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 36, issue C, 2015
- Do more foreign strategic investors and more directors improve the earnings smoothing? The case of China pp. 3-16

- Meng-Wen Wu, Chung-Hua Shen and Chin-Hwa Lu
- Trade credit and bank loan: Evidence from Chinese firms pp. 17-29

- Tsung-Te Lin and Jian-Hsin Chou
- Bank capital buffer decisions under macroeconomic fluctuations: Evidence for the banking industry of China pp. 30-39

- Xian Huang and Qiyue Xiong
- Shadow banking and firm financing in China pp. 40-53

- Yunlin Lu, Haifeng Guo, Erin H. Kao and Hung-Gay Fung
- The effect of excess lending on bank liquidity: Evidence from China pp. 54-68

- Ting-Hsuan Chen, Hsiu-Hsia Chou, Yuan Chang and Hao Fang
- The effects and applicability of financial media reports on corporate default ratings pp. 69-87

- Yang-Cheng Lu, Yu-Chen Wei and Tsang-Yao Chang
- Family firms and earnings management in Taiwan: Influence of corporate governance pp. 88-98

- Ching Wen Chi, Ken Hung, Hui Wen Cheng and Pang Tien Lieu
- Financing constraints and the cost of equity: Evidence on the moral hazard of the controlling shareholder pp. 99-106

- Qi Luo, Hui Li and Biao Zhang
- Private placements, cash dividends and interests transfer: Empirical evidence from Chinese listed firms pp. 107-118

- Yu Fang Zhao, Xin Ping Xia, Xiang Xi Tang, Wei Cao, Xiao Yuan Liu and Ying Han Fan
- Opinion divergence, unexpected trading volume and stock returns: Evidence from China pp. 119-127

- Lin Chen, Lu Qin and Hongquan Zhu
Volume 35, issue C, 2015
- Managing extreme risk in some major stock markets: An extreme value approach pp. 1-25

- Madhusudan Karmakar and Girja K. Shukla
- Effects of financial developments and income on energy consumption pp. 28-44

- Shu-Chen Chang
- Measuring sovereign risk contagion in the Eurozone pp. 45-65

- Sangwon Suh
- Granger causality between debt and growth: Evidence from OECD countries pp. 66-77

- Miguel Puente-Ajovin and Marcos Sanso-Navarro
- Liquidity, delistings, and credit risk premium pp. 78-89

- Su-Wen Kuo, Chin-Sheng Huang and Guan-Cih Jhang
- A note on market timing: Interim trading and the performance of holdings-based and return-based measures pp. 90-99

- Juan Carlos Matallín-Sáez
- European exchange rate regimes and purchasing power parity: An empirical study on eleven eurozone countries pp. 100-109

- Chao-Hsi Huang and Chih-Yuan Yang
- The role of firm ownership in policy competition for foreign direct investment between asymmetric countries pp. 110-121

- Yasuo Sanjo
- International factor mobility, elasticity of substitution in production and the skilled–unskilled wage gap pp. 122-129

- Jingjing Zhang
- The net foreign asset position and government size pp. 130-148

- Iñaki Erauskin
- Equity funds in emerging Asia: Does size matter? pp. 149-165

- Haoyuan Ding, Huanhuan Zheng and Chenqi Zhu
- Reserve option mechanism as a stabilizing policy tool: Evidence from exchange rate expectations pp. 166-179

- Ahmet Değerli and Salih Fendoglu
- Sentiment-prone investors and volatility dynamics between spot and futures markets pp. 180-196

- Pilar Corredor, Elena Ferrer and Rafael Santamaria
- Cash-futures basis and the impact of market maturity, informed trading, and expiration effects pp. 197-213

- Charles Chang and Emily Lin
- The dynamics of market volatility, market return, and equity fund flow: International evidence pp. 214-227

- Bong Soo Lee, Miyoun Paek, Yeonjeong Ha and Kwangsoo Ko
- Importer-specific elasticities of demand: Evidence from U.S. exports pp. 228-234

- Hakan Yilmazkuday
- Analyst valuation and corporate value discovery pp. 235-248

