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 58, issue C, 2018
- Environmental policies with excess burden of taxation in free-entry mixed markets pp. 1-13

- Lili Xu and Sang-Ho Lee
- Skewness, basis risk, and optimal futures demand pp. 14-29

- Massimiliano Barbi and Silvia Romagnoli
- Historical ties between nations: How do they matter in cross-border mergers and acquisitions? pp. 30-48

- Reza H. Chowdhury and Min Maung
- How do powerful CEOs view dividends and stock repurchases? Evidence from the CEO pay slice (CPS) pp. 49-64

- Pandej Chintrakarn, Pattanaporn Chatjuthamard, Shenghui Tong and Pornsit Jiraporn
- Do firms have target capital structures? Evidence from institutional monitoring pp. 65-77

- Chune Young Chung, Chang Liu and Kainan Wang
- When multiple objectives meet multiple instruments: Identifying simultaneous monetary shocks pp. 78-101

- Daniel Ordoñez-Callamand, Juan Hernández-Leal and Mauricio Villamizar-Villegas
- Estimating downside risk in stock returns under structural breaks pp. 102-112

- Matthew Hood and Farooq Malik
- Inflation and fertility in a Schumpeterian growth model: Theory and evidence1 pp. 113-126

- Qichun He
- The role of investor sentiment in the long-term correlation between U.S. stock and bond markets pp. 127-139

- Libing Fang, Honghai Yu and Yingbo Huang
- Labor market friction, nominal wage rigidities, and monetary policy in a small open economy pp. 140-158

- Hyuk Jae Rhee and Jeongseok Song
- Exchange rate hysteresis in the UK imports from the South Asian Countries pp. 159-178

- Nusrate Aziz and Ahmad Hassan Ahmad
- Risk contribution of crude oil to industry stock returns pp. 179-199

- Honghai Yu, Donglei Du, Libing Fang and Panpan Yan
- Inflation monitoring in real time: A comparative analysis of the Federal Reserve and the Bank of England pp. 200-209

- Idoia Aguirre and Jesús Vázquez
- Why are nontraded goods cheaper in poor countries? pp. 210-219

- Yoonho Choi, Hailong Jin and E. Kwan Choi
- Financial liberalization and cross-border market integration: Evidence from China's stock market pp. 220-245

- Shujie Yao, Hongbo He, Shou Chen and Jinghua Ou
- The relationship between credit constraints and household entrepreneurship in China pp. 246-258

- Dongliang Cai, Quanyun Song, Shuang Ma, Yang Dong and Qiuhua Xu
- Green competition, hybrid equilibrium, and establishment of a resale market pp. 259-269

- Arthur Caplan and Reza Oladi
- Dynamic hedging performance and downside risk: Evidence from Nikkei index futures pp. 270-281

- Masato Ubukata
- The effect of the rebalancing horizon on the tradeoff between hedging effectiveness and transaction costs pp. 282-298

- Boonlert Jitmaneeroj
- Exchange rate volatility and the stability of stock prices pp. 299-311

- Benjamin Blau
- The relationship between external financing activities and earnings management: Evidence from enterprise risk management pp. 312-329

- Teng-Shih Wang, Yi-Mien Lin, Edward M. Werner and Hsihui Chang
- Foreign direct investment, unionised labour markets and welfare pp. 330-339

- Jiyun Cao and Arijit Mukherjee
- Sovereign bond spreads and extra-financial performance: An empirical analysis of emerging markets pp. 340-355

- Paula Margaretic and Sébastien Pouget
- Who gets the wage premium from export: Top managers or employees? pp. 356-370

- Dongmin Kong, Gaowen Kong, Lirang Pang and Jian Zhang
- A horserace or boost in market power? Banking sector competition after foreign bank exits pp. 371-389

- Aneta Hryckiewicz and Lukasz Kozlowski
- Codetermination and product differentiation pp. 390-403

- Luciano Fanti, Luca Gori and Mauro Sodini
- Macroeconomic policies and housing market in Taiwan pp. 404-421

- Shiou-Yen Chu
- Does corporate governance quality affect default risk? The role of growth opportunities and stock liquidity pp. 422-448

- Searat Ali, Benjamin Liu and Jen Je Su
- The exporting and subcontracting decisions of Viet Nam's small- and medium-sized enterprises pp. 449-466

- Catherine Co, Thu Kim Nguyen, Tung Nhu Nguyen and Que Nguyet Tran
- Is there a bubble component in government debt? New international evidence pp. 467-486

- Shyh-Wei Chen and An-Chi Wu
- Information leakage, site visits, and crash risk: Evidence from China pp. 487-507

- Xian-wei Lu, Hung-Gay Fung and Zhong-qin Su
- Cultural diversity and export sophistication pp. 508-522

- Zhaobin Fan, Sajid Anwar and Shujuan Huang
- Time-inconsistent environmental policies with a consumer-friendly firm: Tradable permits versus emission tax pp. 523-537

- Arturo Garcia, Mariel Leal and Sang-Ho Lee
- The exposure of U.S. manufacturing industries to exchange rates pp. 538-549

- Willem Thorbecke
- Optimal licensing schemes for a mixed ownership firm when facing uncertain R&D outcomes and technology spillover pp. 550-572

