, Yisihong Zhou and Xiaowen Liu
- The heterogeneous impacts of M&As on renewable energy firms’ innovation: Comparative analysis of China, the US and EU pp. 306-323

- Lu Qiao, Weijia Dong and Xin Lv
- Pro-social preferences and risk aversion with different payment methods: Evidence from the laboratory pp. 324-337

- Jingping Li and Jin Di Zheng
- Analysis of the impact of global uncertainty on abnormal cross-border capital flows pp. 338-346

- Chuang Deng, Jingxuan Xie and Xiuyi Zhao
- Central bank asset purchases, banks’ risky security holdings and profitability: Macro and micro evidence from Japan and the U.S pp. 347-364

- Ling Wang
- The role of categorical EPU indices in predicting stock-market returns pp. 365-378

- Juan Chen, Feng Ma, Xuemei Qiu and Tao Li
- High frequency market making during stressed periods pp. 379-397

- Ke Xu
- Short-selling and corporate default risk: Evidence from China pp. 398-417

- Qingbin Meng, Haozheng Huang, Xinyu Li and Song Wang
- A network analysis on country and financial center attractiveness: Evidence from Asian economies, 2001–2018 pp. 418-432

- Tatsuyoshi Miyakoshi, Junji Shimada and Kui-Wai Li
- Exploring the sentimental features of rumor messages and investors' intentions to invest pp. 433-444

- Ahmed Ibrahim Alzahrani, Samer Muthana Sarsam, Hosam Al-Samarraie and Fahad Alblehai
- Stock market volatility prediction: Evidence from a new bagging model pp. 445-456

- Qin Luo, Jinfeng Bu, Weiju Xu and Dengshi Huang
- Oil futures volatility prediction: Bagging or combination? pp. 457-467

- Zhichong Lyu, Feng Ma and Jixiang Zhang
- Debts and depth of recessions pp. 468-485

- Donghyun Park, Kwanho Shin and Shu Tian
- Capital misallocation and financial market frictions: Empirical evidence from equity cost of capital pp. 486-504

- Junyan Shen
- Digital transformation, environmental disclosure, and environmental performance: An examination based on listed companies in heavy-pollution industries in China pp. 505-518

- Wenqiu Zhang and Junli Zhao
- Bitcoin trading, economic growth, energy use, and CO2 emissions: An advanced panel study of emerging market economies pp. 519-531

- Hui Hong and Cheng Zhang
- Do pension subsidies reduce household education expenditure inequality? Evidence from China pp. 532-540

- Shizheng Dong, Zili Zhang, Yiduo Han and Yanwu Si
- Payments for Watershed Services and corporate green innovation pp. 541-556

- Dayan Huang, Chengyi Liu, Zehao Yan and Aiju Kou
- Return and volatility spillovers among global assets: Comparing health crisis with geopolitical crisis pp. 557-575

- Muhammad Abubakr Naeem, Foued Hamouda, Sitara Karim and Samuel A. Vigne
- The predictability of skewness risk premium on stock returns: Evidence from Chinese market pp. 576-594

- Zhongxin Ni and Linyu Wang
Volume 86, issue C, 2023
- Does enterprise digital transformation contribute to the carbon emission reduction? Micro-level evidence from China pp. 1-13

- Yuping Shang, Syed Raza, Zhe Huo, Umer Shahzad and Xin Zhao
- COVID-19 pandemic and the dynamics of major investable assets: What gives shelter to investors? pp. 14-30

- Abu Hanifa Md Noman, Muhammad Mahmudul Karim, M. Kabir Hassan, Muhammad Asif Khan and Sajeda Pervin
- Challenges for volatility forecasts of US fossil energy spot markets during the COVID-19 crisis pp. 31-45

- Zepei Li and Haizhen Huang
- Time and frequency dynamic connectedness between cryptocurrencies and financial assets in China pp. 46-57

- Zhenghui Li, Bin Mo and He Nie
- Multidimensional cultural distance and self-employment of internal migrants in China pp. 58-81

- Chen Zhu, Chien-Chiang Lee, Jin Hong and Xing Shi
- Functional or selective policy? - Research on the relationship between government intervention and enterprise innovation in China pp. 82-96

- Taoxiong Liu, Wenwen Yan and Yadi Zhang
- Forecasting the stock-cryptocurrency relationship: Evidence from a dynamic GAS model pp. 97-111

- Kris Ivanovski and Abebe Hailemariam
- The impact of confucian culture on the cost of equity capital: The moderating role of marketization process pp. 112-126

- Huan Tan and Zhi Wang
- New estimates of international capital mobility for select OECD economies pp. 127-138

