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 77, issue C, 2022
- Dynamic rebalancing portfolio models with analyses of investor sentiment pp. 1-13

- Jing-Rung Yu, W. Paul Chiou, Cing-Hung Hung, Wen-Kuei Dong and Yi-Hsuan Chang
- Corporate social responsibility, entry and optimal privatization in an international mixed market pp. 14-24

- Qidi Zhang and Leonard F.S. Wang
- Does stock market liberalization reduce stock price synchronicity? —Evidence from the Shanghai-Hong Kong Stock Connect pp. 25-38

- Qinyang Li, Xiangqiang Liu, Jing Chen and Huaixin Wang
- The impact of clean energy consumption on economic growth in China: Is environmental regulation a curse or a blessing? pp. 39-58

- En-Ze Wang and Chien-Chiang Lee
- Industry-level media tone and the cross-section of stock returns pp. 59-77

- Tao Huang and Xueyong Zhang
- Economic policy uncertainty and firm innovation: Evidence from a risk-taking perspective pp. 78-96

- Zhukun Lou, Siyu Chen, Wenwei Yin, Chuan Zhang and Xiaoyu Yu
- Risk-premium shocks and the prudent exchange rate policy pp. 97-122

- Syed Ali and Sajid Anwar
- Prior banking relationships and long-term IPO performance pp. 123-134

- Kam C. Chan and Guangzi Li
- The impact of internet on entrepreneurship pp. 135-142

- Ying Tan and Xiaoying Li
- Intellectual property rights protection and export product quality: Evidence from China pp. 143-158

- Baomin Dong, Yibei Guo and Xiaotian Hu
- Canadian stock market volatility under COVID-19 pp. 159-169

- Dinghai Xu
- International diffusion of knowledge labor productivity and catching up between North and South pp. 170-178

- Daghbagi Hamrouni
- Geopolitical risks and historical exchange rate volatility of the BRICS pp. 179-190

- Afees Salisu, Juncal Cuñado and Rangan Gupta
- Economic growth and happiness in China: A Bayesian multilevel age-period-cohort analysis based on the CGSS data 2005–2015 pp. 191-205

- Yu-Sung Su, Donald Lien and Yuling Yao
- Time-varying geopolitical risk and oil prices pp. 206-221

- Kris Ivanovski and Abebe Hailemariam
- Can information asymmetry explain both the post-merger value and the announcement discount in M&As? pp. 222-243

- M. Kabir Hassan and Yasser Alhenawi
- Firm age and beta: Evidence from China pp. 244-261

- Hao Liu, Hao Zhang, Ya-Chun Gao and Xu-Dong Chen
- Export entrepreneurship promotion: The role of regulation-induced time delays and institutions pp. 262-275

- Jonathan Munemo
- The resilience of Islamic equity funds during COVID-19: Evidence from risk adjusted performance, investment styles and volatility timing pp. 276-295

- Nawazish Mirza, Syed Kumail Abbas Rizvi, Irum Saba, Bushra Naqvi and Larisa Yarovaya
- Detecting pivotal countries of China's OFDI in the “Belt and Road” initiative: The perspective of similarity of doing business pp. 296-311

- Xinbei Qian, Liangxiong Huang, Xianbin Wang and Shuqi Wang
- Impact of industrial agglomeration on new-type urbanization: Evidence from Pearl River Delta urban agglomeration of China pp. 312-325

- Xiaoxia Wu, Yan Huang and Jian Gao
- Informal stall business, income inequality, and welfare in a dual economy pp. 326-340

- Eden Yu and Chi-Chur Chao
- The dynamics and determinants of liquidity connectedness across financial asset markets pp. 341-358

- Ping-Xin Liew, Kian-Ping Lim and Kim-Leng Goh
- What if borrowers stop paying their loans? Investors’ rates of return on a peer-to-peer lending platform pp. 359-377

- Pei-Fen Chen, Shihmin Lo and Hai-Yuan Tang
- Market-timing performance of mutual fund investors in Emerging Markets pp. 378-394

- Alberto Cagnazzo
- Measuring the effects of monetary and fiscal policy shocks on domestic investment in China pp. 395-412

- Feng Min, Fenghua Wen and Xiong Wang
- Will the China's carbon emissions market increase the risk-taking of its enterprises? pp. 413-434

