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Research in International Business and Finance

2004 - 2025

Current editor(s): T. Lagoarde Segot

From Elsevier
Bibliographic data for series maintained by Catherine Liu ().

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Volume 44, issue C, 2018

The housing market and the credit default swap premium in the UK banking sector: A VAR approach pp. 1-15 Downloads
Nadia Benbouzid, Sushanta Mallick and Keith Pilbeam
Predicting bank failure: An improvement by implementing a machine-learning approach to classical financial ratios pp. 16-25 Downloads
Hong Hanh Le and Jean-Laurent Viviani
Bank profitability during and before the financial crisis: Domestic versus foreign banks pp. 26-39 Downloads
Houssam Bouzgarrou, Sameh Jouida and Waël Louhichi
Analyzing the governance structure of French banking groups pp. 40-48 Downloads
Faten Ben Bouheni, Abdoulkarim Idi Cheffou and Fredj Jawadi
Spillover effects among financial institutions within Germany and the United Kingdom pp. 49-63 Downloads
Yaseen Ghulam and Jana Doering
Does international-reserves targeting decrease the vulnerability to capital flights? pp. 64-75 Downloads
Mika Kato, Christian Proaño and Willi Semmler
The relationship between volume imbalance and spread pp. 76-87 Downloads
Minh Thi Hong Dinh
Trading intensity and the volume-volatility relationship on the Tunis Stock Exchange pp. 88-99 Downloads
Rabaa Karaa, Skander Slim and Dorra Mezzez Hmaied
The zero lower bound and market spillovers: Evidence from the G7 and Norway pp. 100-123 Downloads
Evangelos Kyritsis and Apostolos Serletis
Self and bank credit rationing: a trivariate probit with double selection pp. 124-134 Downloads
Konstantinos Drakos and Nicholas Giannakopoulos
Relationships between Chinese stock market and its index futures market: Evaluating the impact of QFII scheme pp. 135-152 Downloads
Rui Huo and Abdullahi Ahmed
Is the turn of the month effect an “abnormal normality”? Controversial findings, new patterns and…hidden signs(?) pp. 153-175 Downloads
Evangelos Vasileiou
Modelling long memory in volatility in sub-Saharan African equity markets pp. 176-185 Downloads
Saint Kuttu
The pass-through to consumer prices in CIS economies: The role of exchange rates, commodities and other common factors pp. 186-217 Downloads
Mariarosaria Comunale and Heli Simola
Chief Executive Officer attributes, board structures, gender diversity and firm performance among French CAC 40 listed firms pp. 218-226 Downloads
Ali Ahmadi, Nejia Nakaa and Abdelfettah Bouri
Exchange rate linkages between the ASEAN currencies, the US dollar and the Chinese RMB pp. 227-238 Downloads
Guglielmo Maria Caporale, Luis Gil-Alana and Kefei You
The effect of ex ante and ex post conservatism on the cost of equity capital: A quantile regression approach for MENA countries pp. 239-255 Downloads
Maha Khalifa, Hakim Ben Othman and Khaled Hussainey
The effect of macroeconomic announcements at a sectoral level in the US and European Union pp. 256-272 Downloads
Hamish Anderson, Faruk Balli and Cara Godber
Emotional intelligence and financial decision making: Are we talking about a paradigmatic shift or a change in practices? pp. 273-284 Downloads
Karima Bouzguenda
The role of stock exchange efficiency in earnings quality: Evidence from the MENA region pp. 285-296 Downloads
Enas A. Hassan
Pecking order and market timing theory in emerging markets: The case of Egyptian firms pp. 297-308 Downloads
Alessandra Allini, Soliman Rakha, David G. McMillan and Adele Caldarelli
Impact of regulatory capital on European banks financial performance: A review of post global financial crisis pp. 309-318 Downloads
Isaiah Oino
The impact of monetary policy on gold price dynamics pp. 319-331 Downloads
Yanhui Zhu, Jingwen Fan and Jon Tucker
What determines FDI inflow to MENA countries? Empirical study on Gulf countries: Sectoral level analysis pp. 332-339 Downloads
Mohamed Elheddad
A two-stage study of momentum investing in Asia: A case of cognitive dissonance? pp. 340-349 Downloads
Scott Pirie and Ronald King To Chan
The impact of leverage on accrual-based earnings management: The case of listed French firms pp. 350-358 Downloads
Safa Lazzem and Faouzi Jilani
Spillover effect of US dollar on the stock indices of BRICS pp. 359-368 Downloads
G. Naresh, Gopala Vasudevan, S. Mahalakshmi and S. Thiyagarajan
Do international markets overreact? Event study: International market reaction to U.S. local news events pp. 369-385 Downloads
Saud Asaad Al-Thaqeb
Financial and monetary stability across Euro-zone and BRICS: An exogenous threshold VAR approach pp. 386-393 Downloads
Athanasios Tsagkanos, Anastasios Evgenidis and Konstantina Vartholomatou
On the relationship between corporate governance and firm performance: Evidence from GCC countries pp. 394-410 Downloads
Rekha Pillai and Husam-Aldin Nizar Al-Malkawi
Information transmission across stock indices and stock index futures: International evidence using wavelet framework pp. 411-421 Downloads
Chaker Aloui, Besma Hkiri, Marco Chi Keung Lau and Larisa Yarovaya
Change in value-relevance of disclosed RPT across accounting regimes: Evidence from Malaysia pp. 422-433 Downloads
Zaharaddeen Salisu Maigoshi, Rohaida Abdul Latif and Hasnah Kamardin
Do trade and financial openness matter for financial development? Bank-level evidence from emerging market economies pp. 434-458 Downloads
Badar Nadeem Ashraf
Uncovering asymmetries in the relationship between fear and the stock market using a hidden co-integration approach pp. 459-470 Downloads
Fotini Economou, Yannis Panagopoulos and Ekaterini Tsouma
Performance-based payment scheme to hedge against credit rating inflation pp. 471-479 Downloads
Kittiphod Charoontham and Amornpetchkul, Thunyarat (Bam)
Does investor attention affect trading volume in the Brazilian stock market? pp. 480-487 Downloads
Heloisa Elias De Souza, Claudio Henrique Da Silveira Barbedo and Gustavo Araujo
Capital requirements, the cost of financial intermediation and bank risk-taking: Empirical evidence from Bangladesh pp. 488-503 Downloads
Mohammed Mizanur Rahman, Changjun Zheng, Badar Nadeem Ashraf and Mohammad Morshedur Rahman
Stock markets, banks, and economic growth: Evidence from more homogeneous panels pp. 504-517 Downloads
Tolina Fufa and Jaebeom Kim
ICT, information asymmetry and market power in African banking industry pp. 518-531 Downloads
Simplice Asongu and Nicholas Biekpe
Investor attention to market categories and market volatility: The case of emerging markets pp. 532-546 Downloads
Jarkko Peltomäki, Michael Graham and Anton Hasselgren
Ownership, institutions and firm value: Cross-provincial evidence from China pp. 547-565 Downloads
Boya Wang

