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 20, issue 4, 2011
- Commodities and financial variables: Analyzing relationships in a changing regime environment pp. 469-484

- Ramaprasad Bhar and Shawkat Hammoudeh
- Predicting foreign exchange movements using historic deviations from PPP pp. 485-497

- Mei Qiu, John Pinfold and Lawrence Rose
- Eurocurrency interest rate linkages: A frequency domain analysis pp. 498-505

- Cetin Ciner
- The dynamics of market structure and firm-level adjustment to India's pro-market economic liberalizing reforms, 1988-2006: A Time Varying Panel Smooth Transition Regression (TV-PSTR) approach pp. 506-519

- Nan Geng
- Monetary policy announcements and stock price dynamics in a small open economy pp. 520-531

- Chi-Chur Chao, Shih-Wen Hu, Meng-Yi Tai and Vey Wang
- Terrorism and capital markets: The effects of the Madrid and London bomb attacks pp. 532-541

- Christos Kollias, Stephanos Papadamou and Apostolos Stagiannis
- The effects of imperfect auditing on managerial compensation pp. 542-548

- Angelo Baglioni and Luca Colombo
- A welfare analysis of tariffs and equivalent quotas under demand uncertainty: Implications for tariffication pp. 549-561

- Hung-Yi Chen, Yang-Ming Chang and Jiunn-Rong Chiou
- Does corporate board downsizing increase shareholder value? Evidence from Japan pp. 562-573

- Konari Uchida
- Asymmetric output growth effects of government spending: Cross-sectional and panel data evidence pp. 574-590

- Mahmoud Wahab
- Volatility forecasting of exchange rate by quantile regression pp. 591-606

- Alex Huang, Sheng-Pen Peng, Fangjhy Li and Ching-Jie Ke
- Semivariance decomposition of country-level returns pp. 607-623

- Steven Beach
- Herding with costly information and signal extraction pp. 624-632

- Wan-Ru Yang
- Optimal executive compensation: Stock options or restricted stocks pp. 633-644

- Yan Wendy Wu
- Effects of structural changes on the risk characteristics of REIT returns pp. 645-653

- Pei-Shan Wu, Chien-Ming Huang and Chien-Liang Chiu
- The dynamic dependence between the Chinese market and other international stock markets: A time-varying copula approach pp. 654-664

- Kehluh Wang, Yi-Hsuan Chen and Szu-Wei Huang
- Income distribution and exchange in a dynamic search model pp. 665-678

- Ensar Yilmaz and Burak Ünveren
- The term structure of interest rates, the expectations hypothesis and international financial integration: Evidence from Asian economies pp. 679-689

- Mark Holmes, Jesus Otero and Theodore Panagiotidis
- Does market misvaluation drive post-acquisition underperformance in stock deals? pp. 690-706

- Hsuan-Chu Lin, Ting-Kai Chou and Jia-Chi Cheng
- An application of a new seasonal unit root test to inflation pp. 707-716

- Paresh Narayan and Stephan Popp
- Dynamic correlation analysis of financial contagion: Evidence from the Central and Eastern European markets pp. 717-732

- Manolis N. Syllignakis and Georgios Kouretas
- Investment banks' stock ratings, call warrant issuance, and responses from heterogeneous investors: Evidence from Taiwan pp. 733-743

- Chih-Hsiang Chang and Kam C. Chan
- Interest rate rules and macroeconomic stability with transaction costs pp. 744-749

- Wen-ya Chang, Hsueh-fang Tsai and Juin-jen Chang
- On the risk premium in Nordic electricity futures prices pp. 750-763

- Julio J. Lucia and Hipolit Torro
- International diversification and industry-related labor income risk pp. 764-783

- Carolina Fugazza, Maela Giofre' and Giovanna Nicodano
- Banks' risk race: A signaling explanation pp. 784-791

- Damien Besancenot and Radu Vranceanu
- To integrate with a high- or low-wage country: That is the question pp. 792-799

- Eun Choi
- The real exchange rate determination: An empirical investigation pp. 800-811

