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 90, issue C, 2024
- The impact of digital transformation on enterprise green innovation pp. 1-12

- Chao Xu, Guanglin Sun and Tao Kong
- Bank lending to small firms: Metamorphosis of a financing model pp. 13-31

- Paolo Finaldi Russo, Valentina Nigro and Sabrina Pastorelli
- Are we in a bubble? Financial vulnerabilities in semiconductor, Web3, and genetic engineering markets pp. 32-44

- Zewen Wu
- Study on the influence of Internet finance on urban household savings rate: Evidence from China pp. 45-61

- Xinyi Xin, Anquan Zhang and Lu Liu
- International commodity market and stock volatility predictability: Evidence from G7 countries pp. 62-71

- Jiashun Wang, Jiqian Wang and Feng Ma
- Bitcoin market reactions to large price swings of international stock markets pp. 72-88

- Boxiang Jia, Dehua Shen and Wei Zhang
- The mechanism of TMT network characteristics on enterprises’ open innovation: A theoretical framework and meta-analysis pp. 89-101

- Xiaorui Zhou and Li Yang
- A two-dimensional innovation activity factor and stock pricing: Evidence from the Chinese stock market pp. 102-114

- Dayong Liu, Zhao Lu, Guanying Wang and Qiaoran Meng
- Forecasting stock market realized volatility: The role of investor attention to the price of petroleum products pp. 115-122

- Dakai Li
- Forecasting stock volatility using pseudo-out-of-sample information pp. 123-135

- Xiaodan Li, Xue Gong, Futing Ge and Jingjing Huang
- Litigating payouts or not? Evidence from universal demand laws pp. 136-153

- Huilin Zhang, Sabri Boubaker and Xiaoran Ni
- Corporate earnings management strategy under environmental regulation: Evidence from China pp. 154-166

- Jintao Zhang, Taoyong Su and Li Meng
- Connectedness and economic policy uncertainty spillovers to the ASEAN stock markets pp. 167-186

- Hooi Hooi Lean, Osamah M. Alkhazali, Kimberley Gleason and Xiu Wei Yeap
- Exploring the ingredients, mixtures, and inclinations of geopolitical risk pp. 187-206

- M. Tamilselvan, Abhishek Halder and M. Kannadhasan
- Digital financial inclusion and tourism development pp. 207-219

- Haohan Luo, Haijun Wang and Ying Wu
- Do financing constraints affect the financial integrity of firms? pp. 220-240

- Charilaos Mertzanis, Hazem Marashdeh and Asma Houcine
- How do government subsidies affect OFDI of private enterprises? Evidence from China pp. 241-251

- Yuandan Liu, Tingfeng Tang, Haiyang Li and Limin Luo
- Index measurement and analysis on spatial-temporal evolution of China's new economy based on the DPSIR model pp. 252-264

- Ting Wen, Sinan Qi and Yue Qian
- Assessing the impact of climate policy on energy security in developed economies pp. 265-282

- Biqing Xie and Bibo Xie
- Executives with business education background and cost of debt financing: Evidence from China pp. 283-296

- Linlin Xie, Yangbo Liu and Tianhao Jiang
Volume 89, issue PB, 2024
- Environmental sustainability and health outcomes: Do ICT diffusion and technological innovation matter? pp. 1-11

- Anis Omri, Bassem Kahouli and Montassar Kahia
- Corporate social responsibility and stock resilience to COVID-19: A contract theory perspective pp. 12-29

- Jun Lu, Wengui Li and Wei Huang
- The role of sponsor representatives in SEO underpricing: Evidence from China pp. 30-45

- Yuxin Cai, Huaili Lyu and Meng Peng
- The role of green reputation, carbon trading and government intervention in determining the green bond pricing: An externality perspective pp. 46-62

- Yuanfeng Hu and Yixiang Tian
- Diversification and bank stability: Role of political instability and climate risk pp. 63-92

- Mohsin Shabir, Ping Jiang, Yasir Shahab, Wenhao Wang, Özcan Işık and Iqra Mehroush
- A comparative study of international and Chinese digitization from the perspective of mapping knowledge domains pp. 93-113

- Linlin Han, Zidan Shan, Ming Lei and Long, Suwan(Cheng)
- Is the exchange rate a shock absorber? The shocks matter pp. 114-130

- Joscha Beckmann, Max Breitenlechner and Johann Scharler
- Competitive runs on Government debt pp. 131-158

- Michele Moretto and Bruno M. Parigi
- Uncertainty measure: As a proxy for the degree of market imperfection pp. 159-171