Volume 43, issue C, 2018

Financial inclusion and economic growth in OIC countries pp. 1-14 Downloads
Dai-Won Kim, Jung-Suk Yu and M. Kabir Hassan
Price dynamics and speculative trading in Bitcoin pp. 15-21 Downloads
Benjamin Blau
The eurozone debt crisis: A structural VAR approach pp. 22-33 Downloads
Simon Neaime, Isabelle Gaysset and Nasser Badra
Nexus between the banking sector interest rate spread and interbank borrowing rate: An econometric investigation for Bangladesh pp. 34-47 Downloads
Mohammad Abul Kashem and Mohammad Mafizur Rahman
Ownership structure and investment decisions of Chinese SOEs pp. 48-57 Downloads
Wei He and NyoNyo A. Kyaw
Equity carve-outs, divergence of beliefs and analysts’ following pp. 58-67 Downloads
Sebastien Dereeper and Asad Iqbal Mashwani
The monitoring of short selling: Evidence from China pp. 68-78 Downloads
Xiaohu Deng and Lei Gao
Bank stability and refinancing operations during the crisis: Which way causality? pp. 79-89 Downloads
Ivo Arnold and Beau Soederhuizen
Investor sentiment, soccer games and stock returns pp. 90-98 Downloads
Nebojsa Dimic, Manfred Neudl, Vitaly Orlov and Janne Äijö
Cyclical behavior of international fund flows pp. 99-112 Downloads
Suxiao Li, Jakob de Haan and Bert Scholtens
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