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.
Is something missing from the series or not right? See the RePEc data check for the archive and series.
Volume 27, issue 1, 2013
- The autumn effect of gold pp. 1-11

- Dirk Baur
- Cost of entrepreneurial capital and under-diversification: A Euro-Mediterranean perspective pp. 12-27

- Pierpaolo Pattitoni, Barbara Petracci, Valerio Potì and Massimo Spisni
- On the determinants of SME capital structure in Central and Eastern Europe: A dynamic panel analysis pp. 28-51

- Miroslav Mateev, Panikkos Poutziouris and Konstantin Ivanov
- The institutional determinants of IPO firm prospectus length in a developing context: A research note pp. 52-65

- Bruce Hearn
- Portfolio analysis of intraday covariance matrix in the Greek equity market pp. 66-79

- Dimitrios Vortelinos
- The effect of conference calls on equity incentives: An empirical investigation pp. 80-91

- Adamos Vlittis and Melita Charitou
- How do bond investors perceive dividend payouts? pp. 92-105

- Ike Mathur, Manohar Singh, Ali Nejadmalayeri and Pornsit Jiraporn
- Innovation capacities in advanced economies: Relative performance of small open economies pp. 106-123

- Eleanor Doyle and O’Connor, Fergal
- Similar GDP-inflation cycles. An application to CEE countries and the euro area pp. 124-144

- Corrado Macchiarelli
- Are firms from developed markets more international than firms from emerging markets? pp. 147-161

- Jenny Berrill and Giancarlo Mannella
- The determinants of director remuneration, executive tenure and individual executive disclosure in North African IPO firms pp. 162-182

- Bruce Hearn
- Does stock market development always improve firm-level financing? Evidence from Tunisia pp. 183-208

- Thomas Lagoarde-Segot
- Hedging inflation risk in a developing economy: The case of Brazil pp. 209-222

- Marie Brière and Ombretta Signori
Volume 26, issue 2, 2012
- Equity market integration in the Asia Pacific region: Evidence from discount factors pp. 137-163

- Edda Claus and Brian Lucey
- Return spread and liquidity: Evidence from Hong Kong ADRs pp. 164-180

- Malay K. Dey and Chaoyan Wang
- Financial integration of GCC banking markets: A non-parametric bootstrap DEA estimation approach pp. 181-195

- Aktham Maghyereh and Basel Awartani
- An improvement to Kogut and Singh measure of cultural distance considering the relationship among different dimensions of culture pp. 196-203

- Yener Kandogan
- Terrorist attacks and company financial numbers: Evidence on earnings management and value relevance from Madrid, London and Istanbul pp. 204-220

- George Iatridis
- Globalizations and bank performance in China pp. 221-239

- Fadzlan Sufian and Muzafar Shah Habibullah
- EU enlargement and the evolution of European production networks pp. 240-257

- Louise Curran and Soledad Zignago
- Financial market development and the effectiveness of R&D investment: Evidence from developed and emerging countries pp. 258-272

- Reza H. Chowdhury and Min Maung
- Is the UAE stock market integrated with the USA stock market? New evidence from asymmetric causality testing pp. 273-280

- Abdulnasser Hatemi-J
- The underpricing of IPOs on the Stock Exchange of Mauritius pp. 281-303

- Ushad Subadar Agathee, Raja Vinesh Sannassee and Chris Brooks
- Diversification revisited pp. 304-316

- Kris Kemper, Allissa Lee and Betty Simkins
- Efficiency evaluation of Greek equity funds pp. 317-333

- Vassilios Babalos, Guglielmo Maria Caporale and Nikolaos Philippas
Volume 25, issue 3, 2011
- Commodity prices and inflation: Testing in the frequency domain pp. 229-237

- Cetin Ciner
- Do regulatory policies affect the flow of information in emerging markets? pp. 238-254

- Hisham Farag and Robert Cressy
- Explaining underpricing of IPOs in frontier markets: Evidence from the Nigeria Stock Exchange pp. 255-265

- Charles Adjasi, Kofi A. Osei and Eme U. Fiawoyife
- Currency risk exposure of Chinese corporations pp. 266-276

- Raj Aggarwal, Xiaoying Chen and Jasmine Yur-Austin
- Explaining returns on venture capital backed companies: Evidence from Belgium pp. 277-295

- Yan Alperovych and Georges Hübner
- Equity market integration in emerging Balkan markets pp. 296-307

- Dimitris Kenourgios and Aristeidis Samitas
- Asset pricing and foreign exchange risk pp. 308-328

- Nicholas Apergis, Panagiotis Artikis and John Sorros
- The dynamic interaction between volatility and returns in the US stock market using leveraged bootstrap simulations pp. 329-334

- Abdulnasser Hatemi-J and Manuchehr Irandoust
- Do ETFs provide effective international diversification? pp. 335-344

- Mei-Yueh Huang and Jun-Biao Lin
- Investor sentiment and calendar anomaly effects: A case study of the impact of Ramadan on Islamic Middle Eastern markets pp. 345-356

- Heitham Al-Hajieh, Keith Redhead and Timothy Rodgers
- The internationalization of Chinese companies: Firm characteristics, industry effects and corporate governance pp. 357-372

- Gerhard Kling and Utz Weitzel
Volume 25, issue 2, 2011
- Exchange-rate volatility and industry trade between the U.S. and Malaysia pp. 127-155

- Mohsen Bahmani-Oskooee and Hanafiah Harvey
- Economic conditions and the motives for multiple open-market share buybacks pp. 156-168

- Damien Farrugia, Michael Graham and Alfred Yawson
- The political economy of corporate governance in developing economies: The case of Bangladesh pp. 169-182

- Faizul Haque, Thankom Arun and Colin Kirkpatrick
- Intraday trading volume and international spillover effects pp. 183-194

- Syed Mujahid Hussain
- The Feldstein-Horioka puzzle in the presence of structural shifts: The case of Japan versus the USA pp. 195-202

- Adnan Guzel and Zeynel Ozdemir
- Comparative analysis on the effects of the Asian and global financial crises on precious metal markets pp. 203-227

- Lucía Morales and Bernadette Andreosso-O'Callaghan
Volume 25, issue 1, 2011
- GARCH modelling of banking integration in the Eurozone pp. 1-10

- George Alexandrou, Athanasios Koulakiotis and Apostolos Dasilas
- Financial contagion: A local correlation analysis pp. 11-25

- A. Can Inci, H.C. Li and Joseph McCarthy
- A productivity analysis of Central and Eastern European banking taking into account risk decomposition and environmental variables pp. 26-38

- Karligash Kenjegalieva and Richard Simper
- Foreign direct investment and trade: The case of Vietnam pp. 39-52

- Sajid Anwar and Lan Phi Nguyen
- Global trends in real risk free rates pp. 53-63

- Hui He and Peter Locke
- Correlation dynamics in equity markets: evidence from India pp. 64-74

- S. Raja Sethu Durai and Saumitra Bhaduri
- 21 years of international M&As and joint ventures by Italian medium-sized listed firms: Value creation or value destruction? pp. 75-87

- Ottorino Morresi and Alberto Pezzi
- Transition to the Euro and its impact on country portfolio diversification pp. 88-103

- K. Smimou
- Does bancassurance add value for banks? - Evidence from mergers and acquisitions between European banks and insurance companies pp. 104-112

- Zhian Chen and Jianzhong Tan
- The effects of bank relationships on firm private debt restructuring: Evidence from an emerging market pp. 113-125

- Jiang-Chuan Huang and Chin-Sheng Huang
| |