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 33, issue C, 2014
- Re-examining the Feldstein–Horioka and Sachs' views of capital mobility: A heterogeneous panel setup pp. 1-11

- Mark Holmes and Jesus Otero
- Causality and contagion in EMU sovereign debt markets pp. 12-27

- Marta Gómez-Puig and Simon Sosvilla-Rivero
- Are global systematic risk and country-specific idiosyncratic risk priced in the integrated world markets? pp. 28-38

- C. Hueng
- Dissecting the cycles: An intermarket investigation and its implications to portfolio reallocation pp. 39-51

- Kuo-Yuan Liang and Chen-Hui Yen
- Optimal currency carry trade strategies pp. 52-66

- Juan Laborda, Ricardo Laborda and Jose Olmo
- Information arrival, changes in R-square and pricing asymmetry of corporate news pp. 67-81

- Louis T.W. Cheng, T.Y. Leung and Wayne Yu
- Internet, noise trading and commodity futures prices pp. 82-89

- Massimo Peri, Daniela Vandone and Lucia Baldi
- Goods production, learning by doing, and growth in a region with creative and physical capital pp. 92-99

- Umer Usman and Amitrajeet Batabyal
- The wage premium puzzle and the quality of human capital pp. 100-110

- Milton Marquis, Bharat Trehan and Wuttipan Tantivong
- Creditor rights and corporate cash holdings: International evidence pp. 111-127

- Kenneth Yung and Nadia A. Nafar
- A new approach to model and forecast volatility based on extreme value of asset prices pp. 128-140

- Dilip Kumar and S. Maheswaran
- Fiscal reform and fiscal sustainability: Evidence from Australia and Sweden pp. 141-151

- Tomomi Miyazaki
- Credit rating agencies and idiosyncratic risk: Is there a linkage? Evidence from the Spanish Market pp. 152-171

- Pilar Abad and M. Dolores Robles Fernandez
- Trade and wage inequality: A specific factor model with intermediate goods pp. 172-185

- Alokesh Barua and Manoj Pant
- Herding of institutional investors and margin traders on extreme market movements pp. 186-198

- Anchor Y. Lin and Yueh-Neng Lin
- Non-parametric analysis of equity arbitrage pp. 199-216

- Dimitrios Vortelinos
- The credibility of monetary policy announcements: Empirical evidence for OECD countries since the 1960s pp. 217-227

- Ansgar Belke, Andreas Freytag, Jonas Keil and Friedrich Schneider
- Monetary convergence in East Asian countries relative to China pp. 228-237

- Chi-Wei Su, Hsu-Ling Chang, Tsangyao Chang and Kedong Yin
- A dark side of international capital market integration: Domestic investors' view pp. 238-256

- In Joon Kim, So Jung Kim and Sun-Joong Yoon
- Fund flow bias in market timing skill. Evidence of the clientele effect pp. 257-269

- Fernando Muñoz, Maria Vargas and Ruth Vicente
- Switching impacts of the output gap on inflation: Evidence from Canada, the UK and the US pp. 270-285

- Abbas Valadkhani
- A view to the long-run dynamic relationship between crude oil and the major asset classes pp. 286-299

- Ibrahim Turhan, Ahmet Sensoy, Kevser Ozturk and Erk Hacihasanoglu
- The determinants of sovereign default: A sensitivity analysis pp. 300-318

- Avik Chakrabarti and Hussein Zeaiter
- The impact of the CSI 300 stock index futures: Positive feedback trading and autocorrelation of stock returns pp. 319-337

- Yang Hou and Steven Li
- Information content of unsolicited credit ratings and incentives of rating agencies: A theory pp. 338-349

- Soku Byoun
- The importance of using a test of weak-form market efficiency that does not require investigating the data first pp. 350-357

- Vesarach Aumeboonsuke and Arthur L. Dryver
- A comparison of exchange rate regime choice in emerging markets with advanced and low income nations for 1999–2011 pp. 358-370

- Amit Ghosh
- Determining what drives stock returns: Proper inference is crucial: Evidence from the UK pp. 371-390

- Jun Ma and Mark Wohar
Volume 32, issue C, 2014
- Financial crisis and the dynamics of corporate governance: Evidence from Taiwan's listed firms pp. 3-28

- I-Ju Chen
- The impact of family control on the top management compensation mix and incentive orientation pp. 29-46

- Chao-Jung Chen, Chung-Yuan Hsu and Yu-Lin Chen
- Why do firms allow their CEOs to join trade associations? An embeddedness view pp. 47-61