- Yih-Wenn Laih, Hung-Neng Lai and Chun-An Li
- Money growth and inflation in China: New evidence from a wavelet analysis pp. 249-261

- Chun Jiang, Tsangyao Chang and Xiao-Lin Li
- Endogenous choice of strategic incentives in a mixed duopoly with a new managerial delegation contract for the public firm pp. 262-277

- Yasuhiko Nakamura
- Bank relationships and the likelihood of filing for reorganization pp. 278-291

- Jiang-Chuan Huang, Chin-Sheng Huang and Chun-Fan You
- Examining the exchange rate regime–monetary policy autonomy nexus: Evidence from Malaysia pp. 292-303

- Soo Khoon Goh and Robert McNown
- Financial flows and per capita income in developing countries pp. 304-314

- Sajid Anwar and Arusha Cooray
- Foreign exchange market efficiency and profitability of trading rules: Evidence from a developing country pp. 315-332

- Lorna Katusiime, Abul Shamsuddin and Frank Agbola
Volume 34, issue C, 2014
- Risk sharing in an asymmetric environment pp. 1-8

- Eric Fesselmeyer, Leonard Mirman and Marc Santugini
- Money, credit, risk of loss, and limited participation pp. 9-23

- Hyung Sun Choi
- Trade, capital adjustment and the migration of talent pp. 24-40

- Maroula Khraiche
- A review of the gender effect on pay, corporate performance and entry into top management pp. 41-51

- Nancy Mohan
- Bilateral trade and the environment: A general equilibrium model based on new trade theory pp. 52-71

- Ayse Erdogan
- Bank interlinkages and macroeconomic stability pp. 72-88

- Ruggero Grilli, Gabriele Tedeschi and Mauro Gallegati
- Monetary policy based on nonlinear quantity rule: Evidence from China pp. 89-104

- Yong Ma
- Capacity choice in a duopoly with a consumer-friendly firm and an absolute profit-maximizing firm pp. 105-117

- Yasuhiko Nakamura
- Multi-period sentiment asset pricing model with information pp. 118-130

- Jinfang Li
- The reaction of European credit default swap spreads to the U.S. credit rating downgrade pp. 131-141

- Benjamin Blau and Brian S. Roseman
- Strategic quality competition, mixed oligopoly and privatization pp. 142-150

- Munirul Nabin, Xuan Nguyen, Pasquale M. Sgro and Chi-Chur Chao
- Environmental consciousness, economic growth, and macroeconomic instability pp. 151-160

- Jhy-yuan Shieh, Jhy-hwa Chen, Shu-hua Chang and Ching-chong Lai
- How could the non-sustainable Easter Island have been sustained? pp. 161-174

- C.Y. Cyrus Chu, Ching-chong Lai and Chih-Hsing Liao
- Big vs. small under free trade: Market size and size distribution of firms pp. 175-189

- Yo-Yi Huang and Deng-Shing Huang
- How do openness and exchange-rate regimes affect inflation? pp. 190-202

- Amit Ghosh
- Energy structure, energy policy, and economic sustainable development pp. 203-210

- Chen Li-Ju, Lee-Jung Lu, Meng-Yi Tai, Shih-Wen Hu and Vey Wang
- The performance synergies between science and engineering and business management backgrounds of managers in high-tech mutual funds: Evidence from Taiwan pp. 211-229

- Ming-Chang Wang and Ming-Yuan Cheng
- The growth and inequality nexus: The case of China pp. 230-236

- Kenneth Chan, Xianbo Zhou and Zhewen Pan
- Parallel imports, product innovation and market structures pp. 237-245

- Hong Hwang, Cheng-Hau Peng and Pei-Cyuan Shih
- Firm age, idiosyncratic risk, and long-run SEO underperformance pp. 246-266

- Chia-Wei Huang, Po-Hsin Ho, Chih-Yung Lin and Ju-Fang Yen
- Gold and exchange rates: Downside risk and hedging at different investment horizons pp. 267-279

- Juan Reboredo and Miguel A. Rivera-Castro
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