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 75, issue C, 2021
- Time-varying comovement of stock and treasury bond markets in Europe: A quantile regression approach pp. 1-20

- Hyunchul Lee
- Does US partisan conflict affect China’s foreign exchange reserves? pp. 21-33

- Xiandeng Jiang, Yanlin Shi and Zhaoyong Zhang
- Financial inclusion and economic growth: The role of governance in selected MENA countries pp. 34-54

- Noha Emara and Ayah El Said
- Relationship between the financial and the real economy: A bibliometric analysis pp. 55-75

- Darja Zabavnik and Miroslav Verbič
- The determinants of R&D smoothing with asset sales: Evidence from R&D-intensive firms in China pp. 76-93

- Duan Liu, Zhiyuan Li, Hongbo He and Wenxuan Hou
- Corporate tax aggressiveness and capital structure decisions: Evidence from China pp. 94-111

- Xiaoye Jin
- Investor sentiment and predictability for volatility on energy futures Markets: Evidence from China pp. 112-129

- Rongda Chen, Weiwei Bao and Chenglu Jin
- SEOs: Friendly or threatening game for rivals? pp. 130-144

- Carène Boucher and Maher Kooli
- The topics of Islamic economics and finance research pp. 145-160

- Ezzedine Ghlamallah, Christos Alexakis, Michael Dowling and Anke Piepenbrink
- The impact of sentiment on emerging stock markets pp. 161-177

- Abhinav Anand, Sankarshan Basu, Jalaj Pathak and Ashok Thampy
- Systemic risk measures and distribution forecasting of macroeconomic shocks pp. 178-196

- Guojin Chen, Yanzhen Liu and Yu Zhang
- Trade facilitation and firms exports: Evidence from customs data pp. 197-209

- Rana Hendy and Chahir Zaki
- Analysis of stock market volatility: Adjusted VPIN with high-frequency data pp. 210-222

- Haijun Yang and Feng Xue
- Language barriers in analyst reports pp. 223-236

- Kotaro Miwa
- CEO ability, career concerns, firms’ lifecycle and investments in intellectual capital pp. 237-251

- Muhammad Nadeem, Rashid Zaman, Tahir Suleman and Nader Atawnah
- Gold, platinum, and industry stock returns pp. 252-266

- Quynh Thi Thuy Pham and Markus Rudolf
- Comments on: Li et al. (2020) ‘Knowledge structure of technology licensing based on co-keywords network: A review and future directions’ International Review of Economics & Finance, 66: 154-165 pp. 267-268

- Yuh-Shan Ho
- Court fairness and firm level export decisions pp. 269-277

- Kul Kapri
- Creditor rights and entrepreneurship: Evidence from legal changes pp. 278-299

- Francisco González
- Let’s take a smooth break: Stock return predictability revisited pp. 300-314

- Shikong Luo, Xinyan Yan and Haoyi Yang
- Does informal economy undermine the effects of China’s aid on its outward foreign direct investment? pp. 315-329

- Ailan Liu, Zhixuan Wang and Pengcheng Zhu
- Systemic-systematic risk in financial system: A dynamic ranking based on expectiles pp. 330-365

- Laura Garcia-Jorcano and Lidia Sanchis-Marco
- The short- and long-run effects of foreign investments on firm performance: Evidence from Asia Pacific pp. 366-385

- Napaporn Likitwongkajon and Chaiporn Vithessonthi
- Measuring risk spillovers from multiple developed stock markets to China: A vine-copula-GARCH-MIDAS model pp. 386-398

- Cuixia Jiang, Yuqian Li, Qifa Xu and Yezheng Liu
- Flight to quality and implicit guarantee: Evidence from Chinese trust products pp. 399-419

- Heungju Park and Sungbin Sohn
- Numbers of bricks and clicks: Price competition between online and offline stores pp. 420-440

- Weixing Ford, Yixiu Li and Jie Zheng
- An investigation of semantic similarity in PBOC’s communication on RMB volatility pp. 441-455

- Junjie Guo, Yumei Guo, Shan Miao and Xin Pang
- Peer effects and social learning in banks’ investments in information technology pp. 456-463

- Partha Gangopadhyay and Rahul Nilakantan
- Entropy trading strategies reveal inefficiencies in Japanese stock market pp. 464-477

- Levan Efremidze, Darrol J. Stanley and Clemens Kownatzki
- Board independence and PIPE offerings pp. 478-500

- Ching-Yu Hsu, Sheng-Syan Chen and Chia-Wei Huang
- The market structures in trade intermediation with heterogeneous manufacturing firms pp. 501-523

- Yi-Fan Chen, Shin-Kun Peng and Tsung-Sheng Tsai
- Does passive investment have a positive governance effect? Evidence from index funds ownership and corporate innovation pp. 524-545

- Lili Fu, Liyuan Pan and Fengyun Wu
- Black swan events and COVID-19 outbreak: Sector level evidence from the US, UK, and European stock markets pp. 546-557

- Wasim Ahmad, Ali Kutan and Smarth Gupta
- Monetary policy transmission with two exchange rates of a single currency: The Chinese experience pp. 558-576

- Qing He, Iikka Korhonen and Zongxin Qian
- Investor sentiment and limits of arbitrage: Evidence from Chinese stock market pp. 577-595

- Xiaoyu Tan, Zili Zhang, Xuejun Zhao and Chengxiang Wang
- The more myopic, the more chaos? How the degree of traders’ short-termism affects the financial market equilibrium pp. 596-608

- Binbin Chen, Shancun Liu and (John) Liu, Zhiyong
- Monetary policy and corporate investment: A panel-data analysis of transmission mechanisms in contexts of high uncertainty pp. 609-624