- Boqiang Lin and Nan Wu
- Good for the firm, good for the society? Causal evidence of the impact of equity incentives on a firm's green investment pp. 435-449

- Junfeng Wu, Baohua Liu, Yongliang Zeng and Hong Luo
- Is oil-gas price decoupling happening in China? A multi-scale quantile-on-quantile approach pp. 450-470

- Xiaoyu Miao, Qunwei Wang and Xingyu Dai
- Is a deleveraging policy effective? Evidence from China pp. 471-480

- Baoyin Qiu and Bo Cheng
- Risk-return relationship and structural breaks: Evidence from China carbon market pp. 481-492

- Lili Zhao and Fenghua Wen
- The nonlinear effect of shareholder ownership structure on a firm's cash holdings: Type I and Type II agency problem perspectives in China's split-share reform pp. 493-504

- Bingbing Huang, Xuehui Zhang and Qian Bi
- Impacts of social trust on corporate leverage: Evidence from China pp. 505-521

- Ming Jin, Jinshan Liu and Zhongfei Chen
- A closer look into the behavior of emerging market sovereign spreads: State-dependent and asymmetric behaviors pp. 522-548

- Omer Cayirli, Huseyin Aktas and Koray Kayalidere
- Logistics service standardization and corporate innovation: Evidence from a natural experiment pp. 549-565

- Jianhua Tan, Xiongyuan Wang and Peng Zhang
Volume 76, issue C, 2021
- Network diffusion of international oil volatility risk in China's stock market: Quantile interconnectedness modelling and shock decomposition analysis pp. 1-39

- Jionghao Huang, Ziruo Li and Xiao-Hua Xia
- Using boosting algorithms to predict bank failure: An untold story pp. 40-54

- Xuan T.T. Pham and Tin H. Ho
- Digital financial capability and entrepreneurial performance pp. 55-74

- Yu Luo, Yuchao Peng and Lianyun Zeng
- Do country or firm-specific factors matter more to R&D spending in firms? pp. 75-95

- Rajabrata Banerjee and Kartick Gupta
- Does volatility connectedness across major cryptocurrencies behave the same at different frequencies? A portfolio risk analysis pp. 96-113

- Walid Mensi, Khamis Hamed Al-Yahyaee, Idries Mohammad Wanas Al-Jarrah, Xuan Vinh Vo and Sang Hoon Kang
- Housing sector and economic policy uncertainty: A GMM panel VAR approach pp. 114-126

- Mehmet Balcilar, David Roubaud, Gizem Uzuner and Mark Wohar
- Does intensified communication of hedge funds with letters affect abnormal returns? pp. 127-142

- Andreas Oehler and Jonas Tobias Schmitz
- Equity ownership and corporate transparency: International evidence pp. 143-165

- Louis T.W. Cheng and Jacqueline Wenjie Wang
- Effect of shadow banking on the relation between capital and liquidity creation pp. 166-184

- Ting-Hsuan Chen, Chung-Hua Shen, Meng-Wen Wu and Kuo-Jui Huang
- Heterogeneity in capital structure adjustment revisited: Default versus non-default firms and short versus long time horizon pp. 185-204

- Jayasuriya Mahapatabendige Ruwani Fernando, Leon Li and Greg Hou
- Does foreign equity matter for pollution? Firm-level evidence from China pp. 205-214

- Jingyi Gao and Caizhen Han
- Scale of cities and social trust: Evidence from China pp. 215-228

- Xin Deng and Mingzhe Yu
- Disentangling the sources of inflation synchronization. Evidence from a large panel dataset pp. 229-245

- Karol Szafranek
- International equity U.S. mutual funds and diversification benefits pp. 246-257

- Jonathan Fletcher
- Export effect and influence mechanism of foreign ownership pp. 258-276

- Zhiqiang Ye, Fangfang Zhang and Shunming Zhang
- Effect of SEC enforcement actions on forced turnover of executives: Evidence associated with SOX provisions pp. 277-287

- Jui-Chin Chang, Huey-Lian Sun and Alex P. Tang
- Why do U.S. uncertainties drive stock market spillovers? International evidence pp. 288-301

- Faruk Balli, Mudassar Hasan, Hatice Balli and Russell Gregory-Allen
- Regret-sensitive equity premium pp. 302-307

