Research in International Business and Finance
2004 - 2025
Current editor(s): T. Lagoarde Segot From Elsevier Bibliographic data for series maintained by Catherine Liu (). Access Statistics for this journal.
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Volume 72, issue PB, 2024
- Disentangling the impact of foreign bank presence on domestic banks performance: Does the degree of foreign ownership in domestic banks matter?

- Xiaohui Yuan
- Metaverse and financial markets: A quantile-time-frequency connectedness analysis

- Ahmet Faruk Aysan, Jonathan Batten, Giray Gözgör, Rabeh Khalfaoui and Zhamal Nanaeva
- Digital and traditional financial inclusion: Trends and drivers

- Sha’ban, Mais, Rym Ayadi, Yeganeh Forouheshfar, Sandra Challita and Serena Sandri
- ESG rating, board faultlines, and corporate performance

- Xinru Ji, Xiaoxu Chen and Zhiming Ao
- The impact of economic uncertainty on corporate ESG performance: Global evidence

- Kan-Xiang Chen, Yaman Omer Erzurumlu, Giray Gözgör, Chi Keung Lau and Melis Turkkan
- Exploring the Spillover effects of tail risk fluctuations in the RMB exchange rate—The time-frequency and quantile connectivity perspective

- Zhigang Huang and Weilan Zhang
- The dichotomy of inclusiveness and vulnerability as a consequence of banking platform development

- Piotr Łasak and Sławomir Wyciślak
- SPACs and the COVID-19 pandemic: Evidence from Korea

- Hyung Cheol Kang and Sangwon Lee
- On the different impact of local and national sources of policy uncertainty on sectoral stock volatility

- Nazmie Sabani, Stephan Bales and Hans-Peter Burghof
- Return and volatility connectedness between agricultural tokens and us equity sectors

- Shoaib Ali, Mohamed Yousfi, Sumayya Chughtai and Anna Min Du
- Interplay between oil prices, country risks, and stock returns in the context of global conflict: A PVAR approach

- Qingyuan Dong, Qunyang Du and Anna Min Du
Volume 72, issue PA, 2024
- Recession fears and stock markets: An application of directional wavelet coherence and a machine learning-based economic agent-determined Google fear index

- Jan Jakub Szczygielski, Ailie Charteris, Lidia Obojska and Janusz Brzeszczyński
- Network structure, dynamic evolution and block characteristics of sovereign debt risk: The global evidence

- Shan Wu, Yilong Liu, Ziyu Song, Yuqin Zhou and Wenjing Guo
- Why do entrepreneurial firms switch lead venture capital? A double-sided matching perspective

- Weiping Liang and Xiangyi Zhou
- Riding the wave of change: Buy now, pay later as a disruptive threat to payment cards in the global market

- Umberto Filotto, Dario Salerno, Gabriele Sampagnaro and Gian Paolo Stella
- Impact of firm characteristics and country-level governance on global energy stocks during crises

- Dharen Pandey, Waleed M. Al-ahdal, Warren Rusere, Azwadi Ali and Safwan Mohd Nor
- The pathways of board diversity in European contexts: Exploring the influence of director types on firm performance

- Fernando Hernández-Atienza, Juan Antonio Rodríguez-Sanz and Fernando Tejerina-Gaite
- When is organisational resizing helpful or harmful for innovation outputs?

- Boumediene Ramdani, Cherif Guermat and Elias Boukrami
- The impact of technology on access to credit: A review of loan approval and terms in rural Vietnam and Thailand

- Chung Phan, Stefano Filomeni and Seng Kiong Kok
- Does corporate internationalization affect analysts’ earnings forecast bias? Evidence from China

- Linjiang Wang, Guiling Zhang, Xu Lou and Fei Guo
- Artificial intelligence and big data tokens: Where cognition unites, herding patterns take flight

- Xu Xiaoyang, Shoaib Ali and Muhammad Naveed
- IFCI-SA: International financial conditions index for South American economies

- Conrado Brum-Civelli, Alejandro Fried-Gindel and Alfredo Garcia-Hiernaux
- How has consumers' willingness to pay for the environmental value of new energy vehicles changed? Based on comparative surveys in 2016 and 2023

- Xia Wang and Boqiang Lin
- Institutional investor horizons and stock price crash risk

