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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 27, issue 1, 2013

The autumn effect of gold pp. 1-11 Downloads
Dirk Baur
Cost of entrepreneurial capital and under-diversification: A Euro-Mediterranean perspective pp. 12-27 Downloads
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 Downloads
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 Downloads
Bruce Hearn
Portfolio analysis of intraday covariance matrix in the Greek equity market pp. 66-79 Downloads
Dimitrios Vortelinos
The effect of conference calls on equity incentives: An empirical investigation pp. 80-91 Downloads
Adamos Vlittis and Melita Charitou
How do bond investors perceive dividend payouts? pp. 92-105 Downloads
Ike Mathur, Manohar Singh, Ali Nejadmalayeri and Pornsit Jiraporn
Innovation capacities in advanced economies: Relative performance of small open economies pp. 106-123 Downloads
Eleanor Doyle and O’Connor, Fergal
Similar GDP-inflation cycles. An application to CEE countries and the euro area pp. 124-144 Downloads
Corrado Macchiarelli
Are firms from developed markets more international than firms from emerging markets? pp. 147-161 Downloads
Jenny Berrill and Giancarlo Mannella
The determinants of director remuneration, executive tenure and individual executive disclosure in North African IPO firms pp. 162-182 Downloads
Bruce Hearn
Does stock market development always improve firm-level financing? Evidence from Tunisia pp. 183-208 Downloads
Thomas Lagoarde-Segot
Hedging inflation risk in a developing economy: The case of Brazil pp. 209-222 Downloads
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 Downloads
Edda Claus and Brian Lucey
Return spread and liquidity: Evidence from Hong Kong ADRs pp. 164-180 Downloads
Malay K. Dey and Chaoyan Wang
Financial integration of GCC banking markets: A non-parametric bootstrap DEA estimation approach pp. 181-195 Downloads
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 Downloads
Yener Kandogan
Terrorist attacks and company financial numbers: Evidence on earnings management and value relevance from Madrid, London and Istanbul pp. 204-220 Downloads
George Iatridis
Globalizations and bank performance in China pp. 221-239 Downloads
Fadzlan Sufian and Muzafar Shah Habibullah
EU enlargement and the evolution of European production networks pp. 240-257 Downloads
Louise Curran and Soledad Zignago
Financial market development and the effectiveness of R&D investment: Evidence from developed and emerging countries pp. 258-272 Downloads
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 Downloads
Abdulnasser Hatemi-J
The underpricing of IPOs on the Stock Exchange of Mauritius pp. 281-303 Downloads
Ushad Subadar Agathee, Raja Vinesh Sannassee and Chris Brooks
Diversification revisited pp. 304-316 Downloads
Kris Kemper, Allissa Lee and Betty Simkins
Efficiency evaluation of Greek equity funds pp. 317-333 Downloads
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 Downloads
Cetin Ciner
Do regulatory policies affect the flow of information in emerging markets? pp. 238-254 Downloads
Hisham Farag and Robert Cressy
Explaining underpricing of IPOs in frontier markets: Evidence from the Nigeria Stock Exchange pp. 255-265 Downloads
Charles Adjasi, Kofi A. Osei and Eme U. Fiawoyife
Currency risk exposure of Chinese corporations pp. 266-276 Downloads
Raj Aggarwal, Xiaoying Chen and Jasmine Yur-Austin
Explaining returns on venture capital backed companies: Evidence from Belgium pp. 277-295 Downloads
Yan Alperovych and Georges Hübner
Equity market integration in emerging Balkan markets pp. 296-307 Downloads
Dimitris Kenourgios and Aristeidis Samitas
Asset pricing and foreign exchange risk pp. 308-328 Downloads
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 Downloads
Abdulnasser Hatemi-J and Manuchehr Irandoust
Do ETFs provide effective international diversification? pp. 335-344 Downloads
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 Downloads
Heitham Al-Hajieh, Keith Redhead and Timothy Rodgers
The internationalization of Chinese companies: Firm characteristics, industry effects and corporate governance pp. 357-372 Downloads
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 Downloads
Mohsen Bahmani-Oskooee and Hanafiah Harvey
Economic conditions and the motives for multiple open-market share buybacks pp. 156-168 Downloads
Damien Farrugia, Michael Graham and Alfred Yawson
The political economy of corporate governance in developing economies: The case of Bangladesh pp. 169-182 Downloads
Faizul Haque, Thankom Arun and Colin Kirkpatrick
Intraday trading volume and international spillover effects pp. 183-194 Downloads
Syed Mujahid Hussain
The Feldstein-Horioka puzzle in the presence of structural shifts: The case of Japan versus the USA pp. 195-202 Downloads
Adnan Guzel and Zeynel Ozdemir
Comparative analysis on the effects of the Asian and global financial crises on precious metal markets pp. 203-227 Downloads
Lucía Morales and Bernadette Andreosso-O'Callaghan

Volume 25, issue 1, 2011

GARCH modelling of banking integration in the Eurozone pp. 1-10 Downloads
George Alexandrou, Athanasios Koulakiotis and Apostolos Dasilas
Financial contagion: A local correlation analysis pp. 11-25 Downloads
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 Downloads
Karligash Kenjegalieva and Richard Simper
Foreign direct investment and trade: The case of Vietnam pp. 39-52 Downloads
Sajid Anwar and Lan Phi Nguyen
Global trends in real risk free rates pp. 53-63 Downloads
Hui He and Peter Locke
Correlation dynamics in equity markets: evidence from India pp. 64-74 Downloads
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 Downloads
Ottorino Morresi and Alberto Pezzi
Transition to the Euro and its impact on country portfolio diversification pp. 88-103 Downloads
K. Smimou
Does bancassurance add value for banks? - Evidence from mergers and acquisitions between European banks and insurance companies pp. 104-112 Downloads
Zhian Chen and Jianzhong Tan
The effects of bank relationships on firm private debt restructuring: Evidence from an emerging market pp. 113-125 Downloads
Jiang-Chuan Huang and Chin-Sheng Huang
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