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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 ().

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Volume 38, issue C, 2015

Transparent rules for deposing central bankers pp. 1-17 Downloads
Mahmoud Arayssi
Change point detection for subprime crisis in American banking: From the perspective of risk dependence pp. 18-28 Downloads
Xiaoqian Zhu, Yongjia Xie, Jianping Li and Dengsheng Wu
Forecasting sectorial profitability and credit spreads using bond yields pp. 29-43 Downloads
Dan Saar and Yossi Yagil
Corporate governance, product market competition and dynamic capital structure pp. 44-55 Downloads
Ya-Kai Chang, Yu-Lun Chen, Robin K. Chou and Tai-Hsin Huang
Time-varying nature and macroeconomic determinants of exchange rate pass-through pp. 56-66 Downloads
Ibrahim Ozkan and Lutfi Erden
On economic growth and investment income taxation in a creative region pp. 67-72 Downloads
Pierce J. Donovan and Amitrajeet Batabyal
Financial-integration thresholds for consumption risk-sharing pp. 73-93 Downloads
Samreen Malik
Assessing the idiosyncratic risk and stock returns relation in heteroskedasticity corrected predictive models using quantile regression pp. 94-111 Downloads
Harmindar B. Nath and Robert Brooks
The pricing of liquidity risk on the Shanghai stock market pp. 112-130 Downloads
Tsung-wu Ho and Shu-Hwa Chang
Should bank loan portfolio be diversified under government capital injection and deposit insurance fund protection? pp. 131-141 Downloads
Shi Chen and Chuen-Ping Chang
Testing for current account sustainability under assumptions of smooth break and nonlinearity pp. 142-156 Downloads
Shyh-Wei Chen and Zixiong Xie
Strategic capacity expansion under a potential entry threat pp. 157-177 Downloads
Shinsuke Kamoto
The small-cap effect in the predictability of individual stock returns pp. 178-197 Downloads
Andrei Semenov
Granger causality from exchange rates to fundamentals: What does the bootstrap test show us? pp. 198-206 Downloads
Hsiu-Hsin Ko and Masao Ogaki
The impact of leverage on the idiosyncratic risk and return relationship of REITs around the financial crisis pp. 207-219 Downloads
Richard Gerlach, Ivan Obaydin and Ralf Zurbruegg
The co-movement and causality between the U.S. housing and stock markets in the time and frequency domains pp. 220-233 Downloads
Xiao-Lin Li, Tsangyao Chang, Stephen Miller, Mehmet Balcilar and Rangan Gupta
Exchange listing type and firm financial reporting behavior pp. 234-249 Downloads
Wen-Chun Lin and Tsai-Ling Liao
Taxation of labour, product varieties and skilled–unskilled wage inequality: Short run versus long run pp. 250-257 Downloads
Sizhong Sun and Sajid Anwar
Financial policy and insurance development: Do financial reforms matter and how? pp. 258-278 Downloads
Chien-Chiang Lee and Chi-Hung Chang
An analysis of policy harmonization on privatization and trade liberalization pp. 279-290 Downloads
Chia-Chi Wang and Jiunn-Rong Chiou
An alternative view of the US price–dividend ratio dynamics pp. 291-307 Downloads
Juan M. Londono, Marta Regúlez and Jesús Vázquez
Intertemporal risk–return relationships in bull and bear markets pp. 308-325 Downloads
Shue-Jen Wu and Wei-Ming Lee
The effects of business cycle and debt maturity on a firm's investment and default decisions pp. 326-351 Downloads
Haejun Jeon and Michi Nishihara
Determinants of systemic risk and information dissemination pp. 352-368 Downloads
Marcelo Bianconi, Xiaxin Hua and Chih Ming Tan
On the directional accuracy of forecasts of emerging market exchange rates pp. 369-376 Downloads
Christian Pierdzioch and Jan-Christoph Rülke
Common macroeconomic shocks and business cycle fluctuations in Euro area countries pp. 377-392 Downloads
Antonella Cavallo and Antonio Ribba
Equity premia and state-dependent risks pp. 393-409 Downloads
Mohammed Bouaddi, Denis Larocque and Michel Normandin

