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 68, issue C, 2024
- The impact of environmental regulation on the optimization of industrial structure in energy-based cities

- Zhiyuan Zhang, Runfei Li, Yang Song and Jean-Michel Sahut
- Customer concentration and corporate financialization: Evidence from non-financial firms in China

- Kun Su, Yan Zhao and Yinghui Wang
- Institutional investor heterogeneity and systemic financial risk: Evidence from China

- Wenli Huang, Yuanhao Zhu, Shi Li and Yueling Xu
- Herding states and stock market returns

- Filipe Costa, Natércia Fortuna and Júlio Lobão
- Dynamic spillover and connectedness in higher moments of European stock sector markets

- Ramzi Nekhili, Walid Mensi, Xuan Vinh Vo and Sang Hoon Kang
- Analyzing the role of sustainable investor in global systemically important banks and less significant institutions

- Claudio Porzio and Francesca Battaglia
- The takeover Tango: Unraveling the impact of state-owned enterprise acquisitions on American competitors

- Tahsin Imtiazul Huq, M. Kabir Hassan, Reza Houston and M. Sydul Karim
- Has FinTech changed the sensitivity of corporate investment to interest rates?—Evidence from China

- Yao Lu, Shuwei Zhan and Minghua Zhan
- Benefits of corporate social responsibility during a pandemic: Evidence from stock price reaction to COVID-19 related news

- Anin Rupp and Piman Limpaphayom
- Lending activity efficiency. A comparison between fintech firms and the banking sector

- Grazia Onorato, Francesca Pampurini and Anna Grazia Quaranta
- Cooperative credit banks and sustainability: Towards a social credit scoring

- Stefano Zedda, Michele Modina and Carmen Gallucci
- ESG news, stock volatility and tactical disclosure

- Paola De Vincentiis
- Institutional investors, heterogeneity, and capital structure decisions: Evidence from an emerging market

- Bin Wang and Yan Luo
- Payout policy and ESG: A European investigation

- Antonio Salvi, Niccolò Nirino, Enrico Battisti and Igor Gianfrancesco
- FinTech and fan tokens: Understanding the risks spillover of digital asset investment

- Matteo Foglia, Giampiero Maci and Vincenzo Pacelli
- Does Confucian culture affect shadow banking activities? Evidence from Chinese listed companies

- Youliang Yan, Maochuan Wang, Guoliu Hu and Chengxin Jiang
- The impact of COVID-19 on the volatility connectedness of the Chinese tourism sector

- Yang Hu, Chunlin Lang, Shaen Corbet and Junchuan Wang
- Does firm environmental performance mitigate the market reaction to COVID-19 uncertainty?

- Alessio Bongiovanni and Simona Fiandrino
- Over-expected shocks and financial market security: Evidence from China's markets

- Yueshan Li, Shoudong Chen, Ahmet Sensoy and Lu Wang
- MetaMoney: Exploring the intersection of financial systems and virtual worlds

- Satish Kumar, Riya Sureka, Brian Lucey, Michael Dowling, Samuel Vigne and Weng Marc Lim
- A study on the impact mechanism of internet embedding on rural E-commerce entrepreneurship

- Ying Song, Lu Yang and Lu Li
- Public spending and green finance: A systematic literature review

- Mario La Torre, Sabrina Leo, Alessia Palma and Jenny Daniela Salazar Zapata
- Assessing the impact of the COVID-19 crisis on sovereign default risk

- Masayasu Kanno
- Catering behaviors in corporate digitization disclosures: Identification and analyst forecast accuracy loss

- Bole Zhou, Lili Ma and Shenghao Yang
- Puzzling retrenchment of banking outflows: The role of information asymmetry

- Sainan Huang, C. Hueng and Songlin Zeng
Volume 67, issue PB, 2024
- International capital flow in a period of high inflation: The case of China

- Qiming Liu, Zhenya Liu, Faten Moussa and Yuhao Mu
- Related party lending and rural bank risk: Evidence during the Covid-19 period

- Bowo Setiyono and Munawaroh, U’um
- Is the Evergrande crisis spilling beyond China?

- Shamima Ahmed, Ameet Kumar Banerjee, Wendy James and Faten Moussa
- Saudi Arabia energy transition in a post-paris agreement era: An analysis with a multi-level perspective approach

- Belaid Fateh and Aisha Al-Sarihi
- Public governance and the demand for corporate governance: The role of political institutions

- Nan-Ting Kuo and Cheng-Few Lee
- Does green finance promote green transformation of the real economy?

- Mingzhong Hua, Zhe Li, Yudong Zhang and Xiaobei Wei
- The sensitivity of investment to internal and external funds: New emerging market evidence

- Mustafa Caglayan and Michael Machokoto
- Bank loan approval standards and firms’ accounting conservatism: Evidence from China

- Zhen Yu, Juncheng Luo and Jinqi Fan
- The effects of NASDAQ delisting on firm performance

- Mingsheng Li, Karen Liu and Xiaorui Zhu
- Investing in cryptocurrency before and during the COVID-19 crisis: Hedge, diversifier or safe haven?

