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 70, issue PB, 2024
- Information warfare: Analyzing COVID-19 news and its economic fallout in the US

- Partha Gangopadhyay, Narasingha Das, Satish Kumar and Tauhidul Tanin
- Developing a financial technology (FinTech) adoption scale: A validity and reliability study

- İsmail Durak, Sena Nur Çi̇se and Selim Yazıcı
- Fintech governance and performance: Implications for banking and financial stability

- Greta Benedetta Ferilli, Yener Altunbas, Valeria Stefanelli, Egidio Palmieri and Vittorio Boscia
- Do clean and dirty cryptocurrencies connect financial assets differently? The perspective of market inefficiency

- Kun Duan, Liya Zhang, Andrew Urquhart, Kai Yao and Long Peng
- The impact of insider ownership and institutional ownership on post-earnings-announcement-drift: Evidence from Vietnam

- Tuan Q. Ho, Y. Nguyen and Hieu Tran
- The role of investors’ fear in crude oil volatility forecasting

- Nicole Haukvik, Hamid Cheraghali and Peter Molnár
- The role of ESG performance in the nexus between economic policy uncertainty and corporate investment

- Cong Zhang, Umar Farooq, Dima Jamali and Mohammad Mahtab Alam
- Sports failures and stock returns between rationality and emotionality: Evidence from the UEFA Champions League

- Enrico Supino, Andrea Tenucci and Gianluca Di Nanna
- The impact of culture and religion on financing decisions: Moderating role of CSR

- Cong Zhang, Rashid Mehmood, Alessia Palma and Zhen Wang
- Financial inclusion, digital technology, and economic growth: Further evidence

- Siti Nurazira Mohd Daud, Abd Halim Ahmad and Irwan Trinugroho
- Does industrial relocation impact green economic efficiency? Evidence from China’s energy-intensive industries

- Chonghao Wang and Boqiang Lin
- Career aspirations and financial planning of young people in family businesses

- Ameet Kumar Banerjee, Subhendu Kumar Mishra and Ahmet Sensoy
- Navigating international competition with ESG: Insights from the US-China trade war

- Yang Xu, Wei Huang and Cherry Yi Zhang
- Market competition and strategic interaction in the Spanish FinTech industry

- David Peón, Manel Antelo and Yanfei Sun
- On the importance of asset pricing factors in the relative valuation

- Matevž Skočir and Igor Lončarski
- ESG rating disagreement and idiosyncratic return volatility: Evidence from China

- Xiangqiang Liu, Qingqing Yang, Kai Wei and Peng-Fei Dai
- Foreign trade and China’s yield curve during the COVID-19 pandemic: An analysis based on an extended arbitrage-free Nelson–Siegel model

- Zhiwu Hong, Zhenhan Wang and Xinda Li
- Short-term market impact of crypto firms’ bankruptcies on cryptocurrency markets

- António Miguel Martins
- Big data analytics, firm risk and corporate policies: Evidence from China

- Pengfei Sun, Chunhui Yuan, Xiaolong Li and Jia Di
- Is climate transition risk priced into corporate credit risk? Evidence from credit default swaps

- Andrea Ugolini, Juan Reboredo and Javier Ojea-Ferreiro
- Investment modeling between energy futures and responsible investment

- Rajat Kumar Soni, Tanuj Nandan and Ujjawal Sawarn
- IPO suspensions and labor employment decisions: Evidence from China

- Yanchun Xia, Yu Liu, Shijun Guo and Yufeng Xia
- Free riding or participation in governance: Minority shareholders’ online voting and corporate responsiveness

- Xin Cui, Lulu Wen, Kai Huang and Jiayi Li
- Digital adoption, business performance, and financial literacy in ultra-micro, micro, and small enterprises in Indonesia

- Yoga Affandi, Masagus M Ridhwan, Irwan Trinugroho and Danny Hermawan Adiwibowo
- Covenant-lite agreement and credit risk: A key relationship in the leveraged loan market

- G. De Novellis, P. Musile Tanzi and Elena Stanghellini
- Micro-angel investments of men and women: The role of institutions

- Viviana Fernandez
- Financial inclusion and the informal sector

- Freddy Rojas Cama, Noha Emara and Mohamed Trabelsi
- Measuring digitalization capabilities using machine learning