- Hailiang Zhang, Muhammad Atif Sattar and Haijun Wang
- Investment styles of islamic equity funds pp. 172-187

- Md Iftekhar Hasan Chowdhury, Faruk Balli and Anne de Bruin
- Normal and extreme impact and connectedness between fossil energy futures markets and uncertainties: Does El Niño-Southern Oscillation matter? pp. 188-215

- Jiahao Zhang, Yifeng Zhang, Yu Wei and Zhuo Wang
- The role of financial advisorʼs industry expertise in M&A quality: Evidence from goodwill impairment pp. 216-231

- Qiongyu Huang, Ruiyao Zhang, Siyao Li, Jingjing Li and Qiong Yao
- Tackling competition by reducing emissions: Private firms’ polluting behavior under peer IPOs pp. 232-249

- Lidan Li, Jie Han, Shenwei Mo and Yupeng Yang
- Global value chains, productivity and markup: Evidence from India pp. 250-271

- Ketan Reddy and Subash Sasidharan
- Are markets sentiment driving the price bubbles in the virtual? pp. 272-285

- Myriam Ben Osman, Emilios Galariotis, Khaled Guesmi, Haykel Hamdi and Kamel Naoui
- Foreign investment and environment in developing countries: A perspective from agricultural subsidy with foreign capital taxation pp. 286-298

- Yunyun Wu and Xiaochun Li
- Differentiated impact of spread determinants by personal loan category: Evidence from the Brazilian banking sector pp. 299-315

- José Valente, Mário Augusto and José Murteira
- Time-frequency return connectedness between Chinese coal futures and international stock indices pp. 316-333

- Baifan Chen, Jionghao Huang, Danhe Liu and Xiao-Hua Xia
- Does local government debt affect corporate social responsibility? Evidence from China pp. 334-348

- Peng Wan, Xiangyu Chen, Yun Ke and Wang Dong
- Estimating U.S. housing price network connectedness: Evidence from dynamic Elastic Net, Lasso, and ridge vector autoregressive models pp. 349-362

- David Gabauer, Rangan Gupta, Hardik A. Marfatia and Stephen Miller
- Can social trust promote the professional division of labor in firms? Evidence from China pp. 363-377

- Linrong Chen and Huixiang Zeng
- Life-cycle risk-taking with personal disaster risk pp. 378-396

- Fabio Bagliano, Carolina Fugazza and Giovanna Nicodano
- Return and volatility connectedness across global ESG stock indexes: Evidence from the time-frequency domain analysis pp. 397-428

- Jieru Wan, Libo Yin and You Wu
- What is going on with studies on financial speculation? Evidence from a bibliometric analysis pp. 429-445

- David Alaminos, Miguel Guillén-Pujadas, Emili Vizuete-Luciano and José María Merigó
- Volatility spillovers between oil and coal prices and its implications for energy portfolio management in China pp. 446-457

- Yanfeng Guo and Huanyu Zhao
- The threshold effects of public debt on economic growth in MENA countries: Do energy endowments matter? pp. 458-470

- Mouyad Alsamara, Zouhair Mrabet and Karim Mimouni
- Exploring the interconnectedness of China's new energy and stock markets: A study on volatility spillovers and dynamic correlations pp. 471-484

- Guangchen Li, Z.Y. Shen, Malin Song and Weixian Wei
- Does “son preference” affect rural floating parents’ willingness to settle in towns and cities? pp. 485-510

- Yun-Zhi Hu, Ye Xuan and Hai-Feng Wang
- Enhanced management information disclosure responsibilities and corporate risk-taking: Evidence from the accountability system for errors in China pp. 511-531

- Wenjun Liu, Guoyu Lin and Qian He
- Does trade policy uncertainty increase commercial banks’ risk-taking? Evidence from China pp. 532-551

- Debao Hu, Jingming Lu and Sibo Zhao
- Transmission process and determinants of sovereign credit contagions: Global evidence pp. 552-567

- Chih-Chun Chen, Chun-Da Chen and Donald Lien
- Political connections and labor investment efficiency pp. 568-580

- Gholamreza Karami, Sasan Mehrani, Salman Beik Boshrouyeh, Mostafa Ezadpour, Masoud Mohebbi and Milad Samavat
- Cultural diversity, social network, and off-farm employment: Evidence from China pp. 581-596

- Ling Wang and Jianqing Ruan
- Do the dynamics of macroeconomic attention drive the yen/dollar exchange market volatility? pp. 597-611