- Rabeb Riahi, Amel Bennajma, Abderrahmane Jahmane and Helmi Hammami
- Performance feedback and corporate maturity mismatch: Evidence from China

- Jingxin Li, Yong Ye and Jingxuan Li
- Pinkwashing in the banking industry: The relevance of board characteristics

- Valeria Venturelli, Alessia Pedrazzoli, Daniela Pennetta and Elisabetta Gualandri
- Co-movements between heterogeneous crude oil and food markets: Does temperature change really matter?

- Yan Cao, Sheng Cheng and Xinran Li
- Hard money and fiat money in an inflationary world

- Guizhou Wang and Kjell Hausken
- Selling options to beat the market: Further empirical evidence

- Alejandro Balbás and Gregorio Serna
- Effects of business to business e-commerce platform-governance mechanisms on seller firms’ performance

- Wenjie Li, Chaojing Sun, Yan Li and Myriam Ertz
- The safe haven, hedging, and diversification properties of oil, gold, and cryptocurrency for the G7 equity markets: Evidence from the pre- and post-COVID-19 periods

- Salma Tarchella, Rabeh Khalfaoui and Shawkat Hammoudeh
- Alcohol culture and corporate risk-taking

- Lan Guo, Zhong-qin Su, Zuoping Xiao and Hung-Gay Fung
- Does market efficiency matter for Shanghai 50 ETF index options?

- Ariful Hoque, Thi Le, Morshadul Hasan and Mohammad Zoynul Abedin
- Managerial ability and firm value: A new perspective

- Nader Atawnah, Arman Eshraghi, Ghasan A. Baghdadi and Ishaq Bhatti
- Collective asset management under corporate governance theory

- Yang Sun, Yu Zhang and Xinwei Tang
- The digital silk road and trade growth – A quasi-natural experiment based on silk road E-commerce

- Yebin Wang, Huiyu Gao and Haijun Wang
- Blockchain mania without bitcoins: Evidence from the Chinese stock market

- Lu Xiao, Xiaolin Xu and Weili Xue
- Finance and sales growth at the firms level in Iran: Does type of spending matter?

- Iman Cheratian, Saleh Goltabar, Hassan Gholipour Fereidouni and Mohammad Reza Farzanegan
- Investor interaction and the valuation of listed companies

- Haijun Wang, Shuaipeng Jiao and Guanglin Sun
- Herding in international REITs markets around the COVID-19 pandemic

- Keagile Lesame, Geoffrey Ngene, Rangan Gupta and Elie Bouri
- Changes in supply chain relationships and the enterprise internationalization process

- Jinzhou Mao and Siying Yang
- Institutional investors’ site visits and firms’ financial distress

- Jiawei Cao, Dayong Dong and Sishi Yue
- How does deposit insurance affect household's risk sensitivity?Evidence from China

- Jing Zhao, Yaqin Gao and Lijuan Zhao
- Comparative analysis of the exchange rates-stock returns nexus in commodity-exporters and -importers before and during the war in Ukraine

- Amin Sokhanvar, Serhan Çiftçioğlu and Shawkat Hammoudeh
- Institutional investors by nationality and long-term investor value appropriation

- Chune Young Chung and Jun Myung Song
- Hidden effects of Brexit

- Stefano Piserà
- Global economic policy uncertainty and the stability of cryptocurrency returns: The role of liquidity volatility

- Pengcheng Zhang, Deli Kong, Kunpeng Xu and Jiayin Qi
Volume 67, issue PA, 2024
- Systemic risk assessment using complex networks approach: Evidence from the Brazilian (re)insurance market

- João Vinícius de França Carvalho and Acássio Silva Guimarães
- The impact of CEO power and ethical corporate citizenship on firms’ outcomes

- Akwasi A. Ampofo and Reza Barkhi
- How do industry tournament incentives affect firm debt maturity?

- Wanxia Qi, Pornsit Jiraporn and Yixin Liu
- Fintech, bank diversification and liquidity: Evidence from China

- Mengxuan Tang, Yang Hu, Shaen Corbet, Hou, Yang (Greg) and Les Oxley
- Modelling profitability of private equity: A fractional integration approach

- Guglielmo Maria Caporale, Luis Gil-Alana and Francisco Puertolas
- The role of membership fees in online retail market competition

- Lina Xu and Zhiqing Meng
- Potential diversification benefits: A comparative study of Islamic and conventional stock market indexes

- Amel Belanes, Foued Saâdaoui and Mohammad Zoynul Abedin
- High-speed rail and stock return comovement in China

- Zunxin Zheng, Zhongjie Qiu, Mengjia Li and Wenjie Ding
- Determinants of deposits volatility: The case of the microfinance sector in gabon

- Benjamin Keddad and Jean Robert Obiang Obiang
- Financial inclusion and income inequality in developing countries: The role of aging populations