- Yoichiro Fujii and Yutaka Nakamura
- Monetary policy rules in practice: The case of Israel pp. 308-320

- Sophia Kazinnik and David Papell
- Risk, ambiguity, and equity premium: International evidence pp. 321-335

- Eung-Bin Kim and Suk-Joon Byun
- Regime-switching energy price volatility: The role of economic policy uncertainty pp. 336-356

- Alexandre R. Scarcioffolo and Xiaoli Etienne
- The impact of export dynamics on trade balance in emerging and developed countries: An evaluation with middle income trap perspective pp. 357-375

- Yusuf Ekrem Akbas and Canan Sancar
- Equity-commodity contagion during four recent crises: Evidence from the USA, Europe and the BRICS pp. 376-423

- Ahmed Ayadi, Marjène Gana, Stéphane Goutte and Khaled Guesmi
- Business cycles in emerging markets: The role of liability dollarization and valuation effects pp. 424-450

- Stefan Notz and Peter Rosenkranz
- Do overnight returns explain firm-specific investor sentiment in China? pp. 451-477

- Xuemei Zhou, Qiang Liu and Shuxin Guo
- Financial literacy and fraud detection——Evidence from China pp. 478-494

- Li Wei, Ming Peng and Weixing Wu
- Revenge consumption, product quality, and welfare pp. 495-501

- Xuan Nguyen and Chi-Chur Chao
- The spillover effect of regulatory penalties on management and analysts’ earnings forecasts: Empirical evidence based on directors networks in China pp. 502-515

- Xin Ding, Wenhao Tan and Yixuan Kang
- Are monetary surprises effective? The view of professional forecasters in Israel pp. 516-530

- Alex Ilek
- Forecasting the stock returns of Chinese oil companies: Can investor attention help? pp. 531-555

- Yue-Jun Zhang and Zhao-Chen Li
- Cryptocurrency price volatility and investor attention pp. 556-570

- Mohamed Al Guindy
- The deterioration in credibility, destabilization of exchange rate and the rise in exchange rate pass-through in Turkey pp. 571-587

- Savas Gayaker, Erkan Ağaslan, Buket Alkan and Serkan Cicek
- Credit risk and equity returns in China pp. 588-613

- Tangrong Li and Hui Lin
- Are mutual fund manager skills transferable to private funds? pp. 614-638

- Ying Sophie Huang, Bing Liang and Kai Wu
- Concentration, competition and financial stability in the South-East Europe banking context pp. 639-670

- Francesco Guidi
- Non-pricing drivers of underwriters’ market shares in corporate bond markets pp. 671-693

- Santiago Carbó-Valverde, Pedro Cuadros-Solas and Francisco Rodríguez-Fernández
- Partners in debt: An endogenous non-linear analysis of the effects of public and private debt on growth pp. 694-711

- Mehmet Caner, Qingliang (Michael) Fan and Thomas Grennes
- Fair-weather Friends? Sector-specific volatility connectedness and transmission pp. 712-736

- Pan Liu, Gabriel Power and Dmitry Vedenov
- International monetary policy spillovers: Linkages between U.S. and South American yield curves pp. 737-754

- Igor Bastos Cavaca and Roberto Meurer
- Does financial structure promote energy conservation and emission reduction? Evidence from China pp. 755-766

- Shiyan Wen, Boqiang Lin and Yicheng Zhou
- Does public money drive out private? Evidence from government regulations of industrial overcapacity governance in urban China pp. 767-780

- Bo Cheng, Tom Christensen, Liang Ma and Junli Yu
- Global liquidity and commodity market interactions: Macroeconomic effects on a commodity exporting emerging market pp. 781-800

- Rodrigo da Silva Souza and Renee Fry-McKibbin
- Political connections and product market competition: Effects and channels pp. 801-816

- Yan Lin, Yijia Liu and Kam C. Chan
- Production sharing and exchange rate pass-through pp. 817-835

- Kyungmin Kim
- Estimating debt limits for emerging countries pp. 836-855

- Eduardo Lima Campos and Rubens Cysne
- Does digital finance promote manufacturing servitization: Micro evidence from China pp. 856-869

- Shengqi Chen and Hong Zhang
- Has the Belt and Road Initiative improved the quality of economic growth in China's cities? pp. 870-883

