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 39, issue PB, 2017
- The way we live now: Financialization and securitization pp. 663-677

- Bonnie G. Buchanan
- Financialisation, financial chains and uneven geographical development: Towards a research agenda pp. 678-685

- Martin Sokol
- The need for an alternative to shareholder value creation? The Ethomed student experience pp. 686-695

- Bernard Paranque
- Capital structure theory: Reconsidered pp. 696-710

- Kavous Ardalan
- Socially responsible investing (SRI): From mainstream to margin? pp. 711-717

- Christophe Revelli
- Uncertainty and risk management from Islamic perspective pp. 718-726

- Ghassen Bouslama and Younes Lahrichi
- Financial innovation as a potential force for a positive social change: The challenging future of social impact bonds pp. 727-736

- Christophe Schinckus
- Social and solidarity finance: A conceptual approach pp. 737-749

- Amélie Artis
- The new monetary and financial initiatives: Finance regaining its position as servant of the economy pp. 750-760

- Sandrine Ansart and Virginie Monvoisin
- Investigating the leverage effect in commodity markets with a recursive estimation approach pp. 763-778

- Julien Chevallier and Florian Ielpo
- Liquidity, information, strategic trading in an electronic order book: New insights from the European carbon markets pp. 779-808

- Yves Rannou
- Risk sentiment and firms’ liquidity in the French market pp. 809-823

- Ousayna Zreik and Waël Louhichi
- Forecasting realized volatility: HAR against Principal Components Combining, neural networks and GARCH pp. 824-839

- Dimitrios I. Vortelinos
- Assessing financial and housing wealth effects through the lens of a nonlinear framework pp. 840-850

- Fredj Jawadi, Richard Soparnot and Ricardo Sousa
- Does the equity premium puzzle persist during financial crisis? The case of the French equity market pp. 851-866

- M.A. Bellelah, M.O. Bellelah, H. Ben Ameur and R. Ben Hafsia
- How does electronic trading affect efficiency of stock market and conditional volatility? Evidence from Toronto Stock Exchange pp. 867-877

- Shantanu Dutta, Naceur Essaddam, Vinod Kumar and Samir Saadi
- The implication of banking competition: Evidence from African countries pp. 878-895

- Imen Kouki and Amjad Al-Nasser
- Data sources for the credit-card augmented Divisia monetary aggregates pp. 899-910

- William Barnett and Liting Su
- The procyclicality of loan loss provisions in Islamic banks pp. 911-919

- Wahyoe Soedarmono, Sigid Eko Pramono and Amine Tarazi
- The effects of activity and geographic diversification on performance: Evidence from French financial institutions pp. 920-939

- Sameh Jouida, Houssam Bouzgarrou and Slaheddine Hellara
- Bank-to-bank lending channel and the transmission of bank liquidity shocks: Evidence from France pp. 940-950

- Mabrouk Chouchène, Zied Ftiti and Wided Khiari
- Interest rate dynamic effect on stock returns and central bank transparency: Evidence from emerging markets pp. 951-962

- Stephanos Papadamou, Moise Sidiropoulos and Eleftherios Spyromitros
- Pricing CDS spreads with Credit Valuation Adjustment using a mixture copula pp. 963-975

- Etienne Harb and Wael Louhichi
- Oil vs. gasoline: The dark side of volatility and taxation pp. 976-989

- Sofiane Aboura and Julien Chevallier
- Characterizing investor expectations for assets with varying risk pp. 990-999

- Eric Gaus and Arunima Sinha
- Financial intermediary leverage spillovers pp. 1000-1007

- Apostolos Serletis and Khandokar Istiak
Volume 39, issue PA, 2017
- Corporate governance and cash holdings in MENA: Evidence from internal and external governance practices pp. 1-12

- Basil Al-Najjar and Ephraim Clark
- How does managerial opportunism affect the cost of debt financing? pp. 13-29

- Hatem Ghouma
- The returns, risk and liquidity relationship in high frequency trading: Evidence from the Oslo stock market pp. 30-40

- Minh Thi Hong Dinh
- National culture, information environment, and sensitivity of investment to stock prices: Evidence from emerging markets pp. 41-46

- Omar Farooq and Ayah Amin
- Monday effect in Brazilian hedge funds with immediate redemption pp. 47-53

- Samuel de Paiva Naves Mamede and Rodrigo Fernandes Malaquias
- Stock return and volatility reactions to information demand and supply pp. 54-67

- Faten Moussa, Ezzeddine Delhoumi and Olfa Ben Ouda
- Sovereign and bank Interdependencies—Evidence from the CDS market pp. 68-84

- Sherry Yu
- Income structure, profitability and risk in the European banking sector: The impact of the crisis pp. 85-101

- Joaquin Maudos
- Entering the public bond market during the financial crisis: Underinvestment and asymmetric information costs pp. 102-114

- Eilnaz Kashefi Pour
- Volatility transmission between US and Latin American stock markets: Testing the decoupling hypothesis pp. 115-127

- Laura Cardona, Marcela Gutiérrez and Diego Agudelo
- Do monetary, fiscal and financial institutions really matter for inflation targeting in emerging market economies? pp. 128-149

- Seedwell Hove, Fulbert Tchana Tchana and Albert Touna Mama
- Intraday analysis of macroeconomic news surprises and asymmetries in mini-futures markets pp. 150-168