- Fanjie Fu, Jing Fang, Mei Yang and Shujie Yao
- How electricity and natural gas prices affect banking systemic risk

- Pina Murè, Cosimo Paccione, Stefano Marzioni and Saverio Giorgio
- Corrigendum to “The impact of ESG scores on the value relevance of fair value hierarchy of financial instruments: Evidence from European banks” [Res. Int. Bus. Financ. 71 (2024) 102451]

- G. Di Martino, F. Miglietta and Valerio Potì
- The impact of board capital on open innovation with the moderating effect of executive equity incentives

- Liping Li, Qisheng Chen, Jing Li, Jin Chen and Ximeng Jia
- ESG and Chinese corporate OFDI

- Zhonghua Cheng and Yang Su
- In search of lost social finance: How do financial instability and inequality interact?

- Brahim Gaies
- Interest rate spreads: Different stories for different types of loan

- Merike Kukk and Natalia Levenko
- Role of social capital and financial inclusion in sustainable economic growth

- Siqi Huang, Manli Cheng and Zhenzhu Shu
- Corporate governance effects of digital finance: Evidence from corporate tax avoidance in China

- Xingfang Guo, Tao Wei, Aiping Wang and Haifeng Hu
- Impact of corporate philanthropy on firm performance: The moderating role of board structure

- Limeng Ying, Jiaming Zhang, Junyi Zhu and Yufei Gan
- Actively managed equity mutual funds in emerging markets

- Michael González, José Gabriel Astaíza-Gómez and Javier Pantoja
Volume 71, issue C, 2024
- New roles for energy and financial markets in spillover connections: context under COVID-19 and the Russia–Ukraine conflict

- Xiaozhu Guo, Xinjie Lu, Shaobo Mu and Min Zhang
- Innovative or complacent: The impact of financial conditions on firms’ strategic innovation activities—A game-theoretical approach

- Byunggeor Moon
- Investigating the varying relevance of CSR dimensions on firm leverage: The implications for internationalized firms

- Asif Saeed, Mah Noor, Teerooven Soobaroyen and Ammar Gull
- CEO duality and corporate social responsibility: A moderation effect of founder CEO

- Ratikant Bhaskar, Shashank Bansal and Dharen Pandey
- ESG resilience in conflictual times

- Ornella Ricci, Gianluca Santilli, Giulia Scardozzi and Francesco Saverio Stentella Lopes
- How ESG performance affects maturity mismatches between investment and financing: Evidence from Chinese A-share listed companies

- Huwei Wen, Yupeng Liu and Chien-Chiang Lee
- Internal monitoring mechanisms and corporate environmental and social performance: Evidence from Korea

- Nam Gyoung Lee, Seung Hun Han and Hyeong Joon Kim
- Dispersion in news sentiment and M&As outcomes

- Yugang Chen, Jihua Lu, Weidong Ma, Satish Kumar and Yasir Shahab
- Price limits, informed trading, and information consumption

- Yan Luo, Haohan Ren and Hao Yang
- Global macroeconomic factors and the connectedness among NFTs and (un)conventional assets

- Christian Urom, Gideon Ndubuisi and Khaled Guesmi
- Economic vulnerabilities and sustainability in energy utilities: Managing climate change in the face of geopolitical turmoil

- Qunyang Du, Mengzhe Xue, Zhongyuan Li, Anna Min Du and Tianle Yang
- The relationship between renewable energy attention and volatility: A HAR model with markov time-varying transition probability

- Huayou Duan, Chenchen Zhao, Lu Wang and Guangqiang Liu
- Risk-adjusted performance of new economy indices and thematic sectors

- David Grau-Vera and Gonzalo Rubio
- Banking FinTech and stock market volatility? The BIZUM case

- Laura Arenas, Emili Vizuete-Luciano and Anna María Gil-Lafuente
- Exploring the impact of religious diversity on market performance and financial growth in developed economies

- Weikang Sun, Zhiqi Wei and Shixiang Zou
- National legislatures and corporate transparency

- Richard W. Carney, Ruiyuan Chen, Sadok El Ghoul and Omrane Guedhami
- Financial stress and realized volatility: The case of agricultural commodities

- Matteo Bonato, Oguzhan Cepni, Rangan Gupta and Christian Pierdzioch
- Diversification and idiosyncratic volatility puzzle: Evidence from ETFs

