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 20, issue 3, 2006
- Information transmission between the Gulf equity markets of Saudi Arabia and Bahrain pp. 276-285

- Abraham Abraham and Fazal J. Seyyed
- Dependence and mean reversion in stock prices: The case of the MENA region pp. 286-304

- A. Assaf
- Correlation dynamics in European equity markets pp. 305-321

- Colm Kearney and Valerio Potì
- Conditional risk, return and contagion in the banking sector in asia pp. 322-339

- T.J. Brailsford, Shu Ling Lin and Jack H.W. Penm
- Empirical evidence on the use, size and cost of executive options schemes in Australia pp. 340-347

- Tyrone M. Carlin and Guy Ford
- Timing and selectivity in Portuguese mutual fund performance pp. 348-368

- Joao Carlos Romacho and Maria Ceu Cortez
Volume 20, issue 2, 2006
- Beyond the euro area: An introduction pp. 127-130

- Lucio Vinhas de Souza
- How much control does Bank of Russia have over money supply? pp. 131-144

- Yulia Vymyatnina
- Monetary policy rules and their application in Russia pp. 145-162

- Anna G. Vdovichenko and Victoria G. Voronina
- Does inflation or currency depreciation drive monetary policy in Russia? pp. 163-179

- Brigitte Granville and Sushanta Mallick
- Evidence on the bank-lending channel in Ukraine pp. 180-199

- Inna Golodniuk
- Money demand and inflation in Belarus: Evidence from cointegrated VAR pp. 200-214

- Igor Pelipas
- A note on exchange rate pass-through in CIS countries pp. 215-226

- Iikka Korhonen and Paul Wachtel
- How likely are macroeconomic crises in the CIS? pp. 227-238

- Christian Bauer, Bernhard Herz and Volker Karb
- Linking financial soundness and independence of central banks--Central and Eastern Europe, Turkey and CIS countries pp. 239-255

- Franziska Schobert
- Coordination of fiscal and monetary policy in CIS-countries: A theory of optimum fiscal area? pp. 256-274

- Bodo Herzog
Volume 20, issue 1, 2006
- Using GMM to flatten the option volatility smile pp. 1-21

- Tom Arnold
- Behavior of GCC stock markets and impacts of US oil and financial markets pp. 22-44

- Shawkat Hammoudeh and Kyongwook Choi
- An investigation of bond term premia in international government bond indices pp. 45-61

- George Halkos and Stephanos Papadamou
- Investigating the determinants of the Wednesday seasonal in Irish Equities pp. 62-76

- Brian Lucey
- Is currency union a feasible option in East Asia?: A multivariate structural VAR approach pp. 77-94

- Ying Huang and Feng Guo
- Structural breaks and long memory in US inflation rates: Do they matter for forecasting? pp. 95-110

- Namwon Hyung, Philip Hans Franses and Jack Penm
- The internationalization efforts of lithuanian manufacturing firms--strategy or luck? pp. 111-126

- Audra Mockaitis, Erika Vaiginiene and Vincentas Giedraitis
Volume 19, issue 3, 2005
- Bond elasticity under liquidation risk pp. 351-364

- Gady Jacoby and Ilona Shiller
- Tourism and economic development in a cash-in-advance economy pp. 365-373

- Chi-Chur Chao, Bharat Hazari and Pasquale Sgro
- Seasonality in stock returns and volatility: The Ramadan effect pp. 374-383

- Fazal J. Seyyed, Abraham Abraham and Mohsen Al-Hajji
- Is technical analysis profitable on a stock market which has characteristics that suggest it may be inefficient? pp. 384-398

- Ben Marshall and Rochester H. Cahan
- Is smarter better? A comparison of adaptive, and simple moving average trading strategies pp. 399-411

- Craig A. Ellis and Simon A. Parbery
- ISO system implementation in small and medium companies from new EU member countries: A tool of managerial and marketing benefits development pp. 412-426

- Sigitas Urbonavicius
Volume 19, issue 2, 2005
- The race to EU integration: How many and how high are the hurdles? pp. 195-199

- Audra Mockaitis
- Corporate income taxation in Lithuania in the context of the EU pp. 200-228

- Alge Budryte
- The European economy at the cross roads: Structural reforms, fiscal constraints, and the Lisbon Agenda pp. 229-250

- Andrew Hughes Hallett, Svend E. Hougaard Jensen and Christian Richter
- Sectoral linkages of foreign direct investment firms to the Czech economy pp. 251-265

- Eva Kippenberg
- Contribution rates to funded pension systems in the new member countries pp. 266-280

