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.
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Volume 24, issue 3, 2010
- Market structure and microstructure, in international interest rate futures markets pp. 253-266

- Frank McGroarty, Owain ap Gwilym and Steve Thomas
- A new value-weighted total return index for the Finnish stock market pp. 267-283

- Peter Nyberg and Mika Vaihekoski
- Efficiency tests of foreign exchange markets for four Asian Countries pp. 284-294

- Shu-Mei Chiang, Yen-Hsien Lee, Hsin-Mei Su and Yi-Pin Tzou
- Capital structure in an emerging stock market: The case of India pp. 295-314

- Indrani Chakraborty
- Market discipline and the evaluation of Euro financial bonds--An empirical analysis pp. 315-328

- Klaus-Michael Menz
- Intraday volatility and periodicity in the Malaysian stock returns pp. 329-343

- Mohd Nizal Haniff and Wee Ching Pok
- The under-pricing of IPOs in the Gulf cooperation council countries pp. 344-360

- Abdullah Al-Hassan, Fernando Delgado and Mohammed Omran
Volume 24, issue 2, 2010
- Dynamic relationship between exchange rate and stock price: Evidence from China pp. 103-112

- Hua Zhao
- Mean reversion in stock market prices: New evidence based on bull and bear markets pp. 113-122

- Juncal Cuñado, Luis Gil-Alana and Fernando Perez de Gracia
- Belief updating, debt pricing and financial decisions under asymmetric information pp. 123-137

- Ruxing Xu and Shenghong Li
- Country risk and financial integration--A case study of South Africa pp. 138-145

- Cathy S. Goldberg and John M. Veitch
- Does volume help in predicting stock returns? An analysis of the Australian market pp. 146-157

- Emawtee Bissoondoyal-Bheenick and Robert Brooks
- Testing for intraday interdependence and volatility spillover among the euro, the pound and the Swiss franc markets pp. 158-171

- Yoshihiro Kitamura
- Firm-level analysis of the international diversification of small integrated stock markets: Ireland 1999-2007 pp. 172-189

- Jenny Berrill
- The effect of board composition on the informativeness and quality of annual earnings: Empirical evidence from Greece pp. 190-205

- Panagiotis E. Dimitropoulos and Dimitrios Asteriou
- Exposure to the world and trading-bloc risks: A multivariate capital asset pricing model pp. 206-222

- Chee-Wooi Hooy and Kim-Leng Goh
- Do private firm valuations contain incremental information content over routine analyst valuations? pp. 223-234

- Ilanit Gavious and Yisrael Parmet
- Stock market integration and volatility spillover: India and its major Asian counterparts pp. 235-251

- Kedar Mukherjee and Ram Kumar Mishra
Volume 24, issue 1, 2010
- Voluntary IAS 1 accounting disclosures prior to official IAS adoption: An empirical investigation of UK firms pp. 1-14

- George Iatridis and Styliani Valahi
- Testing for capital mobility: New evidence from a panel of G7 countries pp. 15-23

- Paresh Narayan and Seema Narayan
- Corporate performance, managerial ownership and endogeneity: A simultaneous equations analysis for the Athens stock exchange pp. 24-38

- A.A. Drakos and F.V. Bekiris
- The prediction of bank acquisition targets with discriminant and logit analyses: Methodological issues and empirical evidence pp. 39-61

- Fotios Pasiouras and Sailesh Tanna
- Model specification and IPO performance: New insights from Asia pp. 62-74

- Fariborz Moshirian, David Ng and Eliza Wu
- Turn-of-the-month and intramonth effects in government bond markets: Is there a role for macroeconomic news? pp. 75-81

- Einari Jalonen, Sami Vähämaa and Janne Äijö
- Intraday periodicity, calendar and announcement effects in Euro exchange rate volatility pp. 82-101

- Kevin P. Evans and Alan E.H. Speight
Volume 23, issue 3, 2009
- Are share prices still too high? pp. 223-232

- David G. McMillan
- Financial constraints and continental business groups: Evidence from German Konzerns pp. 233-242

- Yuriy Gorodnichenko, Dorothea Schaefer and Oleksandr Talavera
- International linkage of the Russian market and the Russian financial crisis: A multivariate GARCH analysis pp. 243-256

- Kashif Saleem
- Investment bank reputation and shareholder wealth effects in mergers and acquisitions pp. 257-273

- Dirk Schiereck, Christof Sigl-Grüb and Jan Unverhau
- The behavior of stock returns in the mining industry following the Iraq war pp. 274-292

- Viviana Fernandez
- Test of the J-curve for the DR-CAFTA countries and policy implications pp. 293-301

- Yu Hsing
- The current account and stock returns pp. 302-321

- Yoshihiro Kitamura
- Random walk and efficiency tests in the Asia-Pacific foreign exchange markets: Evidence from the post-Asian currency crisis data pp. 322-338

- A.S.M. Azad
- Financial markets and economic performances: Empirical evidence from five industrialized economies pp. 339-348

- Sisira R.N. Colombage
- Explanatory factors of the inflation news impact on stock returns by sector: The Spanish case pp. 349-368

- Antonio Díaz and Francisco Jareño
- An empirical study of equity agency costs and internationalization: Evidence from Taiwanese firms pp. 369-382

- Yi-Chein Chiang and Chun-Lein Ko
Volume 23, issue 2, 2009
- Innovation and internationalisation pp. 117-119

- Louis Brennan
- The role of knowledge in internationalization pp. 120-133

- L. Brennan and D. Garvey
- From collective learning to Silicon Valley replication: The limits to synergistic entrepreneurship in Sophia Antipolis pp. 134-143

- Robert Isaak
- Innovative methods in assessing political risk for business internationalization pp. 144-156

- Ruth Rios-Morales, Dragan Gamberger, Tom Smuc and Francisco Azuaje
- Ireland's innovative governmental policies promoting internationalisation pp. 157-168

- Ruth Rios-Morales and Louis Brennan
- Internationalization, product development and performance outcomes: A comparative study of 10 countries pp. 169-180

- Paul Hong and James Roh
- A cultural perspective on innovation in international manufacturing pp. 181-192

- Alessandra Vecchi and Louis Brennan
- International innovation and strategic initiatives: A research agenda pp. 193-205

- Marcus M. Keupp and Oliver Gassmann
- Why do transnational approaches to international innovation fail? pp. 206-222

- Marcus Matthias Keupp and Oliver Gassmann
Volume 23, issue 1, 2009
- An empirical analysis of Mexican and US closed-end mutual fund IPOs pp. 1-17

- James C. Brau and Javier Rodríguez
- Mapping global money laundering trends: Lessons from the pace setters pp. 18-30

- Santha Vaithilingam and Mahendhiran Nair
- R&D intensity for innovative and adaptive purposes in overseas subsidiaries: Evidence from Japanese multinational enterprises pp. 31-45

- Yasuyuki Todo and Satoshi Shimizutani
- Dynamic linkages between the center and periphery in international stock markets pp. 46-53

- Zeynel Ozdemir, Hasan Olgun and Bedriye Saracoglu
- Determinants of bank efficiency during unstable macroeconomic environment: Empirical evidence from Malaysia pp. 54-77

- Fadzlan Sufian
- Structural changes in foreign investors' trading behavior and the corresponding impact on Taiwan's stock market pp. 78-89

- Cho-Min Lin, Yen-Hsien Lee and Chien-Liang Chiu
- International financial integration in Asian bond markets pp. 90-106

- Xuan Vinh Vo
- Portfolio optimization with CVaR under VG process pp. 107-116

- Jinping Yu, Xiaofeng Yang and Shenghong Li
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