- Jun Duanmu, Jungshik Hur and Yongjia Li
- Women directors’ attributes and demographics: New insights into bank risk

- Marwa Elnahass, Rana Alharbi, Toka S. Mohamed and Josie McLaren
- A critical assessment of the partial leverage adjustment model: Target-overshooting behavior

- Heejung Choi, Eun Jung Lee and Jungwon Suh
- Doing good in good times only? Uncertainty as contingency factor of warm-glow investment

- Johannes K. Dreyer, Kristian J. Sund and Mirel Tatomir
- Futures markets and the baltic dry index: A prediction study based on deep learning

- Miao Su, Yufei Nie, Jiankun Li, Lin Yang and Woohyoung Kim
- Socio-economic issues and bank stability: The moderating role of competition

- Syed Waqar Akbar, Ajid Ur Rehman, Elie Bouri, Muhammad Shahzad Ijaz and Imran Arshad
- Partisan conflict, trade policy uncertainty, and the energy market

- Cai Yang, Hongwei Zhang, Yun Qin and Zibo Niu
- The impact of ESG scores on the value relevance of fair value hierarchy of financial instruments: Evidence from European Banks

- G. Di Martino, F. Miglietta and Valerio Potì
- Stewardship code adoption and firms’ decisions on treasury shares: Evidence from South Korea

- Jaehyung Bark and Pyung Kyung Kang
- Combination of antecedent conditions affecting the development of Chinese new energy market based on fuzzy sets

- Yuan Wu, Elvis Kwame Ofori, Li Tao, Brian Lucey and Mohammad Zoynul Abedin
- Employment protection and stock price crash risk: Evidence from China’s introduction of the labor contract law

- Qianru Zhuo, Yuanfeng Lin, Yajie Qiu, Zhe Shen and Zhiqiang Wang
- Unleashing stock volatility and its implications for stock crash risk: Evidence from China’s price limit policies

- Haoye Liang, Yanqi Sun, Cheng Xu, Wanfang Xiong and Wei Cai
- Connectedness with commodities in emerging markets: ESG leaders vs. conventional indexes

- Maria E. de Boyrie and Ivelina Pavlova
- The relationship between heterogeneous institutional investors’ shareholdings and corporate ESG performance: Evidence from China

- Yang Liu, Xiao Meng Jin, Kim Cuong Ly and Yong Mai
- Anatomy of sovereign yield behaviour using textual news

- Ameet Kumar Banerjee, H.K. Pradhan, Md Akhtaruzzaman, Ahmet Sensoy and Susan Dann
- The digital economy and entrepreneurial dynamics: An empirical analysis of urban regions in China

- Shucui Wang, Yutong Song, Anna Min Du and Jia Liang
- The impact of cyber enforcement actions on stock returns

- Marika Carboni, Dell’Atti, Stefano, Igor Gianfrancesco and Grazia Onorato
- The effect of executive green human capital on greenwashing

- Daqian Shi, Shan Lu and Ziwei Fang
- Board gender diversity, nonmarket strategy and firm performance: Evidence from emerging markets MNCs

- Abubakr Saeed, Muhammad Saad Baloch, Tahiru Azaaviele Liedong and Tazeeb Rajwani
- Finance Research and the UN Sustainable Development Goals – An analysis and forward look

- Yang Su, Brian M. Lucey and Ashish Kumar Jha
- A greater crisis? Investigating MSA-level housing markets during the COVID-19 pandemic

- MeiChi Huang
- Distribution of export size, Pareto exponent and financial crisis

- Jinchao Huang, Shuang Meng, Jiajie Yu and Xing Zhang
- Financial technology and ESG market: A wavelet-DCC GARCH approach

- Babak Naysary and Keshab Shrestha
- Interconnectedness in the FOREX market during the high inflation regime: A network analysis

- Shamima Ahmed, Md Akhtaruzzaman, Van Le, Tamal Nath and Molla Ramizur Rahman
- Split bond ratings: Evidence from Japanese credit rating agencies

- Takanori Tanaka
- Golden ratio-based leverage targeting and the ESG performance of US and European listed firms

- Vivien Csapi, József Ulbert and Ákos Tóth-Pajor
- How socially sustainable multinational banks promote financial inclusion in developing countries