- Anthony Makin and Shyama Ratnasiri
- Is there any market state-dependent contribution from Blockchain-enabled solutions to ESG investments? Evidence from conventional and Islamic ESG stocks pp. 139-154

- Umer Shahzad, Mahdi Ghaemi Asl and Marco Tedeschi
- Crypto currency and green investment impact on global environment: A time series analysis pp. 155-169

- Wang Ye, Wing-Keung Wong, Gioia Arnone, Abdelmohsen A. Nassani, Mohamed Haffar and Muhammad Fauzinudin Faiz
- An empirical study on urban integration of Chinese elderly individuals with migration in periods of economic transformation: Internal mechanism and economic effects pp. 170-181

- Wenwu Zhang, Le Luo and Lianglian Gu
- Divergent opinions on social media pp. 182-196

- Kotaro Miwa
- Does internal whistleblowing build more socially responsible firms? pp. 197-214

- Xiaowei Lin, Ao Li, Yonghao Xu and Zijun Ding
- A semi-parametric study on dynamic linkages among international real interest rates pp. 215-229

- Zhongyuan You, Barry K. Goodwin and Selin Guney
- Lifetime asset allocation with long run risk and time various risk aversion pp. 230-251

- Tao Tang, Ronghua Luo and Jing Gu
- What drives biased odds in sports betting markets: Bettors’ irrationality and the role of bookmakers pp. 252-270

- Shingo Goto and Toru Yamada
- Interconnectedness between healthcare tokens and healthcare stocks: Evidence from a quantile VAR approach pp. 271-283

- Imran Yousaf, Linh Pham and John W. Goodell
- Investor sentiment and stock market anomalies in Australia pp. 284-303

- Xinyue Zhang, Emawtee Bissoondoyal-Bheenick and Angel Zhong
- Corporate governance and price differences between dual-class shares in Korea pp. 304-319

- Hyang Mi Choi, Pyung-Sig Yoon and Byungkwon Lim
- Effects of shareholder proposals on the market value of Japanese firms pp. 320-333

- Ryo Sato and Fumiko Takeda
- What determines the survival of farmer entrepreneurship: Micro-evidence from China pp. 334-348

- Chaolin Yang, Jingdong Yan, Xiaodan He and Shiqi Tian
- The investor's participation in social impact bonds pp. 349-363

- Maria Mazzuca, Elena Panzera and Sabrina Ruberto
- Improved inference in financial factor models pp. 364-379

- Elliot Beck, Gianluca De Nard and Michael Wolf
- Subsidizing new jobs in the Euro-zone periphery pp. 380-401

- Elton Beqiraj and Massimiliano Tancioni
- Retail investors' accessibility to the internet and firm-specific information flows: Evidence from Google's withdrawal pp. 402-424

- Wentao Ren
- Analyses for the effects of investor sentiment on the price adjustment behaviors for stock market and REIT market pp. 425-439

- Shu Ling Chiang and Ming Shann Tsai
- Public debt sustainability in a target zone model with heterogeneous agents pp. 440-450

- Pompeo Della Posta
- Does regional services development enhance manufacturing firm productivity? A manufacturing servitization perspective pp. 451-466

- Guo Chen, Yishuang Liu, Qizheng Gao and Jianqing Zhang
- Evaluation of the operational quality of China's grain futures market based on the comprehensive information weighting method pp. 467-482

- Wenjing Guo, Sijie Li, Mengyue Xing and Shengyao Lin
- Effectiveness of COVID-19 state aid for microenterprises in Poland pp. 483-497

- Katarzyna Kochaniak, Paweł Ulman and Robert Zajkowski
- Timeliness of technological innovation and decisions of IPO timing and pricing pp. 498-519

- Duan Liu, Qi Qiu and Shou Chen
- Gambling culture and earnings management: A novel perspective pp. 520-539

- Samar S. Alharbi, Nader Atawnah, Muhammad Jahangir Ali and Arman Eshraghi
- The value of economic freedom in cross-border mergers pp. 540-563

- Vivek Pandey, Tanja Steigner and Ninon K. Sutton
- Addendum: The imputed effects of US tariffs on wages pp. 564-569

- Alexi Thompson and Henry Thompson
- Air pollution and corporate risk-taking: Evidence from China pp. 570-586

- Jie Wang, Wanwan Wang and Fang Yuan
- Housing and the changing impact of monetary policy pp. 587-603

- William Miles and Xiaoyang Zhu
- Blockchain: A carbon-neutral facilitator or an environmental destroyer? pp. 604-615

