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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 31, issue C, 2014

The significance of working capital management in determining firm profitability: Evidence from developing economies in Africa pp. 1-16 Downloads
Ben Ukaegbu
Value versus growth in IPOs: New evidence from Finland pp. 17-31 Downloads
Teemu Hahl, Sami Vähämaa and Janne Äijö
Internal and external spillover effects for the BRIC countries: Multivariate GARCH-in-mean approach pp. 32-45 Downloads
Evgenii Gilenko and Elena Fedorova
Exchange rate movements and stock market returns in a regime-switching environment: Evidence for BRICS countries pp. 46-56 Downloads
Walid Chkili and Duc Khuong Nguyen
The timing ability and global performance of Tunisian mutual fund managers: A multivariate GARCH approach pp. 57-73 Downloads
Abdelmonem Oueslati, Yacine Hammami and Faouzi Jilani
Speculative dynamics and price behavior in the Shanghai Stock Exchange pp. 74-86 Downloads
Dimitrios Koutmos and Wei Song
Terrorism, country attributes, and the volatility of stock returns pp. 87-100 Downloads
Naceur Essaddam and John M. Karagianis
Does religion affect capital structure? pp. 112-131 Downloads
Mufaddal Baxamusa and Abu Jalal
Overconfidence and optimism: The effect of national culture on capital structure pp. 132-151 Downloads
Ron Christian Antonczyk and Astrid Juliane Salzmann
National cultural effects on leverage decisions: Evidence from emerging-market ADRs pp. 152-177 Downloads
Daphne Wang and Omar Esqueda
The impact of culture on market timing in capital structure choices pp. 178-192 Downloads
Clara Maria Verduch Arosa, Nivine Richie and Peter W. Schuhmann
Cross-national differences in access to finance: Influence of culture and institutional environments pp. 193-211 Downloads
Raj Aggarwal and John Goodell
Explaining equity shares in international joint ventures: Combining the influence of asset characteristics, culture and institutional differences pp. 212-233 Downloads
Michael Bowe, Sougand Golesorkhi and Mo Yamin
Equity culture development in Central and Eastern Europe: The role of institutional and managerial factors pp. 234-263 Downloads
Zita Stone, Fragkiskos Filippaios and Carmen Stoian