- Luis P. de la Horra, Javier Perote and Gabriel de la Fuente
- Investor protection and resource allocation: International evidence pp. 625-645

- Yuan Huang, Xiao Li and K.C. John Wei
- Dynamic connectedness of major financial markets in China and America pp. 646-656

- Sihan Lin and Shoudong Chen
- A revisit of capital structure puzzle: Global evidence and analysis pp. 657-678

- Mohammed Sawkat Hossain
- Do mutual funds lose talent to hedge funds? Evidence from China pp. 679-689

- Xin Hong, Di Kang and Zhibin Wang
- How does South-South FDI affect host economies? Evidence from China-Africa in 2003–2018 pp. 690-703

- Kevin H. Zhang
- Uncertainty and exchange rate volatility: Evidence from Mexico pp. 704-722

- Georgia Bush and Gabriela López Noria
- Comparing search-engine and social-media attentions in finance research: Evidence from cryptocurrencies pp. 723-746

- Yue Li, John W. Goodell and Dehua Shen
- Too big to fail and optimal regulation pp. 747-758

- Chang Ma and Xuan-Hai Nguyen
Volume 74, issue C, 2021
- Analyzing the factors influencing the demand and supply of solar modules in Japan – Does financing matter pp. 1-12

- Farhad Taghizadeh-Hesary, Naoyuki Yoshino, Yugo Inagaki and Peter Morgan
- Does government education expenditure boost intergenerational mobility? Evidence from China pp. 13-22

- Le Tang, Shiyu Sun and Weiguo Yang
- The impact of soft information and institutional quality on foreign bank efficiency – Evidence from ASEAN-5 countries pp. 23-32

- Sok-Gee Chan, Bora Aktan, Bruce Burton and Eric H.Y. Koh
- International portfolio allocation: The role of conditional higher moments pp. 33-57

- Trung H. Le
- Political connections and media slant pp. 58-80

- Shijun Guo, Xin Yu and Robert Faff
- CEO financial career and corporate innovation: Evidence from China pp. 81-102

- Chenlin Yang, Xinping Xia, Yuguo Li, Yufang Zhao and Shuang Liu
- Information dissemination across global markets during the spread of COVID-19 pandemic pp. 103-115

- Abhinava Tripathi and Ashish Pandey
- Time-varying interactions between geopolitical risks and renewable energy consumption pp. 116-137

- Yifei Cai and Yanrui Wu
- The behavior of exchange rate and stock returns in high and low interest rate environments pp. 138-149

- Afees Salisu and Xuan Vinh Vo
- Volatility spillovers and hedging effectiveness between health and tourism stocks: Empirical evidence from the US pp. 150-159

- Afees Salisu, Lateef Akanni and Xuan Vinh Vo
- Using stock split to secure pledged shares: Evidence from Chinese listed firms pp. 160-175

- Qizhi Tao, Xueman Xiang and Biao Yi
- Refining vertical productivity spillovers from FDI: Evidence from 32 economies pp. 176-191

- Jen-Chung Mei
- Product market competition and real activities manipulation: Theory and implications pp. 192-205

- Cheng Few Lee and Hao-Chang Sung
- Sovereign external borrowing and multilateral lending in crises pp. 206-238

- Leopoldo Avellan, Arturo Galindo and Giulia Lotti
- Estimating regulatory capital requirements for reverse mortgages. An international comparison pp. 239-252

- Iván de la Fuente, Eliseo Navarro and Gregorio Serna
- Do female directors enhance R&D performance? pp. 253-275

- Ru Chen, Jamie Yixing Tong, Zhang, Feida (Frank) and Zhou, Gaoguang (Stephen)
- Internal risk governance and external capital regulation affecting bank risk-taking and performance: Evidence from P.R. China pp. 276-292

- Xing Zhang, Fengchao Li and Jaime Ortiz
- Does financial literacy alleviate risk attitude and risk behavior inconsistency? pp. 293-310

- Aslihan Gizem Korkmaz, Zhichao Yin, Pengpeng Yue and Haigang Zhou
- The role of US implied volatility index in forecasting Chinese stock market volatility: Evidence from HAR models pp. 311-333

- Jihong Xiao, Fenghua Wen, Yupei Zhao and Xiong Wang
- Banking reforms and bank efficiency: Evidence for the collapse of Spanish savings banks pp. 334-347

- Antonio Blanco-Oliver
- Stock price informativeness and managerial inefficiency pp. 348-364

- Liang Xu
- COVID-19 pandemic and firm performance: Cross-country evidence pp. 365-372

- Shiwei Hu and Yuyao Zhang
- Leverage dynamics over the business cycle: Evidence from Taiwan listed and unlisted firms pp. 373-391

- Chao-Hsi Huang and Yi-Shan Hsieh
- Vertical fiscal imbalance, transfer payments, and fiscal sustainability of local governments in China pp. 392-404

- Tianyu Li and Tongwei Du
- Stock price bubbles, leverage and systemic risk pp. 405-417

- Guojin Chen, Lingling Chen, Yanzhen Liu and Yuxuan Qu
- Tournament incentives and institutional ownership pp. 418-433

- Chee Seng Cheong, Chia-Feng (Jeffrey) Yu, Ralf Zurbruegg and Paul Brockman
- Dynamic interactions between financial cycles, business cycles and macroeconomic imbalances: A panel VAR analysis pp. 434-451

- Amat Adarov
- Temporal effects of financial globalization on income inequality pp. 452-467

- Haris Khan, Choudhry Tanveer Shehzad and Ferhana Ahmad
- Does fintech innovation improve bank efficiency? Evidence from China’s banking industry pp. 468-483

- Chi-Chuan Lee, Xinrui Li, Chin-Hsien Yu and Jinsong Zhao
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