- Meng Qin, Chi-Wei Su, Oana-Ramona Lobonţ and Muhammad Umar
- The impact of oil and natural gas prices on overnight risk in exchange rates based on the MVMQ-CAViaR models pp. 616-625

- Wei Peng
- Optimal bond holding dynamics with hedging against real exchange rate risks pp. 626-638

- Kyounghun Kim, Sunghyun Kim and Sanho Lim
- What determines private and household savings in India? pp. 639-651

- Soumya Kanti Ghosh and Hiranya Nath
- Understanding growth and its policy implications for Canadian credit unions pp. 652-665

- Abdullah Mamun
- Did small banks trade off lending with government bond purchases during the Sovereign debt crisis? pp. 666-683

- Filomena Pietrovito and Alberto Pozzolo
- The influence of cash flow volatility on firm use of debt of different maturities or zero-debt: International evidence pp. 684-700

- Keefe, Michael O’Connor and Phoebe Huyen Nguyen
- Can a signal mitigate a dilemma? Quality management standards, corruption, and business ethics pp. 701-716

- Barkat Ullah, Zuobao Wei and Yicheng Zhu
- Foreign exchange market efficiency during COVID-19 pandemic pp. 717-730

- Islam Azzam, Ahmed El-Masry and Ehab Yamani
- Regulation, external R&D, and strategic diffusion of pollution abatement technology pp. 731-744

- Yan Yan and Yi Li
- The crime rate of five Latin American countries: Does income inequality matter? pp. 745-763

- Lim Thye Goh and Siong Hook Law
- Economic growth and deviations from the equilibrium exchange rate pp. 764-786

- María del Carmen Ramos-Herrera and Simon Sosvilla-Rivero
- Influence of international trade disputes on the world industrial economic system based on inoperability input-output model pp. 787-803

- Xianhua Wu, Ji Guo and Shunfeng Song
- Borrow to be the poor or the rich? It depends: Credit market and wealth accumulation pp. 804-821

- Bangzheng Wu, Pengpeng Yue and Shengqiang Zuo
- Do green financial markets offset the risk of cryptocurrencies and carbon markets? pp. 822-833

- Md Abubakar Siddique, Haitham Nobanee, Sitara Karim and Farah Naz
- Effect of the logistics industry on the promotion of China's position in the global value chain: An international trade perspective pp. 834-847

- Yang Zhao, Song Wang, Xiaowan Liu and Xue Tang
- The impact of bank loan announcements on stock liquidity pp. 848-864

- Thu Phuong Pham, Harminder Singh and Van Hoang Vu
- The influence of peers' MD&A tone on corporate cash holdings pp. 865-881

- Huiting Lin, Shuchang He, Maolin Wang and Yaxuan Yan
- What determines the profitability of Islamic banks: Lending or fee? pp. 882-896

- A.S.M. Sohel Azad, Saad Azmat and Aziz Hayat
- A bibliometric review of sukuk literature pp. 897-918

- Andrea Paltrinieri, M. Kabir Hassan, Salman Bahoo and Ashraf Khan
- Are Islamic stocks immune from financial crises? Evidence from contagion tests pp. 919-948

- Kamrul Hassan, Ariful Hoque, Dominic Gasbarro and Wing-Keung Wong
- National culture and capital structure of the Shariah compliant firms: Evidence from Malaysia, Saudi Arabia and Pakistan pp. 949-964

- Mamunur Rashid, Dk Siti Nur Khoirunnisaa Pg Hj Johari and Selma Izadi
- Asymmetric capital structure speed of adjustment, equity mispricing and Shari’ah compliance of Malaysian firms pp. 965-975

- Hafezali Iqbal Hussain, Mohsin Ali, M. Kabir Hassan and Rwan El-Khatib
- Shariah screening and corporate governance: The case of constituent stocks of Dow Jones US Indices pp. 976-1002

- Zaheer Anwer, Wajahat Azmi and Shamsher Mohamad
- Dependency of Islamic bank rates on conventional rates in a dual banking system: A trade-off between religious and economic fundamentals pp. 1003-1021

- Shifa Mohamed Saeed, Islam Abdeljawad, M. Kabir Hassan and Mamunur Rashid
- Do online media and investor attention affect corporate environmental information disclosure?Evidence from Chinese listed companies pp. 1022-1040

- Hongtao Chen, Xiumei Fang, Erwei Xiang, Xiaojia Ji and Maolin An
- Do institutional investors perform better in emerging markets? pp. 1041-1056

- K.N. Badhani, Ashish Kumar, Xuan Vinh Vo and Mangesh Tayde
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