- Tao Luo, Huaping Sun, Lixia Zhang and Jiancheng Bai
- Covid-19 and market discipline: Evidence from the banking sector in emerging markets pp. 612-621

- Xin Xie, Nawazish Mirza, Muhammad Umar and Xiaoman Ji
- Corporate headquarters relocation and CSR performance pp. 622-637

- Ali Fatemi, Iraj Fooladi, Oumar Sy and Ashraf Zaman
- Family succession and cost of bank loans: Evidence from China pp. 638-655

- Tzu-Ching Weng and Hsin-Yi Chi
- Real estate uncertainty and financial conditions over the business cycle pp. 656-675

- Ingul Baek, Jia Liu and Sanha Noh
- Banking competition and capital dependence of the production sector: Growth and welfare implications pp. 676-698

- Tom Rauber and Paul Ritschel
- Asymmetric search behavior for gasoline prices: Evidence from the Chinese gasoline market pp. 699-712

- Jiayi Xu, Xiao-Bing Zhang and Yang Liu
- How does boardroom diversity influence the relationship between ESG and firm financial performance? pp. 713-730

- Zihao Wu, Jun Gao, Chengdi Luo, Hui Xu and Guanqun Shi
- The impact of trade on growth and welfare with heterogeneous firms and rent-sharing pp. 731-742

- Hiroyuki Nishiyama, Yasuhiro Gintani and Mizuki Tsuboi
- Arbitrage opportunities and feedback trading in regulated bitcoin futures market: An intraday analysis pp. 743-761

- Geoffrey M. Ngene and Jinghua Wang
- The effect of financial literacy on long-term recognition and short-term trade in mutual funds: Evidence from Japan pp. 762-783

- Hiroyuki Aman, Taizo Motonishi, Kazuhito Ogawa and Kozo Omori
- Economic integration and consumption risk sharing: A comparison of Eurozone and OECD countries pp. 784-803

- Krzysztof Beck and Valeryia Yersh
- Strategic asset allocation with distorted beliefs pp. 804-831

- San-Lin Chung, Mao-Wei Hung, Tzu-Wen Wei and Chung-Ying Yeh
- Does the Belt and Road Initiative upgrade the global value chain for BRI Countries:Revealing the substantial role of infrastructure pp. 832-842

- Yabo Li, Yan Zhao and Xuemei Yao
- The impact of M&A announcements on stock returns in the European Union pp. 843-862

- Tobias Kellner
- If GPU(time) == money: Sustainable crypto-asset market? Analysis of similarity among crypto-asset financial time series pp. 863-912

- Damian Zięba
- Sentiment analysis of the Spanish financial stability Report pp. 913-939

- Ángel Iván Moreno Bernal and Carlos González Pedraz
- Risk-free rate puzzle: An explanation of the heterogeneity of consumer risk attitudes under China's income gap pp. 940-960

- Yang Zhao, Yuan Yao and Mingtao Wang
Volume 89, issue PA, 2024
- Are REITS hedge or safe haven against oil price fall? pp. 1-16

- Waqas Hanif, Jorge Andraz, Mariya Gubareva and Tamara Teplova
- Digital finance and labor demand of manufacturing enterprises: Theoretical mechanism and heterogeneity analysis pp. 17-32

- Rui Feng, Chen Shen and Yiyang Guo
- Empirical evidence of fintech and green environment: Using the green finance as a mediating variable pp. 33-49

- Lu Qin, Ghazala Aziz, Muhammad Wasim Hussan, Afifa Qadeer and Suleman Sarwar
- The effect of international media news on the global stock market pp. 50-69

- Xuejun Jin, Cheng Chen and Xiaolan Yang
- Price limit hits in the Chinese fund market: Determinants and post-hit performance pp. 70-82

- Yuewen Xiao, Xinwei Zheng and Chengsi Wang
- Corporate innovation and analysts’ estimates of the cost of equity: Evidence from China pp. 83-101

- Yin Zhang, Hongxing Peng, Tingli Liu and Kehuang Xie
- Crowding out or crowding in? Reevaluating the effect of government spending on private economic activities pp. 102-117

- Joshua K. Park and Xiangcai Meng
- Mechanisms of overpricing: An investigation on momentum crashes pp. 118-142

- Alex Huang
- The effect of economic and political uncertainty on sovereign CDS spreads pp. 143-155

- Wei-Fong Pan, Xinjie Wang, Yaqing Xiao, Weike Xu and Jinfan Zhang
- Sequential monitoring of stock market price changes pp. 156-172