- Jinglan Yang, Jianghuai Liu, Zheng Yao and Chaoqun Ma
- Evaluating asset pricing anomalies: Evidence from Latin America

- Luis Berggrun, Emilio Cardona and Edmundo Lizarzaburu
- How does the cross-border M&A network affect digital innovation? Empirical evidence from Chinese listed companies

- Yibing Ding, Jing Li, Yang Song and Jean-Michel Sahut
- Placebo in the random walk of stock price: Momentum effect of corporate site visits

- Jinyu Yang, Guoen Xia and Dayong Dong
- High inflation during Russia–Ukraine war and financial market interaction: Evidence from C-Vine Copula and SETAR models

- Taher Hamza, Hayet Ben Haj Hamida, Mehdi Mili and Mina Sami Ayad
- Impact of social welfare finance on institutional financial performance: Cross-country evidence

- Guohua Liu, Lihua Zhao, Xiaoyan Wang and Meihui Liao
- Commodity market stability and sustainable development: The effect of public health policies

- Shusheng Ding, Anqi Wang, Tianxiang Cui, Anna Min Du and Xinmiao Zhou
- Too scared to make mistakes at home: CEO hometown identity and corporate risk-taking

- Jing Chen, Peiwen Hu, Shan Liu and Xinghe Liu
- Rookie directors and dividend payouts: Evidence from China

- Farid Ullah, Ping Jiang, Farman Ali and Xinyi Wang
- Does religious atmosphere affect enterprise digital transformation? Evidence from China

- Yan Jiang, Jiaxin Wang and Yibo Huang
- The impact of financial risk on boilerplate of key audit matters: Evidence from China

- Qi Wang, Lin Zhang, Qianqun Ma and Chong Wu
- Revisiting the interdependences across global base metal futures markets: Evidence during the main waves of the COVID-19 pandemic

- Xiangyu Chen and Jittima Tongurai
- The impact of banks’ climate engagement on systemic risk. Does committing a little or a lot make a difference?

- Giuliana Birindelli, Dell’Atti, Stefano, Caterina Di Tommaso, Antonia Patrizia Iannuzzi and Vincenzo Pacelli
- Refinancing risk, earnings management, and stock return

- Shu-Feng Wang, Yura Kim, Seonmi Kim and Song, Kyojik “Roy”
- Fintech's influence on green credit provision: Empirical evidence from China’s listed banking sector

- Zuojing He, Fangting Ge, Shengxi Ban, Anna Min Du and Maura Sheehan
- Predicting the cure of a defaulted company: Nonlinear relationships between loan-related variables and the cure probability

- Christian Lohmann and Thorsten Ohliger
- Female political leaders and R&D investment

- Yuexin Guan, Wei-Fong Pan and Siyu Tang
- Credit scoring: Does XGboost outperform logistic regression?A test on Italian SMEs

- Stefano Zedda
- Tail connectedness between category-specific policy uncertainty, sovereign debt risk, and stock volatility during a high inflation period

- Yong Jiang, Nassar S. Al-Nassar, Yi-Shuai Ren, Chao-Qun Ma and Xiao-Guang Yang
- Supply chain risks and the cost of debt: Evidence from the COVID-19 pandemic

- Yanyi Ye, Hongping Wang, Kailan Tian and Meng Li
- An evolutionary analysis of the diffusion of low-carbon technology innovation in supply networks

- Junling Wang, Siyu Cheng, Xinyu Guo, Xin Xu and Zehao Wang
- Sleeping beauties in finance

- Yu-Hsiang Yang, Yao-Min Chiang and Hung-Lung Lin
- Self-restraint or external supervision: Green bond issuance and greenwashing

- Hu Wang and Hong Shen
- The knowledge domain and emerging trends in Behavioral Finance: A Scientometric Analysis

- Fatma Hachicha, Majdi Argoubi and Khaled Guesmi
- Spillover dynamics in DeFi, G7 banks, and equity markets during global crises: A TVP-VAR analysis

- Ijaz Younis, Himani Gupta, Anna Min Du, Waheed Ullah Shah and Waqas Hanif
- Dual carbon goals and renewable energy innovations

- Xuanmei Cheng, Kaite Ye, Anna Min Du, Zhenzhen Bao and Grigoria Chlomou
- Stock exchange comment letters and MD&A tone management

- Di Huo, Wei Huang, Yuting Huang, Youlin Ke and Zhe Shen
- Volatility transmission in the property market during two inflationary periods: The 2008–2009 global financial crisis and the COVID-19 crisis

- Bader M. Aljohani, Abubaker Fadul, Maram S. Asiri, Abdulrahman D. Alkhathami and Fakhrul Hasan
Volume 70, issue PA, 2024
- How would the war and the pandemic affect the stock and cryptocurrency cross-market linkages?