Volume 30, issue C, 2014

Institutional impact on the expropriation of private benefits of control in North Africa pp. 1-23 Downloads
Bruce Hearn
A threshold vector autoregression model of exchange rate pass-through in Mexico pp. 24-33 Downloads
Abdul Aleem and Amine Lahiani
Optimally sampled realized range-based volatility estimators pp. 34-50 Downloads
Dimitrios Vortelinos
Unchecked manipulations, price–volume relationship and market efficiency: Evidence from emerging markets pp. 51-71 Downloads
A.S.M. Azad, Saad Azmat, Victor Fang and Piyadasa Edirisuriya
Dynamic characteristics of the daily yen–dollar exchange rate pp. 72-82 Downloads
Takamitsu Kurita
On cross-currency transmissions between US dollar and euro LIBOR-OIS spreads pp. 83-90 Downloads
Go Tamakoshi and Shigeyuki Hamori
The liquidity cost implications arising from the attraction of regional primary listings: Evidence from West Africa pp. 91-110 Downloads
Bruce Hearn
Analysing banks’ intermediation and operational performance using the Hicks–Moorsteen TFP index: The case of Iran pp. 111-125 Downloads
Amir Arjomandi, Abbas Valadkhani and O’Brien, Martin
Bank distress prediction: Empirical evidence from the Gulf Cooperation Council countries pp. 126-147 Downloads
Aktham Maghyereh and Basel Awartani
Conference calls around merger and acquisition announcements: Do they reduce information asymmetry? UK Evidence pp. 148-172 Downloads
Georgia Siougle, Spyros Spyrou and Andrianos Tsekrekos
Pricing of the currency risk in the Canadian equity market pp. 173-194 Downloads
Mohammad Al-Shboul and Sajid Anwar
Should hedge funds be cautious reporting high returns? pp. 195-201 Downloads
Benjamin R. Auer
Home country macroeconomic factors on outward cross-border mergers and acquisitions: Evidence from the UK pp. 202-216 Downloads
Agyenim Boateng, Xiuping Hua, Moshfique Uddin and Min Du
The prospects of BRIC countries: Testing weak-form market efficiency pp. 217-232 Downloads
Asma Mobarek and Angelo Fiorante
Non-linear dynamics in international resource markets: Evidence from regime switching approach pp. 233-247 Downloads
Shyh-Wei Chen and Shih-Mo Lin
Style and performance of international socially responsible funds in Europe pp. 248-267 Downloads
Paulo Leite and Maria Céu Cortez
Explaining dividend gap between R&D and non-R&D Indian companies in the post-reform period pp. 268-283 Downloads
Poulomi Lahiri and Indrani Chakraborty
Understanding emerging market equity risk premia: Industries, governance and macroeconomic policy uncertainty pp. 284-309 Downloads
Michael Donadelli and Lauren Persha
Social networks, social interaction and macroeconomic dynamics: How much could Ernst Ising help DSGE? pp. 312-335 Downloads
Shu-Heng Chen, Chia-Ling Chang and Yi-Heng Tseng
Algorithmic complexity of financial motions pp. 336-347 Downloads
Olivier Brandouy, Jean-Paul Delahaye, Lin Ma and Hector Zenil
The forecasting efficiency of the dynamic Nelson Siegel model on credit default swaps pp. 348-368 Downloads
Frances Shaw, Finbarr Murphy and O’Brien, Fergal
Frontiers in financial dynamics pp. 369-376 Downloads
Michelle Carey, Eugene G. Gath and Kevin Hayes
Determinants of US financial fragility conditions pp. 377-392 Downloads
Fabio Bagliano and Claudio Morana
Complexity and endogenous instability pp. 393-410 Downloads
Sami Al-Suwailem

Volume 29, issue C, 2013

Co-movement of Asia-Pacific with European and US stock market returns: A cross-time-frequency analysis pp. 1-13 Downloads
Lixia Loh
Does good governance matter to debtholders? Evidence from the credit ratings of Japanese firms pp. 14-34 Downloads
Hiroyuki Aman and Pascal Nguyen
Mutual fund performance in Tunisia: A multivariate GARCH approach pp. 35-51 Downloads
Yacine Hammami, Faouzi Jilani and Abdelmonem Oueslati
Foreign banks and the export performance of emerging market firms: Evidence from India pp. 52-60 Downloads
Horatio Morgan
Who was informative? Performance of foreign and local analysts’ stock recommendations during the Asian financial crisis pp. 61-76 Downloads
Omar Farooq
Can advanced markets help diversify risks in frontier stock markets? Evidence from Gulf Arab stock markets pp. 77-98 Downloads
Riza Demirer

Volume 28, issue C, 2013

Foreign ownership in Australian firms pp. 1-18 Downloads
Anil Mishra
The inflation–output nexus: Empirical evidence from India, South Africa, and Brazil pp. 19-34 Downloads
Seema Narayan and Paresh Narayan
Asset prices and exchange risk: Empirical evidence from Canada pp. 35-44 Downloads
Lucie Samson
The persistence of European mutual fund performance pp. 45-67 Downloads
Javier Vidal-García
Modeling CAC40 volatility using ultra-high frequency data pp. 68-81 Downloads
Stavros Degiannakis and Christos Floros
The impact of board governance on director compensation in West African IPO firms pp. 82-104 Downloads
Bruce Hearn
Demand for debt and equity before and after the financial crisis pp. 105-117 Downloads
Ciarán Mac an Bhaird
Exploring the causality links between financial markets and foreign direct investment in Africa pp. 118-134 Downloads
Elikplimi Agbloyor, Joshua Abor, Charles Adjasi and Alfred Yawson
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