- Fernando Ubeda, Alvaro Mendez, Francisco Javier Forcadell and Belén López
- Technology and automation in financial trading: A bibliometric review

- Rosella Carè and Douglas Cumming
- Cryptocurrency volatility: A review, synthesis, and research agenda

- Mohamed Shaker Ahmed, Ahmed A. El-Masry, Aktham I. Al-Maghyereh and Satish Kumar
- Volatility spillover across spot and futures markets: Evidence from dual financial system

- Ahmed Elsayed, Mehmet Asutay, Abdelkader O. ElAlaoui and Hashim Bin Jusoh
- Predicting consumption-wealth ratio changes and stock market returns

- Jingya Wang and Alex P. Taylor
- The information environment and ecological environment perspectives: Capital market openness and firm ESG rating divergence

- Zhennan Sun, Qunyang Du, Anna Min Du, Zhongyuan Li and Tianle Yang
- Assessing dynamic co-movement of news based uncertainty indices and distance-to -default of global FinTech firms

- Zaheer Anwer, Muhammad Arif Khan, M. Kabir Hassan and Manjeet Kaur Harnek Singh
- Internal information asymmetry and power distance

- Yingzhao Ni, Wenjie Ding, Donghui Li and Lu Xing
- Financial literacy and the household participation in commercial insurance: Evidence from China

- Minjia Guo, Ximing Chen, Tianqi Wang and Jie Cao
- Narrative innovation disclosure and stock price crash risk: Evidence from Chinese listed firms

- Li Yuan, Jing Tao, Haitong Li and Pengyi Dai
- Dividend payout and corporate transparency: Do CSR governance mechanisms matter?

- Ali Uyar, Shaista Wasiuzzaman, Cemil Kuzey and Abdullah S. Karaman
- Navigating greenwashing in the G8: Insights into family-owned firms, technology innovation, and economic policy uncertainty

- Madiha Kiran, Sumayya Chughtai and Muhammad Abubakr Naeem
- How does internet finance affect firm exports? Evidence from China

- Yuxia Fang and Yuhua Li
- Preferences for ethical intermediaries and sustainable investment decisions in micro-firms: The role of financial literacy and digital financial capability

- David Aristei, Manuela Gallo and Valeria Vannoni
- Analyst tracking and innovation inconsistency in companies

- Jing Qiu and Dan Li
- Mutual fund flows and returns dynamics: Investor preferences and performance persistence

- Giuseppe Galloppo, Roberto Guida and Viktoriia Paimanova
- Wisdom of crowds or awkward squad? Social interaction and the information efficiency of the Chinese capital market

- Yanran Wu, Shan Wu, Fujia Xu and Jie Jiang
- The Democratization of Wealth Management: Hedged Mutual Fund Blockchain Protocol

- Ravi Kashyap
- Do online attention and sentiment affect cryptocurrencies’ correlations?

- Nektarios Aslanidis, Aurelio Fernandez Bariviera and Christos S. Savva
- Staggered boards, agency costs and stock price crash risk: Evidence from China

- William Mbanyele and Hongyun Huang
- Corporate misconduct and innovation: Evidence from the pharmaceutical industry

- Omer Unsal and William J. Hippler
- Business environment optimization and labor income share of enterprises: Evidence from China

- Jinming Lai, Jinjun Ke, Shuping Lin, Pengdong Zhang and Qihao Zhang
- Price deregulation and investors’ IPO speculation: Evidence from Chinese registration system reform

- Siyuan Tang and Runmei Luo
- Hedge fund activism, R&D efficiency and firm value

- Justin Watson, Janice How and Peter Verhoeven
- ESG performance and green innovation in new energy enterprises: Does institutional environment matter?

- Miao Wang, Yiduo Wang and Shouxun Wen
- The football world upside down: Traditional equities as an alternative for the new fan tokens? A portfolio optimization study

- Carlos Esparcia and Antonio Díaz
- Platform economy deconstructed: intellectual bases and emerging ethical issues

- Mohammad Zainuddin, Masnun Al Mahi, M. Kabir Hassan and Shamim Ahmed Khan
- Administrative audit regulation and the quality of accounting information: Evidence from China securities regulatory commission’s random inspection system

- Hui Chen, Wanting Zhuang, Zijia Wang and Anzhe Zhou
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