- Georgios Bampinas and Theodore Panagiotidis
- Unintended consequences of punishment: Adverse effects of environmental penalties on green patents

- George Zhe Tian and James Yae
- Assessing the impact of the expansion of pan-African banks and the institution’s quality on African banking stability

- Chawki El Moussawi, Stéphane Goutte, Imen Kouki and Hassan Obeid
- Financial stability: A scientometric analysis and research agenda

- Hossein Ballouk, Sami Ben Jabeur, Sandra Challita and Chaomei Chen
- Excessive financialization and “Original Sin Theory”: Redemption from corporate reputation

- Hanying Wang, Ju Qi, Zhuohua Li, Ahmet Sensoy and Hongwei Xing
- Quantile dependence and portfolio management between oil, gold, silver, and MENA stock markets

- Walid Mensi, Tapas Mishra, Hee-Un Ko, Xuan Vinh Vo and Sang Hoon Kang
- The use and drivers of organisational eco-innovation in European SMEs

- Laura Rodríguez-Rebés, Raquel Ibar-Alonso, Luis Manuel Ruíz Gómez and Julio Navío-Marco
- Extreme Connectedness Across Chinese Stock and Commodity Futures Markets

- Walid Mensi, Farzaneh Ahmadian-Yazdi, Sami Al-Kharusi, Soheil Roudari and Sang Hoon Kang
- Redefining insurance through technology: Achievements and perspectives in Insurtech

- Simona Cosma and Giuseppe Rimo
- On the resilience of cryptocurrencies: A quantile-frequency analysis of bitcoin and ethereum reactions in times of inflation and financial instability

- Brahim Gaies, Najeh Chaâbane, Nadia Arfaoui and Jean-Michel Sahut
- Impact of environmental, social and governance initiatives on firm value: Analysis using AI-based ESG scores for Japanese listed firms

- Zhixiong Chen, Kohei Sugiyama, Kazuyuki Tasaka, Tomomi Kito and Yukihiro Yasuda
- Exploring the use of emotional sentiment to understanding market response to unexpected corporate pivots

- Iulia Cioroianu, Shaen Corbet, Hou, Yang (Greg), Yang Hu, Charles Larkin and Richard Taffler
- ESG resilience: Exploring the non-linear effects of ESG performance on firms sustainable growth

- Tanveer Bagh, Bingjun Zhou, Suha Mahmoud Alawi and Rauf I Azam
- Does board diversity mitigate risk? The effect of homophily and social ties on risk-taking in financial institutions

- Noora Alzayed, Bernardo Batiz-Lazo and Rasol Eskandari
- Environmental regulations, agency costs, and firm performance

- Mufaddal Baxamusa and Abu Jalal
- Price effects after one-day abnormal returns and crises in the stock markets

- Alex Plastun, Xolani Sibande, Rangan Gupta and Qiang Ji
- Governance network externality: Exploring systemic risk generation mechanisms

- Songlin Guo, Weilu Sun, Yue Xi and Bijia Zhang
- The impact of readability of risk disclosures in bond prospectuses on credit risk premium

- Yanzhen Yao, Lu Wei, Haozhe Jing, Meiqi Chen and Zhan Li
- Information infrastructure construction and firm export performance in China

- Kuo Zhou, Qiaochu Wang, Yunqing Tao and Xiaofan Li
- ESG disclosure and investment-financing maturity mismatch: Evidence from China

- Fan Zhang, Xiaobing Lai and Chong Guo
- Deciphering asymmetric spillovers in US industries: Insights from higher-order moments

- Muhammad Shafiullah, Arunachalam Senthilkumar, Brian Lucey and Muhammad Abubakr Naeem
- What explains the recovery speed of financial markets from banking crises?