- Hemei Li, Zhenya Liu and Zhijie Xiao
- Whom is economic aid meant for? The push vs. pull determinant factors of official development assistance pp. 173-195

- Yunji Jung, Juno Kim and Kyunghun Kim
- Information disclosure by industry and the cost of equity: Evidence from a quasi-natural experiment in China pp. 196-212

- Ling Zhao and Hao Huang
- Real exchange rate convergence in the euro area: Evidence from a dynamic factor model pp. 213-224

- Carina Börger and Bernd Kempa
- The role of interest rate environment in mortgage pricing pp. 225-245

- Ferhana Ahmad and Choudhry Tanveer Shehzad
- Can common institutional owners inhibit bad mergers and acquisitions? Evidence from China pp. 246-266

- Siyuan Zhu, Rong Lu, Tianli Xu, Wenbin Wu and Yang Chen
- A continuous heterogeneous agent model for multi-asset pricing and portfolio construction under market matching friction pp. 267-283

- Jie Fu, Xiaoqi Zhang, Wenyuan Zhou and Yang Lyu
- Detecting financial contagion using a new nonparametric measure of asymmetric comovements pp. 284-296

- Feipeng Zhang, Yixiong Xu and Di Yuan
- Exchange rates and monetary policy when tradable and nontradable goods are complements pp. 297-309

- William Craighead
- Political connections and corporate innovation: A stepping stone or stumbling block? pp. 310-326

- Hongjun Zhao, Jinlan Ni and Xiaomin Liu
- Optimal degree of interagency coordination of subsidy and tariff policies pp. 327-336

- Masayuki Hayashibara, Takao Ohkawa, Ryoichi Nomura and Makoto Okamura
- On the conditional performance of the IVOL anomaly pp. 337-350

- Jianqiu Wang, Ke Wu and Jiening Pan
- Managing financial expertise pp. 351-365

- Koji Asano
- Repercussions of the Russia–Ukraine war pp. 366-390

- Eric Tong
- Domestic environmental impacts of OFDI: City-level evidence from China pp. 391-409

- Yishuang Liu, Wei Liu, Xiaoling Zhang, Hanmin Dong, Zhihui Zhao and Zhan Zhang
- Realized volatility, price informativeness, and tick size: A market microstructure approach pp. 410-426

- Xijuan Xiao and Ryuichi Yamamoto
- Spatial analysis of sovereign risk from the perspective of EPU spillovers pp. 427-443

- Peipei Liu and Wei-Qiang Huang
- How far can the long-run risk model with durable goods explain the variation of the yield curve? pp. 444-459

- Ryoichi Ikeda and Yoske Igarashi
- Adaptive market hypothesis: A comparison of Islamic and conventional stock indices pp. 460-477

- Muhammad Akbar, Ihsan Ullah, Shahid Ali and Naser Rehman
- Towards understanding MILA stock markets integration beyond MILA: New evidence between the pre-Global financial crisis and the COVID19 periods pp. 478-497

- Benedicto Kulwizira Lukanima, Luis Javier Sanchez-Barrios and Yuli Paola Gómez-Bravo
- Flight to cryptos: Evidence on the use of cryptocurrencies in times of geopolitical tensions pp. 498-523

- Christos Alexakis, Giulio Anselmi and Giovanni Petrella
- The asymmetric relationships between the Bitcoin futures’ return, volatility, and trading volume pp. 524-542

- Yu-Sheng Kao, Kai Zhao, Hwei-Lin Chuang and Yu-Cheng Ku
- Liquidity and realized volatility prediction in Chinese stock market: A time-varying transitional dynamic perspective pp. 543-560

- Yanyan Xu, Jing Liu, Feng Ma and Jielei Chu
- How does digital finance drive the green economic growth? New discoveries of spatial threshold effect and attenuation possibility boundary pp. 561-581

- Si Lu Pang, Hui Liu and Gui Hong Hua
- A finite element approach to the numerical solutions of Leland’s model pp. 582-593

- Dongming Wei, Yogi Ahmad Erlangga and Gulzat Zhumakhanova
- Optimal nonlinear pricing by a monopoly with smooth ambiguity preferences pp. 594-604

- Kit Pong Wong
- Intelligent portfolio construction via news sentiment analysis pp. 605-617

- Ming-Chin Hung, Ping-Hung Hsia, Xian-Ji Kuang and Shih-Kuei Lin
- Have real exchange rates and competitiveness in Central and Eastern Europe fundamentally changed? pp. 618-628