- Abd Rahim Md Jamil, Siong Hook Law, M.S. Khair-Afham and Irwan Trinugroho
- Local stock liquidity and local factors: Fresh evidence from US firms across states

- Nicholas Apergis and Sayantan Ghosh Dastidar
- Moderating impact of FDI on the growth-environment nexus in the pre-COVID-19 eras

- Mirza Md Moyen Uddin, Taimur Sharif, Abe Reza Mohammad Islam and Mohammad Zoynul Abedin
- Mapping the landscape of FinTech in banking and finance: A bibliometric review

- Dharen Pandey, M. Kabir Hassan, Vineeta Kumari, Younes Ben Zaied and Varun Kumar Rai
- Ready for a digital Euro? Insights from a research agenda

- Matteo Cotugno, Francesco Manta, Salvatore Perdichizzi and Valeria Stefanelli
- Can digitalization facilitate cross-border M&A? Evidence from Chinese A-share listed companies

- Jiaxin Wang, Xue Yuan, Xiang Huang, Chengxin Liu and Pengdong Zhang
- Do conventional and new energy stock markets herd differently? Evidence from China

- Hui Hong, Lijun Jiang, Cheng Zhang and Zhonggang Yue
- Does ownership influence ESG disclosure scores?

- Medha Doshi, Riidhi Jain, Dipasha Sharma, Deepraj Mukherjee and Satish Kumar
- Asset encumbrance in banks: Is systemic risk affected?

- Fabrizio Cipollini, Federica Ielasi and Francesca Querci
- The impact of government environmental attention on firms’ ESG performance: Evidence from China

- Xiaoqian Liu, Javier Cifuentes-Faura, Shikuan Zhao and Long Wang
- Can portfolio construction considering ESG still gain high profits?

- Shayan Davoodi, Ali Fereydooni and Mohammad Ali Rastegar
- The power of inclusion: Does leadership gender diversity promote corporate and green innovation?

- Faten Lakhal, Amal Hamrouni, Ibtissem Jilani, Imen Mahjoub and Ramzi Benkraiem
- Share pledging of controlling shareholders and corporate social responsibility disclosure

- Shengnan Li, Xinya Zheng, Jianbo Niu and Xuan Ma
- Market response to environmental social and governance performance: A global analysis

- Muhammad Arif Khan, Ashraf Khan, M. Kabir Hassan and Maria Pia Maraghini
- Forecasting electricity prices from the state-of-the-art modeling technology and the price determinant perspectives

- Shanglei Chai, Qiang Li, Mohammad Zoynul Abedin and Brian Lucey
- Cryptocurrencies against stock market risk: New insights into hedging effectiveness

- Małgorzata Just and Krzysztof Echaust
- Portfolio insurance strategy in the cryptocurrency market

- Hyungjin Ko, Bumho Son and Jaewook Lee
- The impact of ESG on the default risk of family firms: International evidence

- Carlos P. Maquieira, José T. Arias and Christian Espinosa-Méndez
- Precious metals and currency markets during the Russia-Ukraine conflict’s inflationary periods

- Syed Raza, Khaled Guesmi, Ramzi Benkraiem and Rija Anwar
- How do corporate governance and corporate social responsibility affect credit risk?

- Ahmed Hunjra, Ikram Jebabli, Sujani Sudhara Thrikawala, Suha Mahmoud Alawi and Rashid Mehmood
- Extreme state media reporting and the extreme stock market during COVID-19: A multi-quantile VaR Granger causality approach in China

- Yun Hong, Yanhui Jiang, Xiaojian Su and Chao Deng
- The term structure of yield curve and connectedness among ESG investments

- Najaf Iqbal, Zaghum Umar, Asif M. Ruman and Shaohua Jiang
- Uncovering dynamic connectedness of Artificial intelligence stocks with agri-commodity market in wake of COVID-19 and Russia-Ukraine Invasion

- Miklesh Prasad Yadav, Mohammad Zoynul Abedin, Neena Sinha and Vandana Arya
- Hedging gas in a multi-frequency semiparametric CVaR portfolio

- Dejan Živkov, Suzana Balaban and Milica Simić
- Credit risk prediction based on loan profit: Evidence from Chinese SMEs

- Zhe Li, Shuguang Liang, Xianyou Pan and Meng Pang
- Information technology and financial development for achieving sustainable development goals

- Sabrine Dhahri, Anis Omri and Nawazish Mirza
- Does Supply Chain Finance (SCF) alleviate funding constraints of SMEs? Evidence from China

- Zhaohui Lou, Qizhuo Xie, Jim Huangnan Shen and Chien-Chiang Lee
- When giants fall: Tracing the ripple effects of Silicon Valley Bank (SVB) collapse on global financial markets

- Muhammad Naveed, Shoaib Ali, Mariya Gubareva and Anis Omri
- Does minority shareholder activism reduce stock idiosyncratic risk?

- Jing Lu and Yuhang Qiu
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