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 22, issue 3, 2008
- Testing stock market linkages for Poland and Hungary: A multivariate GARCH approach pp. 247-266

- Hong Li and Ewa Majerowska
- Regime-switching volatility of six East Asian emerging markets pp. 267-283

- Ping Wang and Mike Theobald
- The choice of maturity and additional covenants in debt contracts: A panel data approach pp. 284-300

- Maria Correia
- Estimating the technical and scale efficiency of Greek commercial banks: The impact of credit risk, off-balance sheet activities, and international operations pp. 301-318

- Fotios Pasiouras
- Contrarian strategy and overreaction in foreign exchange markets pp. 319-324

- George S. Parikakis and Theodore Syriopoulos
- A re-examination of the index effect: Gambling on additions to and deletions from the S&P 500's [`]gold seal' pp. 325-350

- Konstantina Kappou, Chris Brooks and Charles Ward
- Further evidence on the efficiency of the Chinese stock markets: A note pp. 351-361

- Suzanne G.M. Fifield and Juliana Jetty
- Financial liberalization and changes in the dynamic behaviour of emerging market volatility: Evidence from four Latin American equity markets pp. 362-377

- Panayiotis F. Diamandis
- The reaction of the Australian financial markets to the interest rate news from the Reserve Bank of Australia and the U.S. Fed pp. 378-395

- Suk-Joong Kim and Tho Nguyen
- The informational efficiency and the financial crashes pp. 396-408

- Wiston Adrián Risso
- Internal capital networks as a source of MNC competitive advantage: Evidence from foreign subsidiary capital structure decisions pp. 409-439

- Raj Aggarwal and NyoNyo A. Kyaw
Volume 22, issue 2, 2008
- Russian transnationals and international investment paradigms pp. 85-107

- Kalman Kalotay
- Adoption of new technology and joint venture instability pp. 108-123

- Tarun Kabiraj and Prabal Roy Chowdhury
- Financial integration, information and communication technology, and macroeconomic volatility: Evidence from ten Asian economies pp. 124-144

- Kwan Wai Ko
- Impact of futures on comovements for UK cross-listed equities pp. 145-161

- Athanasios Koulakiotis, Constantinos Katrakilidis and Dionysios Chionis
- An investigation of the benefits of portfolio investment in Central and Eastern European stock markets pp. 162-174

- C.A.J. Middleton, S.G.M. Fifield and D.M. Power
- Characterizing international competitiveness in international business research: A MASI approach to national competitiveness pp. 175-192

- Dong-Sung Cho, Hwy-Chang Moon and Min-Young Kim
- The euro and pound volatility dynamics: An investigation from conditional jump process pp. 193-207

- Jer-Yuh Wan and Chung-Wei Kao
- The financing decisions of innovative firms pp. 208-221

- Peter D. Casson, Roderick Martin and Tahir M. Nisar
- The dynamics among G7 government bond and equity markets and the implications for international capital market diversification pp. 222-245

- Kenneth L. Smith and Peggy E. Swanson
Volume 22, issue 1, 2008
- The underpricing of gold mining initial public offerings pp. 1-16

- Bill Dimovski and Robert Brooks
- FDI chaos and control in China pp. 17-28

- WeiGuo Xu, DaiPing Hu, AiZhong Lei and HuiZhang Shen
- Religious freedom, religious diversity, and Japanese foreign direct investment pp. 29-39

- Eric Dolansky and Ilan Alon
- Economic and financial themes in Australian aged care pp. 40-55

- Warren Hogan
- A 10-year retrospective on the determinants of Russian stock returns pp. 56-67

- Stanislav Anatolyev
- Analysing the wealth effects of UK divestitures: An examination of domestic and international sales pp. 68-84

- Jack Cao, Sian Owen and Alfred Yawson
Volume 21, issue 3, 2007
- Corporate governance and regulation in China: Openness and challenges pp. 361-365