- Juan Cuestas, Mercedes Monfort and Javier Ordóñez
- Dig the treasure nearby: The impact of local supplier preference on trade credit financing pp. 629-650

- Zhixin Duan and Mingsheng Hu
- Hedging precious metals with impact investing pp. 651-664

- Md Akhtaruzzaman, Ameet Kumar Banerjee, Van Le and Faten Moussa
- Media coverage and stock liquidity: Evidence from China pp. 665-682

- Can Huang, Hung-Yi Huang and Kung-Cheng Ho
- Government policy interventions during COVID-19 pandemic and economic performance pp. 683-691

- Hammed Adetola Adefeso and Mujeeb Opeyemi Muraina
- Transmission of housing bubbles among industrial sectors pp. 692-701

- Junmin Wan
- Credit risk and bubble behavior of credit default swaps in the corporate energy sector pp. 702-731

- Ignacio Cervera and Isabel Figuerola-Ferretti
- Trade disputes and the climate pp. 732-741

- Takumi Haibara
- Bank competition with technological innovation based on evolutionary games pp. 742-759

- Chong Lai, Rui Li and Xiujuan Gao
- Green finance and green innovation: Theoretical analysis based on game theory and empirical evidence from China pp. 760-774

- Rui Bai and Boqiang Lin
- Corporate governance and earnings management: Evidence from Vietnamese listed firms pp. 775-801

- Quynh Nguyen, Maria H. Kim and Searat Ali
- Corruption, lending and bank performance pp. 802-830

- Bana Abuzayed, Mouldi Ben Ammar, Philip Molyneux and Nedal Al-Fayoumi
- The asymmetry and uncertainty effects on the response of the yield curve to Brazilian monetary policy pp. 831-844

- Igor Bastos Cavaca and Roberto Meurer
- Overextrapolation of disaster probabilities and asset pricing in a production economy pp. 845-854

- Han Gao, Chunpeng Lin, Juan Peng and Siqi Zhao
- Does managerial bank relationship network matter corporate resilience? Evidence from the COVID-19 crisis pp. 855-877

- Ruiyang Niu, Lin Chen, Liang Jin, Guanghua Xie and Longfeng Zhao
- Environmental regulations and capital investment: Does green innovation allow to grow? pp. 878-893

- Umar Farooq, Jun Wen, Mosab I. Tabash and Modawi Fadoul
- Output volatility and exchange rates: New evidence from the updated de facto exchange rate regime classifications pp. 894-908

- Marek Dąbrowski, Monika Papież and Sławomir Śmiech
- Does COVID-19 impact the dependence between oil and stock markets? Evidence from RCEP countries pp. 909-939

- Dongxin Li, Feipeng Zhang, Di Yuan and Yuan Cai
- The changing dynamics of crypto mining and environmental impact pp. 940-953

- Pooja Kumari, Vasanthi Mamidala, Kavita Chavali and Abhishek Behl
- Mandatory corporate social responsibility disclosure and financial constraints: Evidence from China pp. 954-974

- Xiao Liang and Xiaomeng Charlene Chen
- Monetary policy in China: A Factor Augmented VAR approach pp. 975-1008

- Boniface Yemba, Erick Kitenge, Biyan Tang and Neepa B. Gaekwad
- Short selling, informational efficiency, and extreme stock price adjustment pp. 1009-1028

- Yi Fan and Yang Gao
- Behavioral aspects of household portfolio choice: Effects of loss aversion on life insurance uptake and savings pp. 1029-1053

- In Do Hwang
- On the transmission mechanism between the inventory arbitrage activity, speculative activity and the commodity price under the US QE policy: Evidence from a TVP-VAR model pp. 1054-1072

- Wei Yao and Constantinos Alexiou
- Redefining the degree of industry greenness using input–output tables pp. 1073-1090

- Henry Penikas and Ekaterina Vasilyeva
- Digital inclusive finance, higher education expansion and regional carbon emissions: Evidence from China pp. 1091-1101

- Dong Wang, Ziwei Wang, Wanhuan Cai and Qiuxiang Wu
- Individual investors’ dividend tax reform and investment efficiency pp. 1102-1119

- Dongmin Kong and Mianmian Ji
- Can an influential and responsible investor indeed be influential through responsible investments? Evidence from a $1 trillion fund pp. 1120-1135

- Quynh Trang Nguyen, Snorre Lindset, Sondre Hansen Eriksen and Marie Skara
- On the design of bail-in-able bonds from the perspective of non-financial firms pp. 1136-1155

