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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 36, issue C, 2016

Integration of emerging stock markets with global stock markets pp. 1-12 Downloads
Omar M. Al Nasser and Massomeh Hajilee
Unraveling the political budget cycle nexus in Greece pp. 13-27 Downloads
Nikiforos Laopodis, Anna Merika and Annie Triantafillou
Stock market efficiency and liquidity: The Indonesia Stock Exchange merger pp. 28-40 Downloads
Ann Shawing Yang and Airin Pangastuti
Impact of financial market uncertainty and macroeconomic factors on stock–bond correlation in emerging markets pp. 41-51 Downloads
Nebojsa Dimic, Jarno Kiviaho, Vanja Piljak and Janne Äijö
How strong are the linkages between real estate and other sectors in China? pp. 52-72 Downloads
Steven Chan, Gaofeng Han and Wenlang Zhang
The determinants of financial structure: How to explain the “paradox of insolvency and debt” among SMEs in Cameroon? pp. 73-84 Downloads
Jean-Paul Tchankam, Jules Roger Feudjo and Serge Valant Gandja
Does national culture affect the intensity of volatility linkages in international equity markets? pp. 85-95 Downloads
Stephanie Rothonis, Duy Tran and Eliza Wu
Efficiency in the Vietnamese banking system: A DEA double bootstrap approach pp. 96-111 Downloads
Chris Stewart, Roman Matousek and Thao Ngoc Nguyen
Microstructures, financial reforms and informational efficiency in an emerging market pp. 112-126 Downloads
Vaalmikki Arjoon
Financial stress and economic activity in some emerging Asian economies pp. 127-139 Downloads
Emrah Çevik, Selahattin Dibooglu and Turalay Kenc
Financial market interdependencies: A quantile regression analysis of volatility spillover pp. 140-157 Downloads
Aymen Ben Rejeb and Arfaoui Mongi
Rationality of survey based inflation expectations: A study of 18 emerging economies’ inflation forecasts pp. 158-166 Downloads
Fazlul Miah, M. Saifur Rahman and Khalid Albinali
The impact of state and foreign ownership on banking risk: Evidence from the MENA countries pp. 167-178 Downloads
Naima Lassoued, Houda Sassi and Mouna Ben Rejeb Attia
Global financial crisis and emerging stock market contagion: A volatility impulse response function approach pp. 179-195 Downloads
Xiaoye Jin and Ximeng An
Efficiency and risk convergence of Eurozone financial markets pp. 196-211 Downloads
Joerg Wild
Multi-asset class mutual funds: Can they time the market? Evidence from the US, UK and Canada pp. 212-221 Downloads
Andrew Clare, Meadhbh Brid Sherman and Steve Thomas
MENA stock market volatility persistence: Evidence before and after the financial crisis of 2008 pp. 222-240 Downloads
Ata Assaf
The explanatory power of higher moment capital asset pricing model in the Karachi stock exchange pp. 241-253 Downloads
Muhammad Akbar and Thuy Thu Nguyen
Profitability of return and sentiment-based investment strategies in US futures markets pp. 254-270 Downloads
Walid Bahloul and Abdelfettah Bouri
The fall of high-frequency trading: A survey of competition and profits pp. 271-287 Downloads
Jean-Philippe Serbera and Pascal Paumard
Time-varying co-movements and volatility spillovers among financial sector CDS indexes in the UK pp. 288-296 Downloads
Go Tamakoshi and Shigeyuki Hamori
Return and volatility interdependences in up and down markets across developed and emerging countries pp. 297-311 Downloads
Srikanta Kundu and Nityananda Sarkar
On emerging stock market contagion: The Baltic region pp. 312-321 Downloads
Panayotis D. Alexakis, Dimitris Kenourgios and Dimitrios Dimitriou
Effect of government share ownership on corporate risk taking: Case of the United Arab Emirates pp. 322-339 Downloads
Md Hamid Uddin
Investor sentiment and local bias in extreme circumstances: The case of the Blitz pp. 340-350 Downloads
Andrew Urquhart and Robert Hudson
Socially responsible investing and Islamic funds: New perspectives for portfolio allocation pp. 351-361 Downloads
Lanouar Charfeddine, Ahlem Najah and Frédéric Teulon
Institutional arrangements and debt financing pp. 362-372 Downloads
Shage Zhang
Long-term performance of mergers and acquisitions in ASEAN countries pp. 373-387 Downloads
Rekha Rao-Nicholson, Julie Salaber and Tuan Hiep Cao
The validity of Islamic art as an investment pp. 388-401 Downloads
William McQuillan and Brian Lucey
Investigating stock market efficiency: A look at OIC member countries pp. 402-413 Downloads
Shaista Arshad, Syed Aun R. Rizvi, Gairuzazmi Mat Ghani and Jarita Duasa
Investor sentiment, stock mispricing, and long-term growth expectations pp. 414-423 Downloads
Kotaro Miwa
Global economic activity as an explicator of emerging market equity returns pp. 424-435 Downloads
Michael Graham, Jarkko Peltomäki and Vanja Piljak
Does the simple microstructure model tell the time of the FX intervention? A one day analysis of the Japanese FX intervention pp. 436-446 Downloads
Yoshihiro Kitamura
Insurance penetration and economic growth nexus: Cross-country evidence from ASEAN pp. 447-458 Downloads
Rudra P. Pradhan, Mak Arvin, Neville R. Norman, Mahendhiran Nair and John H. Hall
Spillover effects between exchange rates and stock prices: Evidence from BRICS around the recent global financial crisis pp. 459-471 Downloads
Lu Sui and Lijuan Sun
Financial markets development, business cycles, and bank risk in South America pp. 472-484 Downloads
Chaiporn Vithessonthi and Jittima Tongurai
Predicting efficiency in Malaysian Islamic banks: A two-stage TOPSIS and neural networks approach pp. 485-498 Downloads
Peter Wanke, M.D. Abul Kalam Azad and Carlos Barros
Mergers, acquisitions, and bank efficiency: Cross-country evidence from emerging markets pp. 499-510 Downloads
Kai Du and Nicholas Sim
Does the strength of the legal systems matter for trade in insurance and financial services? pp. 511-519 Downloads
Azmat Gani and Michael D. Clemes
Is exchange rate risk priced in microfinance? pp. 520-531 Downloads
Al-Azzam, Moh’d and Karim Mimouni
The economic opportunity cost for countries located in crisis zones: Evidence from the Middle East pp. 532-542 Downloads
Diana Abu-Ghunmi and Charles Larkin
Does the relationship between small and large portfolios’ returns confirm the lead–lag effect? Evidence from the Athens Stock Exchange pp. 546-561 Downloads
Anastassios A. Drakos
Consumption, wealth, stock and housing returns: Evidence from emerging markets pp. 562-578 Downloads
Guglielmo Maria Caporale and Ricardo Sousa
Long and short-runs determinants of the sovereign CDS spread in emerging countries pp. 579-590 Downloads
Sy-Hoa Ho
Wine: To drink or invest in? A study of wine as an investment asset in French portfolios pp. 591-614 Downloads
Beysül Aytaç, Thi Hong Van Hoang and Cyrille Mandou
Spikes and crashes in the oil market pp. 615-623 Downloads
Sofiane Aboura and Julien Chevallier
Why do companies transfer the trading compartment of their common stocks pp. 624-640 Downloads
Abdoul Karim Cissé and Patrice Fontaine
The likelihood of management involvement, offer premiums, and target shareholder wealth effects: Evidence from the 2002–2007 LBO wave pp. 641-655 Downloads
Kien Cao, Jeffrey Coy and Thuy Nguyen
The effects of social ratings on firm value pp. 656-683 Downloads
Alexis Cellier and Pierre Chollet

