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.
Is something missing from the series or not right? See the RePEc data check for the archive and series.
Volume 63, issue C, 2019
- Does quasi-mandatory dividend rule restrain overinvestment? pp. 4-23

- Xiaoquan Wei, Chunfei Wang and Yunnan Guo
- Motives for corporate philanthropy propensity: Does short selling matter? pp. 24-36

- Deshuai Hou, Qingbin Meng, Kai Zhang and Kam C. Chan
- The impact of analyst coverage on partial acquisitions: Evidence from M&A premium and firm performance in China pp. 37-60

- Ying Li, Miao Lu and Y. Ling Lo
- CEO media exposure, political connection and Chinese firms' stock price synchronicity pp. 61-75

- Xiaoqing Li, Penghua Qiao and Lin Zhao
- The impact of corporate social responsibility on financial constraints: Does the life cycle stage of a firm matter? pp. 76-93

- Tianjiao Zhao and Xiang Xiao
- Do political connections enhance or impede corporate innovation? pp. 94-110

- Zhong-qin Su, Zuoping Xiao and Lin Yu
- The anchoring effect of underwriters' proposed price ranges on institutional investors' bid prices in IPO auctions: Evidence from China pp. 111-127

- Shenghao Gao, Feng Cao and Fok, Robert (Chi-Wing)
- Political connection and stock returns: Evidence from party alternation in Taiwan pp. 128-137

- Jen-Sin Lee, Pi-Hsia Yen and Liang-Chien Lee
- Risk disclosure in annual reports and corporate investment efficiency pp. 138-151

- Yanqiong Li, Jie He and Min Xiao
- How does customer concentration affect informal financing? pp. 152-162

- Xuan Peng, XiongYuan Wang and Lina Yan
- CEO effects on the IPO market under different policy regimes: Evidence from the Chinese SME board pp. 163-175

- Yuanjing Ge, Haifeng Guo, Hung-Gay Fung and Kuncheng Guang
- Effects of shadow banking on bank risks from the view of capital adequacy pp. 176-197

- Meng-Wen Wu and Chung Hua Shen
- How does analyst forecast dispersion affect SEO discounts in uniform-price auction system? Evidence from investor bids in China pp. 198-208

- Mingjing Yang, Xiaoke Cheng, Qian Sun and Chao Lu
- Independent director connectedness in China: An examination of the trade credit financing hypothesis pp. 209-225

- Changyuan Xia, Xiaowei Zhang, Chunfang Cao and Nan Xu
- Do insiders share pledging affect executive pay-for-performance sensitivity? pp. 226-239

- Caiyue Ouyang, Jiacai Xiong and Lyu Fan
- Local corruption and stock price crash risk: Evidence from China pp. 240-252

- Peng Cao, Lu Qin and Hongquan Zhu
- What role does the investor-paid rating agency play in China? Competitor or information provider pp. 253-272

- Yu-Li Huang and Chung-Hua Shen
- The impact of government property right law on collateral loans: A quasi-natural experiment based on the enactment of Chinese property law pp. 273-283

- Jing Zeng, Xiongyuan Wang and Min Xiao
- The power of sharing: Evidence from institutional investor cross-ownership and corporate innovation pp. 284-296

- Kaijuan Gao, Hanxiao Shen, Xi Gao and Kam C. Chan
- Is the squeaky wheel getting the grease? Earnings management and government subsidies pp. 297-312

- Yujie Zhao, Donghua Zhou, Kangsheng Zhao and Ping Zhou
- Portfolio rebalancing behavior with operating losses and investment regulation pp. 313-328

- M. Martin Boyer, Elicia P. Cowins and Willie D. Reddic
- Determinants of sector of holders international equity holdings pp. 329-338

- Faruk Balli, Hatice Balli, Syed Abul Basher, Amira Karimova and Aihua Wang
- Bandwagon effect: Special dividend payments pp. 339-363

- May Hu, Mataiasi Tuilautala and Yuni Kang
- Trade and financial channels as the transmission mechanism of the financial crisis pp. 364-381

