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 92, issue C, 2024
- Central bank intervention and financial bubbles pp. 1-19

- Danilo Lopomo Beteto Wegner
- Lump-sum tax or flat income tax? Welfare implications of taxation policy in the presence of social comparison pp. 20-33

- Shaoan Huang, Jaimie W. Lien, Siqun Yang and Jie Zheng
- How does blockchain technology enhance firm operation and cooperation? pp. 34-49

- Lingyu Huang and Tingyuan Zhou
- Measuring spatial impacts and tracking cross-border risk pp. 50-84

- Bo Wang and Yang Xiao
- Pollution consequences of vertical fiscal imbalance: Evidence from China pp. 85-97

- Shiyu Zhou and Weijie Luo
- Detecting and date-stamping bubbles in fan tokens pp. 98-113

- Ata Assaf, Ender Demir and Oguz Ersan
- Optimal local content requirement under export share requirement consideration pp. 114-122

- Chih-Ming Hung and Yungho Weng
- Determinants of the price of bitcoin: An analysis with machine learning and interpretability techniques pp. 123-140

- José Manuel Carbó and Sergio Gorjón
- Economic policy uncertainty and voluntary disclosures:How do Chinese firms respond? pp. 141-167

- Cuicui Lu, David Parsley and Bing Xue
- Globalisation and governance: Thresholds for the impacts of the main determinants of capital inflows? pp. 168-176

- Erdal Özmen and Fatma Taşdemir
- How does product market competition affect dividend smoothing? Evidence from China pp. 177-192

- Shaowen Shu and Wei Peng
- Epidemics, local institutional quality, and corporate cash holdings pp. 193-210

- Xiaodan Li, Zikui Pan, Kung-Cheng Ho and Yu Bo
- Research on the impact of enterprise digital transformation on carbon emissions in the manufacturing industry pp. 211-227

- Cheng Zhang, Jiming Fang, Shilong Ge and Guanglin Sun
- ESG disclosure and internal pay gap: Empirical evidence from China pp. 228-244

- Muhammad usman Khurram, Lifeng Chen, Mohammad Zoynul Abedin, Douglas A. Adu and Brian Lucey
- Is the Korean green premium in equilibrium? pp. 245-260

- Yunsung Eom, Young Dae Kang and Wook Sohn
- Whether green credit is effecitve: a study based on stock market pp. 261-274

- Boqiang Lin and Ting Pan
- Are stablecoins better safe havens or hedges against global stock markets than other assets? Comparative analysis during the COVID-19 pandemic pp. 275-301

- Jingyu Feng, Ying Yuan and Mingxuan Jiang
- Bitcoin halving and the integration of cryptocurrency and forex markets: An analysis of the higher-order moment spillovers pp. 302-315

- Inés Jiménez, Andrés Mora-Valencia and Javier Perote
- A sustainable pandemic response: The impact of COVID-19 vaccination coverage on economic policy uncertainty pp. 316-332

- Shi Li, Meng Li and Rongsha Fu
- How does linguistic diversity matter? The case of trade credit pp. 333-350

- Jie Wang, Zhineng Long, Liang Chen and Wanli Li
- Commodities and Policy Uncertainty Channel(s) pp. 351-379

- K. Smimou, D. Bosch and G. Filbeck
- Search symbols, trading performance, and investor participation pp. 380-393

- Yin-Siang Huang, Hui-Ching Chuang, Iftekhar Hasan and Chih-Yung Lin
- Exogenous oil supply shocks and global agricultural commodity prices: The role of biofuels pp. 394-414

- Yanfeng Wei, Feng Qiu, Henry An, Xindon Zhang, Changhong Li and Xiaoying Guo
- Crude oil volatility index forecasting: New evidence based on positive and negative jumps from Chinese stock market pp. 415-437

- Gaoxiu Qiao, Xuekun Ma, Gongyue Jiang and Lu Wang
- Investor sentiment and stock returns: New evidence from Chinese carbon-neutral stock markets based on multi-source data pp. 438-450

- Yang Gao, Chengjie Zhao and Yaojun Wang
- Interdependence and spillovers between big oil companies and regional and global energy equity markets pp. 451-469

- Waqas Hanif, Jose Arreola Hernandez, Sang Hoon Kang, Gideon Boako and Seong-Min Yoon
- Asymmetric spillover effects in energy markets pp. 470-502

- Aviral Tiwari, Emmanuel Joel Aikins Abakah, Buhari Doğan, Oluwasegun B. Adekoya and Mark Wohar
- Internal versus external capital markets and risk-taking pp. 503-519

- Ching-Yuan Hsiao and Yung-Ming Shiu
- The impact of green technology innovation on carbon emission efficiency: The intermediary role of intellectual capital pp. 520-532

- Tailai Liao, Jingdong Yan and Qiuhong Zhang
- Heterogeneous impact of non-tariff measures on import margins through global value chains: Firm-level evidence from China pp. 533-562

- Qizhong Yang
- Do anticipated changes in the MSCI Taiwan index drive investor behavior? pp. 563-580

- Yun-lan Tseng and Ging-ginq Pan
- Bank digital transformation and liquidity mismatch: Evidence from China pp. 581-597

