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 42, issue C, 2016
- The effects of global liquidity on global imbalances pp. 1-12

- Marie-Louise Djigbenou-Kre and Hail Park
- Host market competition, foreign FDI and domestic welfare pp. 13-22

- Yingyi Tsai, Arijit Mukherjee and Jong-Rong Chen
- Floating exchange rates and macroeconomic independence pp. 23-35

- Lian An, Yoonbai Kim and Yu You
- New Zealand's trade with Asia and the role of good governance pp. 36-53

- Azmat Gani and Frank Scrimgeour
- Facts or fates of investors' losses during crises? Evidence from REIT-stock volatility and tail dependence structures pp. 54-71

- MeiChi Huang, Chih-Chiang Wu, Shih-Min Liu and Chang-Che Wu
- Does the return-state-varying relationship between risk and return matter in modeling the time series process of stock return? pp. 72-87

- Kuang-Liang Chang
- Derivative markets in emerging economies: A survey pp. 88-102

- Yigit Atilgan, K. Ozgur Demirtas and Koray D. Simsek
- The impacts of capital market distortion on wage inequality, urban unemployment, and welfare in developing countries pp. 103-115

- Jiancai Pi and Xuyang Chen
- The foreign direct investment–economic growth nexus pp. 116-133

- Sasi Iamsiraroj
- Another explanation of the mutual fund fee puzzle pp. 134-152

- May Hu, Chi-Chur Chao and Jin Hao Lim
- Political connection, government policy, and investor trading: Evidence from an emerging market pp. 153-166

- Chih-Yung Lin, Po-Hsin Ho, Chung-Hua Shen and Yu-Chun Wang
- Stock and currency market linkages: New evidence from realized spillovers in higher moments pp. 167-185

- Hung Do, Robert Brooks, Sirimon Treepongkaruna and Eliza Wu
- Gold, oil, and stocks: Dynamic correlations pp. 186-201

- Jozef Baruník, Evžen Kočenda and Lukas Vacha
- Analyzing an elder’s desire for a reverse mortgage using an economic model that considers house bequest motivation, random death time and stochastic house price pp. 202-219

- Shu Ling Chiang and Ming Shann Tsai
- Money and output causality: A structural approach pp. 220-236

- Petre Caraiani
- Continuous wavelet transform and rolling correlation of European stock markets pp. 237-256

- Aviral Tiwari, Mihai Mutascu and Claudiu Albulescu
- Global financial crisis and spillover effects among the U.S. and BRICS stock markets pp. 257-276

- Walid Mensi, Shawkat Hammoudeh, Duc Khuong Nguyen and Sang Hoon Kang
- Financial openness, the financial accelerator and sectoral dynamics pp. 277-290

- Joonyoung Hur and Emmanuel Lartey
- Public information arrival and stock return volatility: Evidence from news sentiment and Markov Regime-Switching Approach pp. 291-312

- Yanlin Shi, Kin-Yip Ho and Wai-Man Liu
- Fiscal stabilization rule and overlapping generations pp. 313-324

- Kazuki Hiraga
- Land supply and money growth in China pp. 327-338

- Taoxiong Liu and Mengdan Huang
- The Global Slack Hypothesis: New Evidence from China* pp. 339-348

- Chengsi Zhang and You Zhou
- Does housing boom lead to credit boom or is it the other way around? The case of China pp. 349-367

- Chung-Hua Shen, Yen Hsien Lee, Meng-Wen Wu and Na Guo
- Does “small bank advantage” really exist? Evidence from China pp. 368-384

- Xiao-mei Zhang, Zhuo-lin Song and Zhen Zhong
- The bank–firm relationship: Helping or grabbing? pp. 385-403

- Zhiyuan Chen, Yong Li and Jie Zhang
- Relations between the professional backgrounds of independent directors in state-owned enterprises and corporate performance pp. 404-411

- Yong Wang, Pengjian Jin and Chongsheng Yang
- Human capital, political capital, and off-farm occupational choices in rural China pp. 412-422

- Wen Wang, Qiang Li and Donald Lien
- Absorptive capacity and benefits from FDI: Evidence from Chinese manufactured exports pp. 423-429

- Yingkai Tang and Kevin H. Zhang
- Environmental migration and capital mobility pp. 430-441

- Chi-Chur Chao, Mong Shan Ee, Jean-Pierre Laffargue and Eden Yu
- The geographic distribution of international currencies and RMB internationalization pp. 442-458

- Qing He, Iikka Korhonen, Junjie Guo and Fangge Liu
- The political economy of development in a globalizing world pp. 459-461