Volume 37, issue C, 2015

A quasi-bounded target zone model — Theory and application to Hong Kong dollar pp. 1-17 Downloads
C.F. Lo, C.H. Hui, Tom Fong and S.W. Chu
Supervisory board characteristics and accounting information quality: Evidence from China pp. 18-32 Downloads
Guanggui Ran, Qiaoling Fang, Shuai Luo and Kam C. Chan
An analysis of the determinants of financial distress in Italy: A competing risks approach pp. 33-41 Downloads
Alessandra Amendola, Marialuisa Restaino and Luca Sensini
The response of stock market volatility to futures-based measures of monetary policy shocks pp. 42-54 Downloads
Nikolay Gospodinov and Ibrahim Jamali
The impact of the economic crisis on the financial performance of multinational corporations pp. 55-68 Downloads
Xin Zhao, Xianling Jiang and Zhaoyang Li
Purchasing power parity-symmetry and proportionality: Evidence from 116 countries pp. 69-85 Downloads
Augustine C. Arize, John Malindretos and Dilip Ghosh
Do firms manipulate earnings before accelerated share repurchases? pp. 86-95 Downloads
Yung-Chin Chiu and Woan-lih Liang
Corporate governance and risk-taking of Chinese firms: The role of board size pp. 96-113 Downloads
Ying Sophie Huang and Chia-Jane Wang
Harvests' lifespan and North–South market share rivalry pp. 114-124 Downloads
H. Benchekroun and S. Benchekroun
Survey sentiment and interest rate option smile pp. 125-137 Downloads
Cathy Yi-Hsuan Chen and I-Doun Kuo
Out of sight, not out of mind: The evidence from Taiwan mutual funds pp. 138-156 Downloads
Jin-Ying Wang, Fok, Robert (Chi-Wing), Ming Gao and Yu-Jane Liu
Mean reversion in stock prices of seven Asian stock markets: Unit root test and stationary test with Fourier functions pp. 157-164 Downloads
Juan Wang, Dongxiang Zhang and Jian Zhang
Government insurance, information, and asset prices pp. 165-183 Downloads
Danilo Lopomo Beteto Wegner
Does boardroom gender diversity matter? Evidence from a transitional economy pp. 184-202 Downloads
Tuan Nguyen, Stuart Locke and Krishna Reddy
Does intellectual property right promote innovations when pirates are innovators? pp. 203-207 Downloads
Sugata Marjit and Lei Yang
The information content of unexpected stock returns: Evidence from intellectual capital pp. 208-225 Downloads
Yi-Mien Lin, Chih-Chen Lee, Chin-Fang Chao and Chih-Liang Liu
The friction-free weighted price contribution pp. 226-239 Downloads
David Abad and Roberto Pascual
Underinvestment and the design of performance-sensitive debt pp. 240-253 Downloads
Sudipto Sarkar and Chuanqian Zhang
Two new equity default swaps with idiosyncratic risk pp. 254-273 Downloads
Zhaojun Yang and Chunhong Zhang
What determines the technology adoption of firms under optimal tax? pp. 274-289 Downloads
Chih-Min She
Endogenous screening and the formation of loan syndicates pp. 290-307 Downloads
María de las Adamuz and Janko Hernández Cortés
Securitization in Spain and the wealth effect for shareholders pp. 308-323 Downloads
Maria-Celia Penabad, Carmen Lopez-Andion, A Iglesias-Casal and Jose Manuel Maside-Sanfiz
A new method of measuring herding in stock market and its empirical results in Chinese A-share market pp. 324-339 Downloads
Tian Xie, Yi Xu and Xinsheng Zhang
Asymmetry in return and volatility spillover between China's interbank and exchange T-bond markets pp. 340-353 Downloads
Xiaoye Jin
Optimal managerial hedging and contracting with self-esteem concerns pp. 354-367 Downloads
Chongwoo Choe, Donald Lien and Chia-Feng (Jeffrey) Yu
Financial variables and economic activity in the Nordic countries pp. 368-379 Downloads
Petri Kuosmanen, Nasib Nabulsi and Juuso Vataja
The effects of national culture and behavioral pitfalls on investors' decision-making: Herding behavior in international stock markets pp. 380-392 Downloads
Chih-Hsiang Chang and Shih-Jia Lin
Financial development, real sector, and economic growth pp. 393-405 Downloads
Lorenzo Ductor and Daryna Grechyna
A nonparametric study of real exchange rate persistence over a century pp. 406-418 Downloads
Hyeongwoo Kim and Deockhyun Ryu
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