- Dimitrios Vortelinos, Athanasios Koulakiotis and Athanasios Tsagkanos
- The Basel III net stable funding ratio adjustment speed and systemic risk pp. 169-182

- Kim Cuong Ly, Zhizhen Chen, Senyu Wang and Yuxiang Jiang
- Bank regulation and efficiency: What works for Africa? pp. 183-205

- Thouraya Triki, Imen Kouki, Mouna Ben Dhaou and Pietro Calice
- Political uncertainty and behavior of Tunisian stock market cycles: Structural unobserved components time series models pp. 206-214

- Afef Trabelsi Mnif
- The effects of fair value reporting on corporate foreign exchange exposures pp. 215-238

- Alain Krapl and Robert Salyer
- Foreign direct investment and environmental sustainability in Africa: The role of institutions and governance pp. 239-247

- Godfred A. Bokpin
- BRICS money talks: Comparative socio-cultural communicative taxonomy of the New Development Bank pp. 248-266

- Natalya Zavyalova
- Towards an asymmetric long run equilibrium between stock market uncertainty and the yield spread. A threshold vector error correction approach pp. 267-279

- Anastasios Evgenidis, Athanasios Tsagkanos and Costas Siriopoulos
- Dynamic correlations and domestic-global diversification pp. 280-290

- Leon Li
- Complex ownership structures, corporate governance and firm performance: The French context pp. 291-306

- Isabelle Ducassy and Alexis Guyot
- Causes and consequences of energy price shocks on petroleum-based stock market using the spillover asymmetric multiplicative error model pp. 307-314

- Ahmed Khalifa, Abdulwahab A. Alsarhan and Pietro Bertuccelli
- Discount rate or cash flow contagion? Evidence from the recent financial crises pp. 315-326

- Junhua Jiang
- New evidence on stock market reaction to dividend announcements in India pp. 327-337

- Satish Kumar
- The relation between auditor reputation, earnings and capital management in the banking sector: An international investigation pp. 338-357

- Chris Magnis and George Emmanuel Iatridis
- On the predictability of carry trade returns: The case of the Chinese Yuan pp. 358-376

- Calvin W.H. Cheong, Jothee Sinnakkannu and Sockalingam Ramasamy
- The financing of Chinese outbound mergers and acquisitions: Is there a distortion between state-owned enterprises and privately owned enterprises? pp. 377-388

- Zhe Sun, Tsvi Vinig and Thomas Daniël Hosman
- Business strategy, overvalued equities, and stock price crash risk pp. 389-405

- Ahsan Habib and Mostafa Monzur Hasan
- Collateral-based in SME lending: The role of business collateral and personal collateral in less-developed countries pp. 406-422

- Fábio Dias Duarte, Ana Paula Gama and José Paulo Esperança
- Was the collapse of the communist bloc a game changer in the stock markets? Left-wing vs. right-wing political preferences and stock market development pp. 423-432

- Gabriel Geller and Maria Guedes
- The dynamics of the relative global sector effects and contagion in emerging markets equity returns pp. 433-453

- Nicholas Addai Boamah
- Foreign institutional investment, business groups and firm performance: Evidence from India pp. 454-465

- Jhuma Mukhopadhyay and Indrani Chakraborty
- US monetary policy and global financial stability pp. 466-485

- Eric Tong
- European board structure and director expertise: The impact of quotas pp. 486-501

- Claire Crutchley Lending and Emilia Vähämaa
- Does patriotic vigilance make any sense in the transnational arena? A cosmopolitan alternative to the globalization paradox pp. 502-512

- Marc Pilkington
- Earnings management to exceed thresholds in continental and Anglo-Saxon accounting models: The British and French cases pp. 513-529

- Sameh Halaoua, Badreddine Hamdi and Tarek Mejri
- The effect of US bank holding companies’ exposure to asset-backed commercial paper conduits on the information opacity and systemic risk pp. 530-545

- Mariolia Kozubovska
- Green energy companies: Stock performance and IPO returns pp. 546-552

- Luisa Anderloni and Alessandra Tanda
- Valuing emerging markets companies: New approaches to determine the effective exposure to country risk pp. 553-567

- Oliviero Roggi, Alessandro Giannozzi and Tommaso Baglioni
- Financial literacy in Tunisia: Its determinants and its implications on investment behavior pp. 568-577

- Amari Mouna and Jarboui Anis
- What drives bank performance in transitions economies? The impact of reforms and regulations pp. 578-594

- Maria Psillaki and Emmanuel Mamatzakis
- Volatility spillover and hedging strategies between Islamic and conventional stocks in the presence of asymmetry and long memory pp. 595-611

- Imen Khanchel El Mehdi and Asma Mghaieth
- China’s intervention in the central parity rate: A Bayesian Tobit analysis pp. 612-624

- He Li, Zhichao Zhang and Chuanjie Zhang
- Sustainability disclosure, dominant owners and earnings informativeness pp. 625-639

- Carolina Bona-Sánchez, Jerónimo Pérez-Alemán and Domingo J. Santana-Martin
- Corporate governance, political involvement, and internationalization: An empirical investigation in Japan and Taiwan pp. 640-655

- Li-Wen Chen and Hsin-Yi Yu
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