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Research in International Business and Finance

2004 - 2025

Current editor(s): T. Lagoarde Segot

From Elsevier
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Volume 38, issue C, 2016

Re-embedding financial stakes within ethical and social values in socially responsible investing (SRI) pp. 1-5 Downloads
Christophe Revelli
Herding and excessive risk in the American stock market: A sectoral analysis pp. 6-21 Downloads
Houda Litimi, Ahmed BenSaïda and Omar Bouraoui
Dynamic correlations and hedging effectiveness between gold and stock markets: Evidence for BRICS countries pp. 22-34 Downloads
Walid Chkili
The role of the swiss franc in Switzerland’s European stance pp. 35-44 Downloads
Guillaume Vallet
Returns, volatility and investor sentiment: Evidence from European stock markets pp. 45-55 Downloads
Alain Frugier
Financial fragility of banks, ownership structure and income diversification: Empirical evidence from the GCC region pp. 56-68 Downloads
Dawood Ashraf, Mohamed Ramady and Khalid Albinali
Determinants of bank profitability in transition countries: What matters most? pp. 69-82 Downloads
Khurshid Djalilov and Jenifer Piesse
InkLocal credit rating agencies: a new dataset pp. 83-103 Downloads
Ginevra Marandola
Credit risk, managerial behaviour and macroeconomic equilibrium within dual banking systems: Interest-free vs. interest-based banking industries pp. 104-121 Downloads
Awatef Louhichi and Younes Boujelbene
Credit rating model development: An ordered analysis based on accounting data pp. 122-136 Downloads
Dimitris Balios, Stavros Thomadakis and Lena Tsipouri
Bank earnings volatility in the UK: Does size matter? A comparison between commercial and investment banks pp. 137-150 Downloads
Konstantinos A. Moutsianas and Kyriaki Kosmidou
Asset fixity and backward-bending investment demand functions pp. 151-160 Downloads
Jaclyn D. Kropp and Gabriel Power
Evidence on complementarity and substitution contingency in monitoring and bonding mechanisms pp. 161-171 Downloads
Amel Belanes and Malek Saihi
Do academic investment insights benefit society? pp. 172-176 Downloads
Wan-Ni Lai
Efficient market hypothesis and fraud on the market theory a new perspective for class actions pp. 177-190 Downloads
Franck Jovanovic, Stelios Andreadakis and Christophe Schinckus
Periodically collapsing bubbles in the South African stock market pp. 191-201 Downloads
Mehmet Balcilar, Rangan Gupta, Charl Jooste and Mark Wohar
The role of ICT in reducing information asymmetry for financial access pp. 202-213 Downloads
Simplice Asongu and Bertrand Moulin
Bank efficiency determinant: Evidence from the gulf cooperation council countries pp. 214-223 Downloads
Anwar Al-Gasaymeh
On the determinants of expected corporate bond returns in Tunisia pp. 224-235 Downloads
Yacine Hammami and Maha Bahri
Financial centers and ownership concentration: When is ownership concentration value relevant? Evidence from an emerging market pp. 236-245 Downloads
Omar Farooq and Ilham Zarouali
Dynamic transmissions between Sukuk and bond markets pp. 246-261 Downloads
Aktham Maghyereh and Basel Awartani
Lead-lag relationships in an embryonic stock market: Exploring the role of institutional ownership and liquidity pp. 262-276 Downloads
Vaalmikki Arjoon, Spiros Bougheas and Chris Milner
Stock markets’ bubbles burst and volatility spillovers in agricultural commodity markets pp. 277-285 Downloads