- Devashish Mitra and Mehmet Ulubasoglu
- State capacity, redistributive compensation and the political economy of economic policy reform pp. 462-473

- Sanjay Jain and Sumon Majumdar
- Wage inequality and welfare in developing countries: Privatization and reforms in the short and long run pp. 474-483

- Chi-Chur Chao, Munirul Nabin, Xuan Nguyen and Pasquale M. Sgro
- Property rights and the first great divergence: Europe 1500–1800 pp. 484-498

- Cem Karayalcin
- Democracy and policy stability pp. 499-517

- Pushan Dutt and Ahmed Mobarak
- Tax evasion through trade intermediation: Evidence from Chinese exporters pp. 518-535

- Xuepeng Liu, Huimin Shi and Michael Ferrantino
- The role of middle class in democratic diffusion pp. 536-548

- Natalie Chun, Rana Hasan, Muhammad Rahman and Mehmet Ulubasoglu
Volume 41, issue C, 2016
- Asymmetric tax competition and fiscal equalization in a repeated game setting pp. 1-10

- Hikaru Ogawa and Wenming Wang
- Ex day effects of the 2003 dividend tax cut pp. 11-22

- Rakesh Bali and Jack Clark Francis
- Financial structure, firm size and industry growth pp. 23-39

- Dong-Hyeon Kim, Shu-Chin Lin and Ting-Cih Chen
- Dynamic Laffer curves, population growth and public debt overhangs pp. 40-52

- Yoichi Tsuchiya
- Anti-dumping protection, price undertaking and product innovation pp. 53-64

- Kuo-Feng Kao and Cheng-Hau Peng
- Nontariff protection without an outside good pp. 65-78

- Hajime Takatsuka and Dao-Zhi Zeng
- Incremental information of stock indicators pp. 79-97

- Dimitrios Vortelinos
- Shadow-banking entrusted loan management, deposit insurance premium, and capital regulation pp. 98-109

- Xuelian Li and Jyh-Horng Lin
- Great ratios and international openness pp. 110-121

- Juin-jen Chang, Chang-Ching Lin and Hsieh-Yu Lin
- Predicting asset returns in the BRICS: The role of macroeconomic and fundamental predictors pp. 122-143

- Ricardo Sousa, Andrew Vivian and Mark Wohar
- Inflation, credit, and indexed unit of account pp. 144-154

- Hyung Sun Choi, Ohik Kwon and Manjong Lee
- Explaining asymmetries in bilateral FDI flows pp. 155-171

- Jinzhuo Z. Garrett
- Can commodity returns forecast Canadian sector stock returns? pp. 172-188

- Steven J. Jordan, Andrew Vivian and Mark Wohar
- Directional analysis of fiscal sustainability: Revisiting Domar's debt sustainability condition pp. 189-201

- Yoichi Tsuchiya
- Does the US current account show a symmetric behavior over the business cycle? pp. 202-219

- Roberto Duncan
- Does the trade gravity model depend on trading partners? Some evidence from Vietnam and her 54 trading partners pp. 220-237

- Seema Narayan and Tri Tung Nguyen
- Long-run relationship between inequality and growth in post-reform China: New evidence from dynamic panel model pp. 238-252

- Tingting Li, Jennifer Lai, Yong Wang and Dingtao Zhao
- Unemployment and optimal currency intervention in an open economy pp. 253-261

- Hailong Jin, Yoonho Choi and E. Kwan Choi
- The impact of short sale restrictions on informed trading in the stock and options markets pp. 262-273

- Van Le and Ralf Zurbruegg
- Bank ownership and connected lending pp. 274-286

- Siwapong Dheera-aumpon
- Stock prices and macroeconomic factors: Some European evidence pp. 287-294

- Amado Peiró
- Regime-dependent exchange-rate pass-through to import prices pp. 295-308

- Rehim Kiliç
- Are U.S. investors blindly chasing returns in foreign countries? pp. 309-334

- Liang Guo
- Endogenous product differentiation and international R&D policy pp. 335-346

- Andreas Hoefele
- Portfolio choice with stochastic interest rates and learning about stock return predictability pp. 347-370

- Marcos Escobar Anel, Sebastian Ferrando and Alexey Rubtsov
- Global risk spillover and the predictability of sovereign CDS spread: International evidence pp. 371-390

- Sasha Srivastava, Hai Lin, Inguruwatte M. Premachandra and Helen Roberts
- Extreme bounds of sovereign defaults: Evidence from the MENA region pp. 391-410

- Hussein Zeaiter and Raed El-Khalil
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