- Liang-Chih Liu, Tian-Shyr Dai and Lei Zhou
- Industry bubbles and unexpected consumption shocks: A cross-sectional explanation of stock returns under recursive preferences pp. 1156-1169

- Javier Rojo-Suárez, Ana B. Alonso-Conde and Rubén Lago-Balsalobre
- ESG scores and firm performance- evidence from emerging market pp. 1170-1184

- Radhika Narula, Purnima Rao, Satish Kumar and Rahul Matta
- Green finance and environmental, social, and governance performance pp. 1185-1202

- Shuitu Qian and Wenzhe Yu
- The role of audit quality in waste management behavior pp. 1203-1216

- Asif Saeed, Muhammad Wasif Zafar, Riadh Manita and Noor Zahid
- Multiscale extreme risk spillovers among the Chinese mainland, Hong Kong, and London stock markets: Comparing the impacts of three Stock Connect programs pp. 1217-1233

- Yinhong Yao, Jingyu Li and Wei Chen
- Using stock prices to help identify unconventional monetary policy shocks for external instrument SVAR pp. 1234-1247

- Liang Ma
- Low-carbon city pilot policy and corporate environmental performance: Evidence from a quasi-natural experiment pp. 1248-1266

- Shengnan Li, Xinya Zheng, Jing Liao and Jianbo Niu
- Opioid abuse and labor investment efficiency pp. 1267-1285

- Jing Jia and Zhongtian Li
- Semantics matter: An empirical study on economic policy uncertainty index pp. 1286-1302

- Chung-Chi Chen, Yu-Lieh Huang and Fang Yang
- The impact of retail investor sentiment on the conditional volatility of stocks and bonds: Evidence from the Tel-Aviv stock exchange pp. 1303-1313

- Elroi Hadad and Haim Kedar-Levy
- Asset pricing tests for pandemic risk pp. 1314-1334

- Dojoon Park, Yong Joo Kang and Young Ho Eom
- Can educational investment mitigate the impact of aging on household leverage ratio? pp. 1335-1347

- Teng Long, Kun Bu, Pengfei Du and Zhige Wang
- Transparency in the equity market: Evidence from a natural experiment pp. 1348-1368

- Wan-Jiun Paul Chiou and Alejandro Serrano
- The no surcharge rule and its welfare implication pp. 1369-1384

- Hongru Tan and Xuezheng Chen
- A changepoint analysis of exchange rate and commodity price risks for Latin American stock markets pp. 1385-1403

- Hans Manner, Gabriel Rodríguez and Florian Stöckler
- Inhibiting or promoting: The impact of corporate social responsibility on corporate financialization pp. 1404-1421

- Di Zheng, Lei Lei, Licheng Wang and Xuefeng Li
- A database: How the euro crisis ended: Not with a (fiscal) bang but a whimper pp. 1422-1441

- Ekkehard Köhler, Patrick Hirsch and Leonardo Palhuca
- An investigation of the frequency dynamics of spillovers and connectedness among GCC sectoral indices pp. 1442-1467

- Burcu Kapar, Syed Billah, Faisal Rana and Faruk Balli
- Impact of the belt and road initiative on trade status and FDI attraction: A local and global network perspective pp. 1468-1495

- Shuai Lu, Ning Chen, Wei Zhou and Shouwei Li
- Emergency liquidity injections pp. 1496-1513

- Nicholas Garvin
- The labor market impact of inflation uncertainty: Evidence from Sub-Saharan Africa pp. 1514-1528

- Yacouba Kassouri
- The effects of social class on social welfare attitudes A mediating role of fairness perceptions——Evidence from two welfare states and China pp. 1529-1538

- Jie Guo, Yitong Hao and Wenhao Ling
- Anchoring effect, prospect value and stock return pp. 1539-1556

- Chun Chen, Fangyi He and Lei Lin
- Monitoring by busy compensation committee members pp. 1557-1568

- Hunghua Pan, Yi-Ping Liao and Chen-Chiao Yu
- Short selling and corporate financial fraud: Empirical evidence from China pp. 1569-1582

- Pu Lu, Yong Wang and Bing Li
- The influence of the bank–firm relationship on enterprises’ technological innovation efficiency: Evidence from China pp. 1583-1600

- Lei Yin, Shanxing Du and Ge Chen
- How does oil market volatility impact mutual fund performance? pp. 1601-1621

- Bader Jawid Alsubaiei, Giovanni Calice and Andrew Vivian
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