- Xiaohui Hou and Rui Yang
- Inter-industry network and credit risk pp. 598-625

- Mu-Nan Huang and Han-Hsing Lee
- Dynamic volatility spillover relationships between the Chinese carbon and international energy markets from extreme climate shocks pp. 626-645

- Zhang-HangJian Chen, Shou-Yu Zhao, Huai-Bing Song, Ming-Yuan Yang and Sai-Ping Li
- The clan and informal financing in China: An analysis of the trickle-down effect pp. 646-666

- Taixing Liu and Zhichao Yin
- Digital transformation and economic growth Efficiency improvement in the Digital media era: Digitalization of industry or Digital industrialization? pp. 667-677

- Qi Zhang, Peipei Wu, Rongrong Li and Afei Chen
- The impact of big data tax collection and management on inefficient investment of enterprises — A quasi-natural experiment based on the golden tax project III pp. 678-689

- Yixuan Guo, Jian Wang, Heng Wang and Fan Zhang
- Does unionization reduce wage inequality? New evidence from business dynamism pp. 690-703

- Chi-Chur Chao and Mong Shan Ee
- Debt crises between a country and an international lender as a two-period game pp. 704-723

- Kjell Hausken and Jonathan W. Welburn
- Do CEOs with new compound surnames have better ESG performance? Evidence from China pp. 724-740

- Chao Yan, Yuchun He and Ziyi Zhang
- Foreign knowledge sources and innovation: Differences across large and small and medium-size multinational enterprises (MNEs) pp. 741-757

- María Jesús Rodríguez-Gulías, Sara Fernández-López and David Rodeiro-Pazos
- Fiscal policy volatility and growth in emerging markets and developing economies pp. 758-777

- Francisco Arroyo Marioli, Antonio Fatas and Garima Vasishtha
- The bright side of social trust and entrepreneurial finance pp. 778-795

- Min Maung
- Trust and inter-regional M&As: Evidence from China pp. 796-818

- Zhenshan Wang and Huilin Xu
- Effects of government digitalization on firm investment efficiency: Evidence from China pp. 819-834

- Chang Xu and Long Jin
- Tax reduction” and the financialization of real enterprises: Evidence from China’s “VAT reform pp. 835-850

- Yajun Tang, Li Wang and Haicheng Shu
- Stock returns and monetary policy stance pp. 851-869

- Bosung Jang and Inhwan So
- Corporate green innovation in a digital economy pp. 870-883

- Penghua Qiao, Siting Liu, Hung-Gay Fung and Chen Wang
- Role of foreign banks in promoting financial inclusion: “A time series analysis of five permanent members of UN security council” pp. 884-893

- Amjad Ali, Ahsan Ali and Suresh Kumar Oad Rajput
- CEO turnover shock and green innovation: Evidence from China pp. 894-908

- Lin Yu, Haixia Lv, Anna Fung and Keyou Feng
- Multilayer networks in the frequency domain: Measuring volatility connectedness among Chinese financial institutions pp. 909-928

- Zisheng Ouyang, Xuewei Zhou, Gang-Jin Wang, Shuwen Liu and Min Lu
- Oil price uncertainty and corporate diversification: Evidence from Chinese manufacturing firms pp. 929-947

- Zongyi Zhang and Zhenjun Fan
- Equity incentives and dynamic adjustments to corporate financialization: Evidence from Chinese A-share listed companies pp. 948-966

- Xiaoxia Fu, Shanshan Wang and Jia Jia
- Effects of innovation environment on carbon intensity: The moderating role of information industry pp. 967-977

- Qing Guo, Hongsen Wang, Xin Lu and Long Qu
- Why risk attitude differs between macro and micro level? A decoherence perspective pp. 978-997

- Zhen Yi, Chao Zhu and Yuwei Zhang
- Is managerial myopia detrimental to corporate ESG performance? pp. 998-1015

- Zheng Lu, Yanzi Liang, Yanglin Hu and Yang Liu
- Does heterogeneous media sentiment matter the ‘green premium’? An empirical evidence from the Chinese bond market pp. 1016-1027

- Yating Fu, Lingyun He, Rongyan Liu, Xiaowei Liu and Ling Chen
- Bond market spillover networks of ASEAN-4 markets: Is the global pandemic different? pp. 1028-1044

- Gazi Uddin, Muhammad Yahya, Donghyun Park, Axel Hedström and Shu Tian
- Digital economy, industrial structure upgrading, and residents' consumption: Empirical evidence from prefecture-level cities in China pp. 1045-1058

- Yizi Wang and Lanyi Li
- What can analyst forecasts tell us about imperfect information? pp. 1059-1073

- Lin Li, Kunyu Liu and Guoping Li
- Banking sector reforms in a challenging environment: An emerging financial market experience pp. 1074-1096

- Yaseen Ghulam and Kamini Dhruva
- The impact of U.S. monetary policy on Chinese firms’ innovation pp. 1097-1111

- Ling Feng, Tingting Pei and Zhiguang Zhou
- Dynamic game analysis of E-commerce platform rewards and research & development investment of settled enterprises pp. 1112-1125