- Qunxi Kong, Afei Chen, Chenrong Shen and Zoey Wong
- Impacts of coal prices on the performance of Chinese financial institutions: Does electricity consumption matter? pp. 884-896

- Boqiang Lin and Chonghao Wang
- Board network, investment efficiency, and the mediating role of CSR: Evidence from China pp. 897-919

- Tianjiao Zhao
- Feeling the heat: Climate risks and the cost of sovereign borrowing pp. 920-936

- John Beirne, Nuobu Renzhi and Ulrich Volz
- Does air pollution impede corporate innovation? pp. 937-951

- Zhidong Tan and Lina Yan
- Financial crises, bank efficiency and survival: Theory, literature and emerging market evidence pp. 952-987

- İhsan Işık and Ozge Uygur
- Understanding the credit cycle and business cycle dynamics in India pp. 988-1006

- Seema Saini, Wasim Ahmad and Stelios Bekiros
- Lunar eclipses, analyst sentiment, and earnings forecasts: Evidence from China pp. 1007-1024

- Xin Chen
- Are financial holding companies' subsidiaries riskier than bank holding companies’ affiliates? pp. 1025-1033

- Ly Kim Cuong
- International financial positions and macroprudential policy pp. 1034-1062

- María Malmierca
- Chinese Economic Policy Uncertainty and the Cross-Section of U.S. Asset Returns pp. 1063-1077

- Kiryoung Lee, Yoontae Jeon and Eun-Young Nam
- Does social trust restrain excess perk consumption? Evidence from China pp. 1078-1092

- Wang Dong, Yun Ke, Shuo Li, Xiangyu Chen and Peng Wan
- A wavelet analysis of the ripple effect in UK regional housing markets pp. 1093-1105

- Iolanda Lo Cascio
- Twenty-nine years of the Journal of International Review of Economics and Finance: A scientometric overview (1992–2020) pp. 1106-1125

- M. Kabir Hassan, Muneer Alshater and Osama F. Atayah
- Does political turnover stifle or stimulate corporate innovation? pp. 1126-1145

- Yinghui Chen
- The macroeconomic effects of default and debt restructuring: An agent based exploration pp. 1146-1163

- Gabriele Tedeschi, David Vidal-Tomás, Domenico Delli-Gatti and Mauro Gallegati
- Safe haven flows, natural interest rates and secular stagnation—Empirical evidence for Euro area countries pp. 1164-1190

- Ansgar Belke and Jens Klose
- Exchange rate uncertainty and the timing of Chinese Outward Direct Investment pp. 1193-1204

- Jianhong Qi, Hui Liu and Zhaoyong Zhang
- Cultural difference and China’s cross-border M&As: Language matters pp. 1205-1218

- Zeng Lian, Wenli Sun, Dan Xie and Jie Zheng
- Does currency matter for regional trade integration? pp. 1219-1234

- Qing He, Ce Zhang and Wenyu Zhu
- Optimal subsidies in the competition between private and state-owned enterprises pp. 1235-1244

- Mingzhi Li, Jaimie W. Lien and Jie Zheng
- Firm age, ultimate ownership, and R&D investments pp. 1245-1264

- Shuangrui Fan and Cong Wang
- Do employees’ voices matter? Unionization and corporate environmental responsibility pp. 1265-1281

- Xiandeng Jiang, Jin Yang, Wei Yang and Jian Zhang
- High-speed railway, market access and economic growth pp. 1282-1304

- Wei Zou, Liangheng Chen and Junke Xiong
- The cross-border impacts of China’s official rate shocks on stock returns of Chinese concepts shares listed on U.S. market pp. 1305-1322

- Weijia Dong, Donald Lien, Xin Lv and Chaosheng Tan
- Internal control reporting and cost of bond financing: Evidence from China pp. 1323-1346

- Kun Tracy Wang, Yue Wu and Kin-Yip Ho
- Uncertainty, confidence, and monetary policy in China pp. 1347-1358

- Donald Lien, Yuchen Sun and Chengsi Zhang
- Corporate financial asset holdings under economic policy uncertainty: Precautionary saving or speculating? pp. 1359-1378

- Jialin Huang, Yu Luo and Yuchao Peng
- Liquidity, capital requirements, and shadow banking pp. 1379-1388

- Zehao Liu and Chengbo Xie
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