- Masayo Shikimi and Kazuo Yamada
- Import competition and financial flexibility: Evidence from corporate payout policy pp. 382-396

- Laurence Booth, Mengying Wang and Jun Zhou
- The performance of technical trading rules in Socially Responsible Investments pp. 397-411

- Andrew Urquhart and Hanxiong Zhang
- Inflation of home appraisal values and the access to mortgage loans of credit constrained borrowers pp. 412-422

- Luis Diaz-Serrano
- Earnings management and convertible preferred stock calls pp. 423-433

- Ayishat Omar and Alex P. Tang
- Female CFOs and corporate cash holdings: Precautionary motive or agency motive? pp. 434-454

- Xixiong Xu, Wanli Li, Yaoqin Li and Xing Liu
Volume 62, issue C, 2019
- Predicting corporate bankruptcy: What matters? pp. 1-19

- Leon Li and Robert Faff
- Asymmetric jump beta estimation with implications for portfolio risk management pp. 20-40

- Vitali Alexeev, Giovanni Urga and Wenying Yao
- Are Chinese and international oil markets integrated? pp. 41-52

- Bing Zhang
- Asset price effects of peer benchmarking: Evidence from a natural experiment pp. 53-65

- Alvaro Pedraza and Fredy Pulga
- Financial reforms and corruption: Evidence using GMM estimation pp. 66-78

- Chandan Jha
- Assessing the effects of disruptive events on technology firms using non-negative matrix factorization pp. 79-86

- Juan Pineiro-Chousa, Marcos Vizcaíno-González and Belén Ribeiro-Navarrete
- Momentum or contrarian trading strategy: Which one works better in the Chinese stock market pp. 87-105

- Lin Yu, Hung-Gay Fung and Wai Kin Leung
- Nash equilibrium in tax and public investment competition pp. 106-120

- Ajay Sharma and Rupayan Pal
- Mixed oligopoly with state holding corporations and consumer-friendly firm pp. 121-130

- Quan Dong and Leonard F.S. Wang
- Risk shifting consequences depending on manager characteristics pp. 131-152

- Laura Andreu, José Luis Sarto and Miguel Serrano
- Dynamic responses of real output to financial spreads pp. 153-159

- Yu-Fan Huang
- The ‘smart money effect’ among socially responsible mutual fund investors pp. 160-179

- Fernando Muñoz
- Do the intellectual property rights of regional trading arrangements impact foreign direct investment? An empirical examination pp. 180-195

- Sucharita Ghosh and Steven Yamarik
- It's not austerity. Or is it? Assessing the effect of austerity on growth in the European Union, 2010-15 pp. 196-212

- Matteo Fragetta and Roberto Tamborini
- State interventions to rescue banks during the global financial crisis pp. 213-229

- José Filipe Abreu, Marta Guerra Alves and Mohamed Azzim Gulamhussen
- Licensing, entry, and privatization pp. 230-239

- Leonard F.S. Wang and Chenhang Zeng
- Forward-looking information on growth and uncertainty implied by derivative securities: Evidence from an emerging market pp. 240-266

- Yu-Min Yen
- Predictive power of dividend yields and interest rates for stock returns in South Asia: Evidence from a bias-corrected estimator pp. 267-286

- Md Lutfur Rahman, Abul Shamsuddin and Doowon Lee
- External growth opportunities and a firm's financing policy pp. 287-308

- Sigitas Karpavičius and Fan Yu
- Asymmetric relationship between order imbalance and realized volatility: Evidence from the Australian market pp. 309-320

- Emawtee Bissoondoyal-Bheenick, Robert Brooks and Hung Do
- Foreign direct investment and credit market reform in a developing economy: Could these be alternative policies? pp. 321-331

- Sarbajit Chaudhuri and Salonkara Chaudhuri
- Patent protection and R&D subsidy under asymmetric information pp. 332-354

- Haejun Jeon
- Asset correlation and bank capital regulation: A macroprudential perspective pp. 355-378

- Sangwon Suh
| |