- Jan Kubicek
- Inflation dynamics and nominal adjustment in the Baltic States pp. 281-303

- Jaan Masso and Karsten Staehr
- Analysis of foreign investment impact on the dynamics of national capitalization structure: A computational intelligence approach pp. 304-332

- Darius Plikynas, Leonidas Sakalauskas and Alina Poliakova
- Former Soviet Union as the World champion in cheapness pp. 333-349

- Jaanus Raim
Volume 19, issue 1, 2005
- Merger arbitrage and the interaction between target and bidder stocks during takeover bids pp. 1-26

- Elaine Hutson and Colm Kearney
- The benefits and costs of controlling shareholders: the rise and fall of Parmalat pp. 27-52

- Bonnie Buchanan and Tina Yang
- A new daily dividend-adjusted index for the Danish stock market, 1985-2002: construction, statistical properties, and return predictability pp. 53-70

- Klaus Belter, Tom Engsted and Carsten Tanggaard
- Short-run underpricing and its characteristics in Chinese initial public offering (IPO) markets pp. 71-93

- Jing Chi and Carol Padgett
- Default risk, systematic risk and Thai firms before, during and after the Asian crisis pp. 95-110

- Hans Byström, Lugkana Worasinchai and Srisuda Chongsithipol
- Risk-based capital adequacy in assessing on insolvency-risk and financial performances in Taiwan's banking industry pp. 111-153

- Shu Ling Lin, Jack H.W. Penm, Shang-Chi Gong and Ching-Shan Chang
- European equity markets integration--implications for US investors pp. 155-170

- Xuan Vinh Vo and Kevin James Daly
- Financial development, structure, and economic growth: the case of Egypt, 1974-2002 pp. 171-194

- Ali A. Bolbol, Ayten Fatheldin and Mohammed Omran
Volume 18, issue 3, 2004
- A bargaining approach to currency collars pp. 229-236

- Donald Lien and Imad Moosa
- Local and spillover shocks in implied market volatility: evidence for the U.S. and Germany pp. 237-251

- Niklas Wagner and Alexander Szimayer
- The economy and demand for finance Ph.D.s: 1989-2001 pp. 253-290

- David Ding and Sheng-Syan Chen
- An empirical and institutional examination of post-crisis capital flows--Thailand case pp. 291-303

- Robert Dekle and Pongsak Hoontrakul
- Structural effects and spillovers in HSIF, HSI and S&P500 volatility pp. 305-317

- Gerard Gannon and Siu Pang Au-Yeung
- The linkage between the US and Korean stock markets: the case of NASDAQ, KOSDAQ, and the semiconductor stocks pp. 319-340

- Bang Jeon and Beom-Sik Jang
- Do ADRs enhance portfolio performance for a domestic portfolio? Evidence from the 1990s pp. 341-359

- Tom Arnold, Lance Nail and Terry Nixon
Volume 18, issue 2, 2004
- Financial globalisation and regulation pp. 129-140

- Philip Arestis and Santonu Basu
- Tourism, globalization, social externalities, and domestic welfare pp. 141-149

- Chi-Chur Chao, Bharat Hazari and Pasquale Sgro
- An analysis of option pricing under systematic consumption risk using GARCH pp. 151-171

- Alex Georgievski and Abul Masih
- The dialectics of globalization: what are the effects for management and organization in Germany and Japan pp. 173-197

- Carla I. Koen
- Is globalization a road to duopoly? pp. 199-204

- Pedro Vieira
- Exchange rate exposure and foreign exchange derivatives: do ineffective hedgers modify future derivatives use? pp. 205-216

- Brian P. Anderson, Stephen D. Makar and Stephen H. Huffman
Volume 18, issue 1, 2004
- International trade and US productivity pp. 1-25

- Juann Hung, Matt Salomon and Stacia Sowerby
- The European flying geese: New FDI patterns for the old continent? pp. 27-49

- Kalman Kalotay
- The day-of-the-week effect in foreign exchange markets: multi-currency evidence pp. 51-57

- Nobuyoshi Yamori and Yutaka Kurihara
- Time-varying moments, idiosyncratic risk, and an application to hot-issue IPO aftermarket returns pp. 59-72

- Niklas Wagner
- A comparative analysis of perception of dividends by financial managers pp. 73-114

- George M. Frankfurter, Arman Kosedag, Kevin Chiang, David Collison, David M. Power, Hartmut Schmidt, Raymond So and Mihail Topalov
- Money laundering--a global obstacle pp. 115-127

- Bonnie Buchanan
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