- Jing Chi and Martin Young
- Listing regulations in China and their effect on the performance of IPOs and SOEs pp. 366-378

- Jiayong Wan and Ayse Yuce
- The influence of the degree of state ownership and the ownership concentration on the performance of listed Chinese companies pp. 379-395

- Abeyratna Gunasekarage, Kurt Hess and Hu, Amity (Jie)
- Managerial ownership and firm performance: Evidence from China's privatizations pp. 396-413

- Donghui Li, Fariborz Moshirian, Pascal Nguyen and Li-Wen Tan
- The information content of rights offerings in China pp. 414-427

- Chao Chen and Xiao Chen
- The underperformance of the growth enterprise market in Hong Kong pp. 428-446

- Pak To Chan, Fariborz Moshirian, David Ng and Eliza Wu
- Transaction cost, corporate governance and division of labor--A general equilibrium analysis of professional managers and its implication to China's practice pp. 447-468

- Ke Li
Volume 21, issue 2, 2007
- A generalization of reset options pricing formulae with stochastic interest rates pp. 119-133

- Shu Jin Li, Sheng Hong Li and Chao Sun
- A subjective assessment of approximate probabilities with a portfolio application pp. 134-160

- K. Smimou, C.R. Bector and G. Jacoby
- Testing for volatility spillover between the British pound and the euro pp. 161-174

- Kazuyuki Inagaki
- A portfolio based theory of excessive foreign borrowing and capital control in a small open economy pp. 175-187

- Sugata Marjit, Pranab Das and Samaresh Bardhan
- Assessing financial instability: The case of Brazil pp. 188-202

- Benjamin Tabak and Roberta Staub
- Intra- and inter-regional spillovers between emerging capital markets around the world pp. 203-221

- Bartosz Gebka and Dobromił Serwa
- Factors influencing the profitability of domestic and foreign commercial banks in the European Union pp. 222-237

- Fotios Pasiouras and Kyriaki Kosmidou
- Dual foreign currency markets and the role of expectations: Evidence from the Pacific Basin countries pp. 238-259

- Panayiotis F. Diamandis, Georgios Kouretas and Leonidas Zarangas
- Long memory options: LM evidence and simulations pp. 260-280

- Sutthisit Jamdee and Cornelis Los
- Contagion effect in financial markets after the South-East Asia Tsunami pp. 281-296

- Hsien-Yi Lee, Hsing-Chi Wu and Yung-Jang Wang
- Stock markets, banks, and economic growth: Empirical evidence from the MENA region pp. 297-315

- Sami Ben Naceur and Samir Ghazouani
- A power GARCH examination of the gold market pp. 316-325

- Edel Tully and Brian Lucey
- Systematic risk, and oil price and exchange rate sensitivities in Asia-Pacific stock markets pp. 326-341

- Mohan Nandha and Shawkat Hammoudeh
- International investment patterns: Evidence using a new dataset pp. 342-360

- Anil Mishra
Volume 21, issue 1, 2007
- Financial factors in foreign direct investments: A dynamic analysis of international data pp. 1-18

- Jongmoo Jay Choi and Bang Jeon
- Foreign affiliates of the world largest financial groups: Locations and governance pp. 19-31

- J. Francois Outreville
- Corporate governance or globalization: What determines CEO compensation in China? pp. 32-49

- Donghui Li, Fariborz Moshirian, Pascal Nguyen and Liwen Tan
- The role of regulatory capital in international bank mergers and acquisitions pp. 50-68

- Emil Valkanov and Stefanie Kleimeier
- The appraisal of ordinary shares by Saudi investors pp. 69-86

- K.A. Al-Abdulqader, G. Hannah and D.M. Power
- Day of the week effect on foreign exchange market volatility: Evidence from Turkey pp. 87-97

- Hakan Berument, M. Nejat Coskun and Afsin Sahin
- Market integration and currency risk in Asian emerging markets pp. 98-117

- Chu-Sheng Tai
| |