Volume 35, issue C, 2015

Board of directors’ composition and capital structure pp. 1-32 Downloads
Paulo Alves, Eduardo Barbosa Couto and Paulo Morais Francisco
Risk and ethical investment: Empirical evidence from Dow Jones Islamic indexes pp. 33-56 Downloads
Amélie Charles, Olivier Darné and Adrian Pop
Gender, style diversity, and their effect on fund performance pp. 57-74 Downloads
Vassilios Babalos, Guglielmo Maria Caporale and Nikolaos Philippas
How using derivatives affects bank stability in emerging countries? Evidence from the recent financial crisis pp. 75-87 Downloads
Mohamed Rochdi Keffala
Entry mode and emerging market MNEs: An analysis of Chinese greenfield and acquisition FDI in the United States pp. 88-103 Downloads
John Anderson and Dylan Sutherland
The valuation of social impact bonds: An introductory perspective with the Peterborough SIB pp. 104-110 Downloads
Christophe Schinckus
The impact of profitability on capital structure and speed of adjustment: An empirical examination of selected firms in Nigerian Stock Exchange pp. 111-121 Downloads
Isaiah Oino and Ben Ukaegbu
Is the firm's business model related to segment reporting? pp. 122-137 Downloads
Pascal Barneto and Stéphane Ouvrard
Does hajj pilgrimage affect the Islamic investor sentiment? pp. 138-152 Downloads
Mouna Boujelbène Abbes and Mouna Abdelhédi-Zouch
Short-term overreaction to specific events: Evidence from an emerging market pp. 153-165 Downloads
Sabri Boubaker, Hisham Farag and Duc Khuong Nguyen
Repeated moral hazard in international joint ventures: Inter-temporal culturally sensitive incentive schemes for hidden action pp. 166-179 Downloads
Ursula F. Ott
The impact of culture on market timing in capital structure choices pp. 180-196 Downloads
Clara Maria Verduch Arosa, Nivine Richie and Peter W. Schuhmann
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