- Wong Hock Tsen
- Emerging dual channel system and manufacturer's direct retail channel strategy pp. 812-825

- Se-Hak Chun, Byong-Duk Rhee, Seong Y. Park and Jae-Cheol Kim
- The determinants of exchange settlement practices and the implication of volatility smile: Evidence from the Taiwan Futures Exchange pp. 826-838

- Wen-Ming Szu, Ming-Chun Wang and Wan-Ru Yang
- Purchasing power parity for fifteen Latin American countries: Stationary test with a Fourier function pp. 839-845

- Chi-Wei Su, Tsangyao Chang and Hsu-Ling Chang
- A. Panagariya, India: The emerging giant, Oxford University Press, New York, New York (2008) ISBN 978-0-19-531503-5 514 pp, US$ 39.95 pp. 846-847

- Amitrajeet Batabyal
- Review of Barry Eichengreen, Exorbitant Privilege, Oxford University Press (2011) pp. 847-849

- Peter Kenen
- Jagdish Bhagwati and Alan S. Blinder, Offshoring of American Jobs: What Response from U.S. Economic Policy? Edited and with an Introduction by.Benjamin M. Friedman, Editor, The MIT Press, Cambridge, MA (2009) $19.95, 141 pages pp. 849-850

- Farhad Rassekh
- William H. Greene and David A. Hensher, Modeling ordered choices: A primer, Cambridge University Press (2010) pp. 850-851

- Edward Norton
- Corrigendum to [`]Stock market reaction to dividend announcements: Evidence from the Greek stock market' [Int. Rev. Econ. Finance 20 (2011) 302-311] pp. 852-852

- Apostolos Dasilas and Stergios Leventis
Volume 20, issue 3, 2011
- Institutional characteristics and market impediments in Asian capital markets: An introduction pp. 365-366

- Kam C. Chan, Hung-Gay Fung and Nicholas S.P. Tay
- IPO underpricing: A social comparison perspective pp. 367-375

- Chih-Hsiang Chang
- An analysis of Japanese earnings forecast revisions with application to seasoned equity offerings pp. 376-387

- Gary L. Caton, Justin S.P. Chan, Jeremy Goh and Sheng-Yung Yang
- Listings from the emerging economies: An opportunity for reputable stock exchanges pp. 388-394

- Nicholas S.P. Tay and Reza Oladi
- Are social, financial, and human capital value enhancing? Evidence from Taiwanese firms pp. 395-405

- Shuh-Chyi Doong, Hung-Gay Fung and -Ya Wu
- Adverse selection and corporate governance pp. 406-420

- Charlie Charoenwong, David Ding and Vasan Siraprapasiri
- Insider trading returns and dividend signals pp. 421-429

- Louis T.W. Cheng, Wallace N. Davidson and T.Y. Leung
- Modeling the fat tails in Asian stock markets pp. 430-440

- Jullavut Kittiakarasakun and Yiuman Tse
- The impact of sovereign risk on bond duration: Evidence from Asian sovereign bond markets pp. 441-451

- Hei Wai Lee, Yan Alice Xie and Jot Yau
- Determinants of futures contract success: Empirical examinations for the Asian futures markets pp. 452-458

- Mao-Wei Hung, Bing-Huei Lin, Yu-Chuan Huang and Jian-Hsin Chou
- Momentum and reversals in Taiwan index futures returns during periods of extreme trading imbalance pp. 459-467

- Erin H. Kao
Volume 20, issue 2, 2011
- Introduction to Heckscher-Ohlin theory: A modern approach pp. 129-130

- Eric Fisher
- From great depression to great recession pp. 131-134

- Jaroslav Vanek
- The Heckscher-Ohlin model and the network structure of international trade pp. 135-145

- Thushyanthan Baskaran, Florian Blöchl, Tilman Brück and Fabian J. Theis
- Empirical foundations for the resurrection of Heckscher-Ohlin theory pp. 146-156