- Xun Huang and Chengzhao Zhang
- Critical dimensions in the empirical measurement of common shareholding

- Nicoletta Rosati, Pietro Bomprezzi and Maria Martinez Cillero
- The effect of the 2008–09 short selling sales ban on UK security equities in relation to market metrics of volatility, liquidity, and price discovery

- Harihar Patel and Francesco Guidi
- Potential risks in the easy market access: A perspective from corporate asset-debt maturity mismatch

- Mingsheng Hu and Bowen Li
- Return connectedness of green bonds and financial investment channels in China: Implications for hedging and regulation

- Danyang Xu, Yang Hu, Shaen Corbet and Chunlin Lang
- External financing sensitivities and inefficient R&D investment: Evidence from China

- Sheng-Hsiung Chiu, Tzu-Yu Lin and Lu Pan
- The effect of executive team heterogeneity on firms’ total factors of production: Evidence from China

- Xiaozhi Huang and Yuanhu Yao
- Does market quality benefit from internationalization? Evidence from Chinese commodity futures markets

- Tao Xiong and Miao Li
- Anticipatory gains and event-driven losses in blockchain-based fan tokens: Evidence from the FIFA World Cup

- Aman Saggu, Lennart Ante and Ender Demir
- Bank equity returns and oil prices: The story from U.S. regional banks during the “shale oil” revolution

- André V. Mollick, Robert N. Killins, Peter V. Egly and David W. Johnk
- Do media message receivers asymmetrically react to non-strategic and strategic media coverage? Evidence from Hong Kong

- Michael K. Fung, Louis T.W. Cheng and Jianfu Shen
- S&P 500 stock selection using machine learning classifiers: A look into the changing role of factors

- Antonio Caparrini, Javier Arroyo and Jordi Escayola Mansilla
- Estimating time-varying factors’ variance in the string-term structure model with stochastic volatility

- Thiago Ramos Almeida
- Bitcoin Ordinals: Determinants and impact on total transaction fees

- Louis Bertucci
- Assessing the connectedness between cryptocurrency environment attention index and green cryptos, energy cryptos, and green financial assets

- Ritesh Patel, Mariya Gubareva and Muhammad Zubair Chishti
- Peer effects with multifaceted network dependence structures in R&D investment decisions: Evidence from Chinese listed firms

- Yanli Zhu, Li Yin and Xueyan Lu
- Economic growth and environmental sustainability in developing economies

- Ahmed Hunjra, Elie Bouri, Muhammad Azam, Rauf I Azam and Jiapeng Dai
- Unpacking energy consumption in China's urbanization: Industry development, population growth, and spatial expansion

- Xiang Yan, Boqing Xin, Changgao Cheng and Zhiyong Han
- Under the dome: Air pollution and analyst forecast optimism

- Ying Wang and Zisen Liu
- Impression management in bilingual corporate reporting: An analysis of textual characteristics in Spanish and English

- Alonso Moreno
- Does market microstructure affect time-varying efficiency? Evidence from emerging markets

- Bahrawar Said, Muhammad Wajid Raza and Ahmed Elshahat
- Network centrality, style drift, and mutual fund performance

- Li Yi, Li Xiao and Yinkai Liao
- Is the military CEO aggressive or conservative? Differences in legal and cultural factors around the world

- Siew-Boey Yeoh and Chee-Wooi Hooy
- The performance of green bond portfolios under climate uncertainty: A comparative analysis with conventional and black bond portfolios

- Florinda Silva, André Ferreira and Maria Céu Cortez
- Measuring Chinese MNE activity: The challenge of corporate inversions and capital in transit related FDI

- John Anderson, Dylan Sutherland and Jamie Hurst
- How can green finance promote the transformation of China's economic growth momentum? A perspective from internal structures of green total-factor productivity

- Chao Feng, Siqi Zhong and Miao Wang
- Winners and losers from financial sector openness: A Firm’s international exposure matters

- Haoyuan Ding, Yuying Jin, Zeyang Jin and Guangyu Nie
- Readability and banks’ risk-taking behavior: Evidence from GCC

- Bassam M. Abu-Abbas and Mostafa K. Hassan
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