- Qingyou Yan and Le Yang
- Credit contractions and unemployment pp. 573-593

- Mihály Borsi
- Privatization and wage inequality in developing countries pp. 594-603

- Jiancai Pi and Pengqing Zhang
- Medical decision-making by patients and providers under uncertainty and in the presence of antibiotic resistance pp. 604-613

- Sanjana S. Batabyal and Amitrajeet Batabyal
- Were Reinhart and Rogoff right? pp. 614-620

- Nicholas Bitar, Avik Chakrabarti and Hussein Zeaiter
- Analysis of risk premium in UK natural gas futures pp. 621-636

- Beatriz Martínez and Hipolit Torro
- Multi-moment risk, hedging strategies, & the business cycle pp. 637-675

- François-Éric Racicot and Raymond Théoret
- Endogenous strategic trade policy: The case of the third market model pp. 676-682

- Shoou-Rong Tsai, Pan-Long Tsai and Yungho Weng
- Macroprudential policy and foreign interest rate shocks: A comparison of loan-to-value and capital requirements pp. 683-698

- Chris Garbers and Guangling Liu
- Structural change and wage inequality pp. 699-707

- Jiancai Pi and Pengqing Zhang
Volume 57, issue C, 2018
- Is monetary policy forward-looking in China? pp. 4-14

- Chengsi Zhang and Chao Dang
- Do short-term international capital movements play a role in exchange rate and stock price transmission mechanism in China? pp. 15-25

- Xin Li, Chi-Wei Su, Hsu-Ling Chang and Ji Ma
- Non-performing loans and housing prices in China pp. 26-42

- Junmin Wan
- Lending technology and credit risk under different types of loans to SMEs: Evidence from China pp. 43-69

- Zhuo-lin Song and Xiao-mei Zhang
- Environmental policy, firm dynamics and wage inequality in developing countries pp. 70-85

- Mong Shan Ee, Chi-Chur Chao, Xiangbo Liu and Eden Yu
- China's SO2 shadow prices and environmental technical efficiency at the province level pp. 86-102

- Shihong Zeng, Xue Jiang, Bin Su and Xin Nan
- Resource allocation and productivity across provinces in China pp. 103-113

- Peng Bin, Xiaolan Chen, Andrea Fracasso and Chiara Tomasi
- The effect of family property income on labor supply: Evidence from China pp. 114-121

- Yong Wang and Yanxia Ge
- Regional distribution of college enrollment in China under a multiple-principal framework pp. 122-133

- Zhou Bihua
- Effects of Confucius Institutes on China's higher education exports: Evidence from Chinese Partner Universities pp. 134-143

- Donald Lien and Liqing Miao
- How admitting migrants with any skills can help overcome a shortage of workers with particular skills pp. 144-150

- Oded Stark and Łukasz Byra
- On the taxing of migrants' earnings while retaining a migrant workforce pp. 151-155

- Oded Stark and Wiktor Budzinski
- Quantifying the impact of the November 2014 Shanghai-Hong Kong Stock Connect pp. 156-163

- Richard Burdekin and Pierre Siklos
- The term structure of liquidity premia and the macroeconomy in Canada: A dynamic latent-factor approach pp. 164-182

- Ronald Henry Lange
- Does the introduction of index futures stabilize stock markets? Further evidence from emerging markets pp. 183-197

- Ali Kutan, Yukun Shi, Mingzhe Wei and Yang Zhao
- Labour reallocation, productivity growth and dualism: The case of China pp. 198-210

- Fung Kwan, Yang Zhang and Shuaihe Zhuo
- Neglected part of shadow banking in China pp. 211-236

- Ping An and Mengxuan Yu
- The interconnections between U.S. financial CDS spreads and control variables: New evidence using partial and multivariate wavelet coherences pp. 237-257

- Besma Hkiri, Shawkat Hammoudeh, Chaker Aloui and Muhammad Shahbaz
- Hedge fund leverage with stochastic market conditions pp. 258-273

- Li Zhao, Wenli Huang, Chen Yang and Shenghong Li
- Are per capita international tourist arrivals converging? pp. 274-290

- Yi-Chen Lin and Wen-Shuenn Deng
- The influence of risk culture on firm returns in times of crisis pp. 291-306

- Dien Giau Bui, Yiwei Fang and Chih-Yung Lin
- The cost effects of shadow banking activities and political intervention: Evidence from the banking sector in China pp. 307-318

- Xiaohui Hou, Shuo Li, Pin Guo and Qing Wang
- Entrepreneurship and human capital: The role of financial development pp. 319-332

- Nabamita Dutta and Russell Sobel
- The term premium in a small open economy: A micro-founded approach pp. 333-352

- Alex Ilek and Irit Rozenshtrom
- Mutual fund performance attribution and market timing using portfolio holdings pp. 353-370

- Laura Andreu, Juan Carlos Matallín-Sáez and José Luis Sarto
- Emerging market local currency sovereign bond yields: The role of exchange rate risk pp. 371-401

- Blaise Gadanecz, Ken Miyajima and Chang Shu
- Money's causal role in exchange rate: Do divisia monetary aggregates explain more? pp. 402-417

- Taniya Ghosh and Soumya Bhadury
- Financing innovation through minority acquisitions pp. 418-432

- Ibrahim Bostan and Mariana Spatareanu
| |