- Peter Egger, Kathryn G. Marshall and Eric Fisher
- The factor content of regional bilateral trade: The role of technology and demand pp. 157-172

- Andrés Artal-Tur, Juana Castillo, Carlos Llano-Verduras and Francisco Requena-Silvente
- The domestic content of imports and the foreign content of exports pp. 173-184

- Jeffrey Reimer
- Estimating the Heckscher-Ohlin model: Inverting the inverse matrix pp. 185-192

- Henry Thompson
- The gains from trade revisited pp. 193-201

- Kwok Tong Soo
- Heckscher-Ohlin theory when countries have different technologies pp. 202-210

- Eric Fisher
- Employment effects of foreign acquisition pp. 211-224

- Roger Bandick and Patrik Karpaty
- Ownership, competition, and bank productivity: An analysis of Indian banking in the post-reform period pp. 225-247

- Paroma Sanyal and Rashmi Shankar
- EU-GCC free trade agreement: Adjustments in a factors proportion model for the UAE pp. 248-256

- Hugo Toledo
- Further evidence on purchasing power parity and country characteristics pp. 257-266

- Jyh-Lin Wu, Su-Yin Cheng and Han Hou
- An empirical investigation of monetary interaction in the Korean economy pp. 267-280

- Han Gwang Choo and Takamitsu Kurita
- Utilizing financial market information in forecasting real growth, inflation and real exchange rate pp. 281-301

- Juha Junttila and Marko Korhonen
- Stock market reaction to dividend announcements: Evidence from the Greek stock market pp. 302-311

- Apostolos Dasilas and Stergios Leventis
- Do liquidity and sampling methods matter in constructing volatility indices? Empirical evidence from Taiwan pp. 312-324

- Shyh-Weir Tzang, Chih-Hsing Hung, Chou-Wen Wang and David So-De Shyu
- Mergers and capital flight in unionised oligopolies: Is there scope for a "national champion" policy? pp. 325-341

- Kjell Lommerud, Frode Meland and Odd Rune Straume
- Forecasting exchange rates: The multi-state Markov-switching model with smoothing pp. 342-362

- Chunming Yuan
- Marco Buti, Sevaas Deroose, Vitor Gaspar and João Nogueira Martins, Editors, The Euro: The First Decade, Cambridge University Press, Cambridge, New York (2010), p. 1015 pp. 363-364

- Peter Kenen
- Monetary Economics in Globalised Financial Markets, by Ansgar Belke and Thorsten Polleit. 2009 Springer-Verlag (Heidelberg); ISBN: 978-3-540-71002-8 pp. 364-364

- Joydeep Bhattacharya
Volume 20, issue 1, 2011
- The emerging global financial architecture and exchange rate regimes in a volatile world pp. 1-4

- Joshua Aizenman and Michael Hutchison
- International reserves and swap lines: Substitutes or complements? pp. 5-18

- Joshua Aizenman, Yothin Jinjarak and Donghyun Park
- Accumulation of reserves and keeping up with the Joneses: The case of LATAM economies pp. 19-31

- Yin-Wong Cheung and Rajeswari Sengupta
- The exchange rate regime in Asia: From crisis to crisis pp. 32-43

- Ila Patnaik, Ajay Shah, Anmol Sethy and Vimal Balasubramaniam
- Crisis and self-fulfilling expectations: The Turkish experience in 1994 and 2000-2001 pp. 44-58

- Ünay Tamgaç
- The illusive quest: Do international capital controls contribute to currency stability? pp. 59-70

- Reuven Glick and Michael Hutchison
- Foreign output shocks, monetary rules and macroeconomic volatilities in small open economies pp. 71-81

- Joseph Alba, Zheng Su and Wai-Mun Chia
- Structural change, savings and current account balance pp. 82-94

- Yi Sun
- Markets contagion during financial crisis: A regime-switching approach pp. 95-109

- Feng Guo, Carl R. Chen and Ying Sophie Huang
- Jumps in foreign exchange rates and stochastic unwinding of carry trades pp. 110-127

- Makoto Nirei and Vladyslav Sushko
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