- Ju-Fang Yen, Yan-Shing Chen, Chung-Hua Shen and Chih-Yung Lin
- Determinants of corporate board structure in Taiwan pp. 62-78

- Ming-Yuan Chen
- Going private transactions by U.S.-Listed Chinese companies: What drives the premiums paid? pp. 79-91

- Yea-Mow Chen, Ying Sophie Huang, David K. Wang and Chun-Chou Wu
- State ownership, bank loans, and corporate investment pp. 92-116

- Wei Jiang and Yeqin Zeng
- The valuation effect of corporate governance on stakeholder wealth: Evidence from strategic alliances pp. 117-131

- Jung-Ho Lai and Li-Yu Chen
- The effect of corporate governance on stock liquidity: The case of Thailand pp. 132-142

- Panu Prommin, Seksak Jumreornvong and Pornsit Jiraporn
- Controlling shareholder entrenchment: Bonuses versus dividends pp. 143-158

- Jin-Ying Wang
- Affiliation and professionalism: Alternative perspectives on decomposing the board structures of financial institutions pp. 159-174

- Yin-Hua Yeh, Pei-Gi Shu and Tsui-Lin Chiang
Volume 31, issue C, 2014
- Market liquidity and bank-dominated corporate governance: Evidence from Japan pp. 1-11

- Hideaki Sakawa, Masato Ubukata and Naoki Watanabel
- Pareto-improving tariff-tax reforms under imperfect competition pp. 12-20

- Kenji Fujiwara
- The term structure of interest rates as predictor of stock returns: Evidence for the IBEX 35 during a bear market pp. 21-33

- Adrian Fernandez-Perez, Fernando Fernández-Rodríguez and Simon Sosvilla-Rivero
- The informational efficiency of bonds and stocks: The role of institutional sized bond trades pp. 34-45

- Hui-Ju Tsai
- Evaluating multi-criteria ratings of financial investment options pp. 46-58

- Andrew N.K. Chen, Shin-Yun Wang and Po-Lung Yu
- Why does skewness and the fat-tail effect influence value-at-risk estimates? Evidence from alternative capital markets pp. 59-85

- Jung-Bin Su, Ming-Chih Lee and Chien-Liang Chiu
- The South Korean auto industry's path to maturity pp. 86-94

- Lila J. Truett and Dale B. Truett
- Untangling the causal relationship between government budget and current account deficits in OECD countries: Evidence from bootstrap panel Granger causality pp. 95-104

- Zixiong Xie and Shyh-Wei Chen
- Co-movements among major European exchange rates: A multivariate time-varying asymmetric approach pp. 105-113

- Go Tamakoshi and Shigeyuki Hamori
- Asian fragmentation in the Global Financial Crisis pp. 114-127

- Toshihiro Okubo, Fukunari Kimura and Nozomu Teshima
- Intellectual property rights, southern innovation and foreign direct investment pp. 128-137

- Anuj Mathew and Arijit Mukherjee
- Privatization, foreign competition, and social efficiency of free entry pp. 138-147

- Leonard F.S. Wang, Jen-yao Lee and Chu-chuan Hsu
- Evidence of contagion in global REITs investment pp. 148-158

- Guang-Di Chang and Chia-Shih Chen
- If the United States sneezes, does the world need “pain-killers”? pp. 159-170

- M.J. Herrerias and Javier Ordóñez
- Liquidity commonalities in the corporate CDS market around the 2007–2012 financial crisis pp. 171-192

- Sergio Mayordomo, Maria Rodriguez-Moreno and Juan Ignacio Peña
- Technology licensing in mixed oligopoly pp. 193-204

- Yi-Wen Chen, Ya-Po Yang, Leonard F.S. Wang and Shih-Jye Wu
- Causes and consequences of corporate asset exchanges by listed companies in China pp. 205-217

- Fang Lou, Jiwei Wang and Hongqi Yuan
- Taxation of domestic dividend income and foreign investment holdings pp. 218-231

- Anil Mishra and Ronald Ratti
- Pairwise tests of convergence of Japanese local price levels pp. 232-248

- Hidehiro Ikeno
- Foreign capital, non-traded goods and welfare in a developing economy in the presence of externalities pp. 249-262

- Sarbajit Chaudhuri
- Bank equity risk under bailout programs of loan guarantee and/or equity capital injection pp. 263-274

- Jyh-Horng Lin, Jeng-Yan Tsai and Wei-Ming Hung
- Heterogeneity in the growth and finance relationship: How does the impact of bank finance vary by country and type of lending? pp. 275-288

- Ann Owen and Judit Temesvary
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