Lucia Baldi, Massimo Peri and Daniela Vandone
Pernicious effects: How the credit rating agencies disadvantage emerging markets pp. 286-298 Downloads
Prabesh Luitel, Rosanne Vanpée and Lieven De Moor
Debt structure and corporate performance in emerging markets pp. 299-311 Downloads
Denis Davydov
The price of freedom: Idiosyncratic currency devaluations pp. 312-325 Downloads
Marshall L. Stocker
Crowdfunding: The collaborative economy for channelling institutional and household savings pp. 326-337 Downloads
Jaume Roig Hernando
Central bank transparency and the consensus forecast: What does The Economist poll of forecasters tell us? pp. 338-359 Downloads
Emna Trabelsi
Are there profit (returns) in Shariah-compliant exchange traded funds? The multiscale propensity pp. 360-375 Downloads
Faizal Farouk and Abul Masih
Executive pensions, risk-shifting, and foreign exchange exposure pp. 376-392 Downloads
Alain A. Krapl and Reilly S. White
Capital investment, internationalization, and firm performance: Evidence from Southeast Asian countries pp. 393-403 Downloads
Chaiporn Vithessonthi
The impact of SEPA in credit transfer payments: Evidence from the euro area pp. 404-416 Downloads
Vânia G. Silva, Esmeralda A. Ramalho and Carlos Vieira
More on the relationship between corporate governance and firm performance in the UK: Evidence from the application of generalized method of moments estimation pp. 417-429 Downloads
Saeed Akbar, Jannine Poletti-Hughes, Ramadan El-Faitouri and Syed Zulfiqar Ali Shah
Are US-Dollar-Hedged-ETF investors aggressive on exchange rates? A panel VAR approach pp. 430-438 Downloads
Corey Shank and Andre Vianna
The role of institutional investors in propagating the 2007 financial crisis in Southern Europe pp. 439-454 Downloads
José María Díez-Esteban, Jorge Bento Farinha and Conrado Diego García-Gómez
Dynamics of financial markets and transaction costs: A graph-based study pp. 455-465 Downloads
Felipe Lillo and Rodrigo Valdés
Archival data of financial analysts' earnings forecasts in the euro zone: Problems with euro conversions pp. 466-473 Downloads
Sébastien Galanti
The volatility dynamics of spot and futures gold prices: Evidence from Russia pp. 474-484 Downloads
Berna Kirkulak-Uludag and Zorikto Lkhamazhapov
Analysing the financial strength of Tunisia: An approach to estimate an index of financial safety pp. 485-493 Downloads
Roman Matkovskyy, Taoufik Bouraoui and Helmi Hammami
Euphoria in financial markets: How Indian companies generate value in their cross-border acquisitions pp. 494-508 Downloads
Rekha Rao-Nicholson and Ayton, Julie (Salaber)
Guiding through the Fog: Does annual report readability reveal earnings management? pp. 509-516 Downloads
Aymen Ajina, Mhamed Laouiti and Badreddine Msolli
Bank efficiency in emerging Asian countries pp. 517-530 Downloads
Hanh Thi My Phan, Kevin Daly and Selim Akhter
Capital structure and internationalization: The case of Portuguese industrial SMEs pp. 531-545 Downloads
Luis Pacheco
Is there momentum in equity anomalies? Evidence from the Polish emerging market pp. 546-564 Downloads
Adam Zaremba and Adam Szyszka
Rookies to the stock market: A portrait of new shareholders pp. 565-576 Downloads
Martin Abrahamson
Western sanctions—Only half the challenge to Russia’s economic union pp. 577-592 Downloads
Olga Pak and Gavin Lee Kretzschmar
Financial crises and estimation bias in international bond markets pp. 593-607 Downloads
Januj A. Juneja