- Zhiyun Sheng and Ningning Ni
- Spillovers and hedging effectiveness between islamic cryptocurrency and metal markets: Evidence from the COVID-19 outbreak pp. 1126-1151

- Imran Yousaf, Shoaib Ali, Mohamed Marei and Mariya Gubareva
- Board chair gender, glass ceiling, and IPO underpricing: Evidence from China pp. 1152-1171

- Kaijuan Gao, Manya Wang and Jin Liu
- Stock market and inequality distributions – Evidence from the BRICS and G7 countries pp. 1172-1190

- Dong Quang Dang, Weiou Wu and Ioannis Korkos
- Volatility transmission between upstream and midstream energy sectors pp. 1191-1199

- Bradley T. Ewing, Farooq Malik and James Payne
- Central banks and climate risks: Where we are and where we are going? pp. 1200-1229

- R. Carè, R. Fatima and I.A. Boitan
- The impact of intellectual property articles on the quality of export products: Based on text analysis of China's trade agreements pp. 1230-1249

- Jin Sun, Zehui Shi and Yuan Zhou
- Does managerial pay disparity influence BHC default risk? pp. 1250-1269

- Searat Ali, Jamshed Iqbal, Ihtisham Malik and Dewan Rahman
- Risk-averse corporate investment behavior and the effectiveness of quantitative easing pp. 1270-1286

- Ying Wu
- Non-mandatory approaches to corporate environmental engagement: Insights from the Belt and Road Initiative pp. 1287-1301

- Yinghui Chen, Ying Tong and Can Zhou
- Fostering fintech innovation: A tripartite evolutionary game analysis of regulatory sandbox experiments pp. 1302-1320

- Yulu Zheng and Xiaoli Wu
- Impact of board diversity on Chinese firms’ cross-border M&A performance: An artificial intelligence approach pp. 1321-1335

- Shusheng Ding, Min Du, Tianxiang Cui, Yongmin Zhang and Meryem Duygun
- Moderating effect of capital structure on the relationship between corporate governance mechanisms and firm value: Evidence from India pp. 1336-1350

- Vibha Tripathi, John W. Goodell, Vinodh Madhavan and Satish Kumar
- Short-term and long-term effects of Chinese and global economic policy uncertainty and geopolitical risks on Chinese tourism pp. 1351-1360

- Lujia Ma, Jiaji Zhu and Wei Han
- ESG performance and innovation quality pp. 1361-1373

- Yanqiong Li and Sihao Li
- The impact of high-speed railway on firms’ productivity pp. 1374-1394

- Wei Zou and Liangheng Chen
- Does dialect diversity improve enterprise employment? Evidence from Chinese listed companies pp. 1395-1404

- Chenyu Zhao and Peng Zhou
- The role of foreign direct investment in east and Southeast Asia: Evidence before and after 2009 global financial crisis pp. 1405-1415

- Yi-Chia Wang and Meng-Wei Chen
- Global uncertainty and the spillover of tail risk between green and Islamic markets: A time-frequency domain approach with portfolio implications pp. 1416-1433

- Syed Billah, Md Rafayet Alam and Mohammad Enamul Hoque
- The effect of superstitious beliefs on corporate investment efficiency: evidence from China pp. 1434-1447

- Belaynesh Teklay, Wei Yu and Keying Zhu
- R&D investments and location choices with three firms pp. 1448-1459

- Wen-Chung Guo and Fu-Chuan Lai
- Is investing in green assets costlier? Green vs. non-green financial assets pp. 1460-1481

- Md. Abubakar Siddique, Haitham Nobanee, Md. Bokhtiar Hasan, Gazi Uddin and Md. Nahiduzzaman
- The role of cities in cross-border mergers and acquisitions — Evidence from China pp. 1482-1498

- Zeng Lian, Yunfeng Ma, Li Chen and Rong He
- The industry peer effect of enterprise ESG performance: the moderating effect of customer concentration pp. 1499-1525

- Tianjiao Zhao and Hanyu Wang
- The impact of financial institutions' cross-shareholdings on risk-taking pp. 1526-1544

- Zhenghui Li, Bin Chen, Siting Lu and Gaoke Liao
- Default risk and stock returns: From a perspective of measurement errors pp. 1545-1561

- Xiaolou Yang and Yingyao Hu
- Can digital financial development promote corporate green technology innovation? pp. 1562-1582

- Nan Li and Yifan Zhou
- The relationship between bureaucratic corruption and financial crisis in an open economy pp. 1583-1594

- Chiou-Wen Chen and Meizhi Yang
- Volatility forecasting on China's oil futures: New evidence from interpretable ensemble boosting trees pp. 1595-1615

- Lingbing Feng, Haicheng Rao, Brian Lucey and Yiying Zhu
- Evaluating the impact of OFDI on the growth quality of industrial firms: A dual-perspective analysis from China pp. 1616-1627

- Dan Peng, Ziqi Wang, Qunxi Kong and Molly Cai
- Outward foreign direct investment operation modes and reverse technology spillovers: Implications for the quality of economic growth pp. 1628-1639

- Qunxi Kong, Peipei Wu and Ziqi Wang
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