Volume 37, issue C, 2016

Growing pains: The evolution of new stock index futures in emerging markets pp. 1-16 Downloads
Nazli Sila Alan, Ahmet K. Karagozoglu and Sibel Korkmaz
Determinants of life insurance consumption in Africa pp. 17-27 Downloads
Abdul Latif Alhassan and Nicholas Biekpe
Liquidity, liquidity risk, and information flow: Lessons from an emerging market pp. 28-48 Downloads
Kais Tissaoui and Zied Ftiti
The role of speculation in international futures markets on commodity prices pp. 49-65 Downloads
Nicolas Huchet and Papa Gueye Fam
Does the expansion of regional cross-border banks affect competition in Africa? Indirect evidence pp. 66-77 Downloads
Florian Leon
Does high frequency algorithmic trading matter for non-AT investors? pp. 78-92 Downloads
Harry H. Kelejian and Purba Mukerji
The impact of the Internet on global industry: New evidence of Internet measurement pp. 93-112 Downloads
Ting Ting Huang and Bruce Qiang Sun
Systemic risk of European financial institutions: Estimation and ranking by the Marginal Expected Shortfall pp. 113-134 Downloads
Abdelkader Derbali and Slaheddine Hallara
Tick test accuracy in foreign exchange ECN markets pp. 135-152 Downloads
Walid Ben Omrane and Robert Welch
Acquiring control in emerging markets: Foreign acquisitions in Eastern Europe and the effect on shareholder wealth pp. 153-169 Downloads
Abhijit Sharma and Erwin Raat
Are foreign earnings disclosures value-relevant? pp. 170-183 Downloads
Robert Joliet and Aline Muller
Executive pay and performance in Portuguese listed companies pp. 184-195 Downloads
Paulo Alves, Eduardo Barbosa Couto and Paulo Morais Francisco
Freeing Greece from capital controls: Were the restrictions enforced in time? pp. 196-213 Downloads
Aristeidis Samitas and Stathis Polyzos
Assessing the direct effect of financial development on poverty reduction in a panel of low- and middle-income countries pp. 214-230 Downloads
Jamel Boukhatem
A new dataset of cultural distances for European countries and regions pp. 231-241 Downloads
Anneli Kaasa, Maaja Vadi and Urmas Varblane
Modelling the joint dynamics of oil prices and investor fear gauge pp. 242-251 Downloads
Qiang Ji and Ying Fan
Analysis of market quality before and during short-selling bans pp. 252-268 Downloads
Carlos Alves, Victor Mendes and Paulo Silva
Bank loan terms and conditions: Is there a macro effect? pp. 269-282 Downloads
Seraina Anagnostopoulou and Konstantinos Drakos
Determinants of corporate dividend policy in emerging markets: Evidence from MENA stock markets pp. 283-298 Downloads
Imad Jabbouri
The “four I's” of the international monetary system and the international role of the euro pp. 299-308 Downloads
Jean-François Ponsot
Effects of national culture on bank risk-taking behavior pp. 309-326 Downloads
Badar Nadeem Ashraf, Changjun Zheng and Sidra Arshad
Do cross-border and domestic bidding firms perform differently? New evidence from continental Europe and the UK pp. 327-349 Downloads
Miroslav Mateev and Kristiyan Andonov
Soft commodities and the global financial crisis: Implications for the economy, resources and institutions pp. 350-359 Downloads
Catherine Karyotis and Sharam Alijani
Stock market recovery from the 2008 financial crisis: The differences across Europe pp. 360-374 Downloads
Ivan Ivanov, Stanimir Kabaivanov and Boryana Bogdanova
Does stock exchange consolidation improve market liquidity? A study of stock exchange acquisition in Russia pp. 375-390 Downloads
Tamara V. Teplova and Victoria A. Rodina
Distilling private information from plain-vanilla options to predict future underlying stock price volatility: Evidence from the H-shares of Chinese banks pp. 391-405 Downloads
Dimitrios Koutmos
The performance of the Italian mutual funds: Does the metric matter? pp. 406-421 Downloads
Daniela Venanzi
Idiosyncratic volatility and stock returns: Evidence from the MILA pp. 422-434 Downloads
Luis Berggrun, Edmundo Lizarzaburu and Emilio Cardona
Evaluating the sovereign and household credit risk in Singapore: A contingent claims approach pp. 435-447 Downloads
Wan-Ni Lai
Rule of law or country level corporate governance: What matters more in emerging market acquisitions? pp. 448-463 Downloads
M. Thenmozhi and P.C. Narayanan
Governance and firm value: The effect of a recession pp. 464-476 Downloads
Mustafa Dah
Regulation of securitisation in China: Learning from the US experience pp. 477-488 Downloads
Franklin N. Ngwu and Zheyang Chen
The Halloween effect in European sectors pp. 489-500 Downloads
Tiago Carrazedo, José Dias Curto and Luís Oliveira
The determinants of bank net interest margins: A panel evidence from South Asian countries pp. 501-514 Downloads
Md. Shahidul Islam and Shin-Ichi Nishiyama
What factors affect behavioral biases? Evidence from Turkish individual stock investors pp. 515-526 Downloads
Bülent Tekçe, Neslihan Yılmaz and Recep Bildik
Testing the stationarity of CO2 emissions series in Sub-Saharan African countries by incorporating nonlinearity and smooth breaks pp. 527-540 Downloads
Aviral Tiwari, Phouphet Kyophilavong and Claudiu Albulescu
Investing in socially responsible mutual funds: Proposal of non-financial ranking in Italian market pp. 541-555 Downloads
Antonella Petrillo, Fabio De Felice, Mónica García-Melón and Blanca Pérez-Gladish
Contagion effects in selected European capital markets during the financial crisis of 2007–2009 pp. 556-571 Downloads
Milda Burzala
Foreign news and the structure of co-movement in European equity markets: An intraday analysis pp. 572-582 Downloads
Walid Ben Omrane and Syed Mujahid Hussain
An investigation of return and volatility linkages among equity markets: A study of selected European and emerging countries pp. 583-596 Downloads
Burhan F. Yavas and Lidija Dedi
The financial Logos: The framing of financial decision-making by mathematical modelling pp. 597-604 Downloads
Christian Walter
Stock market comovements around the Global Financial Crisis: Evidence from the UK, BRICS and MIST markets pp. 605-619 Downloads
Larisa Yarovaya and Marco Chi Keung Lau
Mastering risks: An illusion pp. 620-628 Downloads
Denis Dupré and Preston Perluss
Price formation, market quality and the effects of reduced latency in the very short run pp. 629-645 Downloads
Matthias Bank and Ralf H. Baumann
The international transmission of risk: Causal relations among developed and emerging countries’ term premia pp. 646-654 Downloads
Juan Andrés Espinosa-Torres, Jose Gomez-Gonzalez, Luis Melo-Velandia and José Fernando Moreno-Gutiérrez
Cross-market information transfers of ADR firms: An investigation of emerging market economies pp. 655-677 Downloads
David L. Senteney, Mohammad S. Bazaz and Michael H. Senteney
Page updated 2025-04-03