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 66, issue C, 2023
- Impact of capital market internationalization on stock markets: Evidence from the inclusion of China A-shares in the MSCI Emerging Markets Index

- Shizheng Dong, Jianming Zheng, Haoyang Jia and Zili Zhang
- Genetic distance and cross-border M&A completion: Evidence from Chinese firms

- Houbin Gao, Qi Ai, Kuo Zhou and Qiaochu Wang
- Do corporate site visits impact idiosyncratic volatility? Evidence from China

- Wenwu Cai, Jing Lu and Yuyang Zhao
- Do perceived risks and benefits impact trust and willingness to adopt CBDCs?

- Somya Gupta, Dharen Pandey, Anis El Ammari and Ganesh P. Sahu
- Tail-risk interconnectedness in the Chinese insurance sector

- Yufei Cao
- Institutional shareholders, proxy advisor recommendation, and vote outcomes in shareholder meetings

- Edouard Dubois, Sean McGinty, Konari Uchida, Yenn-Ru Chen and Jyun-Ying Fu
- The dark side of tournaments: Evidence from innovation performance

- Kim, Jonghwan (Simon) and Koo, KwangJoo (kj)
- Counterbalance effect of multiple major shareholders in Chinese listed companies: A strategic decision-making perspective

- Xiaoxu Kong, Peipei Ning and Xiaomeng Tang
- Sensing the heat: Climate change vulnerability and foreign direct investment inflows

- Falik Shear, Badar Nadeem Ashraf and Shazaib Butt
- Spillovers from the Russia-Ukraine conflict

- Yajie Yang, Longfeng Zhao, Yipin Zhu, Lin Chen, Gangjin Wang and Chao Wang
- Green bond issuance and corporate ESG performance: Steps toward green and low-carbon development

- Jinlin Zheng, Yaohui Jiang, Yadong Cui and Yue Shen
- Performance of ESG-integrated smart beta strategies in Asia-Pacific stock markets

- Yeng-May Tan, Kenneth Szulczyk and Yew-Hei Sii
- Safeguarding FinTech innovations with machine learning: Comparative assessment of various approaches

- Nawazish Mirza, Mohamed Elhoseny, Muhammad Umar and Noura Metawa
- Are real interest rates a monetary phenomenon? Evidence from 700 years of data

- Vasilios Plakandaras, Rangan Gupta, Sayar Karmakar and Mark E. Wohar
- A hybrid approach for forecasting bitcoin series

- Amine Mtiraoui, Heni Boubaker and Lotfi BelKacem
- The phenomenon of zero-leverage policy: Literature review

- Paolo Saona, Laura Muro and Andros Gregoriou
- A stochastic analysis of hedge funds’ higher moments

- Ariston Karagiorgis and Konstantinos Drakos
- COVID-19 and investment–cash flow sensitivity: A cross-country analysis

- Thi Hong An Thai, Thi Thuy Anh Vo and Mieszko Mazur
- Does CEO early-life famine experience affect corporate tax avoidance? Evidence from China

- Qingmei Tan, Yuzhu Ling, Baochen Yang and Peixuan Geng
- Interbank liquidity transmission and the credit channel of monetary policy in China

- Hai Jiang, Chao Yuan and Zhitao Lin
- Countercyclical and time-varying reward to risk and the equity premium

- Jan Antell and Mika Vaihekoski
- Blockchains: A review and research agenda for international business

- Renita Murimi, Greg Bell, Abdul A. Rasheed and Sri Beldona
- Portfolio capital flows and economic growth: Do institutional factors matter?

- Rafiqa Murdipi, Ahmad Zubaidi Baharumshah and Siong Hook Law
- Exploring the predictability of attention mechanism with LSTM: Evidence from EU carbon futures prices

- Kun Duan, Rui Wang, Shun Chen and Lei Ge
- A Fractal and Comparative View of the Memory of Bitcoin and S&P 500 Returns

- Klaus Grobys
- Joint impact of corporate governance and risk disclosures on firm value: Evidence from emerging markets

- Chandni Khandelwal, Satish Kumar, Vibha Tripathi and Vinodh Madhavan
- Volatility spillovers between sovereign CDS and futures markets in various volatility states: Evidence from an emerging economy around the pandemic

- Remzi Gök, Elie Bouri and Eray Gemici
- Independent directors’ information acquisition and corporate innovation: Evidence from corporate site visits

- Qiong Wang and Huajie Wang
- Financial market imperfections and sensitivity of cash holdings to R&D investment: Evidence from chinese listed firms

- Duan Liu, Chen Wang, Hui Zhang, Shujie Yao and Zixin Li
- Do powerful CEOs affect qualitative financial disclosure? Evidence from accounting comparability

- Muhammad Ansar Majeed, Shilei Xie, Irfan Ullah, Jianru Fu and Chunlin Wang
- Investor preferences, financial literacy and intermediary choice towards sustainability

- Doriana Cucinelli and Maria Gaia Soana
- Revisiting overconfidence in investment decision-making: Further evidence from the U.S. market

- Ahmed Bouteska, Murad Harasheh and Mohammad Zoynul Abedin
- How does employment protection legislation affect labor investment inefficiencies?

- Rafael Palmeira, Julio Pindado and Ignacio Requejo
- Internal control and bank liquidity creation: Evidence from China

- Yong-sheng Tan
- News sentiment and CEO retirement: The impact on firm performance and risk

- Ziqing Gao, Min Hua, Heng Liu and Chao Yan
- The gender gap in trust in Banks

- Axelle Heyert and Laurent Weill
- Social media, investor-company interaction and insider trading profitability: Evidence from China

- Nan Xie, Qifa Xu, Cuixia Jiang and Hong Fu
- TV media sentiment, mutual fund flows and portfolio choice: They do not put their money where their sentiment is

- Hans-Jörg Naumer
- Predictability and forecasting performance of major euro exchange rates using a relative PPP-based equilibrium model

- Axel Grossmann and Marc W. Simpson
- Too big to fail: The aftermath of Silicon Valley Bank (SVB) collapse and its impact on financial markets

- David Y. Aharon, Shoaib Ali and Muhammad Naved
- Direct and indirect influence of national culture on foreign direct investment

- Selma Izadi, Mamunur Rashid and Parviz Izadi
- Motivation of discretionary goodwill impairments

- Shengyi Yang and Shaoying Zhu
- Asymmetric and time-frequency volatility connectedness between China and international crude oil markets with portfolio implications

- Zhenhua Liu, Qiang Ji, Pengxiang Zhai and Zhihua Ding
- Sovereign ratings change under climate risks

- Xiaolei Sun, Yiran Shen, Kun Guo and Qiang Ji
- Does digital finance aggravate bank competition? Evidence from China

- Cuiyun Gao and Qian Wang
- Cross-border mergers and acquisitions by emerging country banks: What do acquisition premiums tell us?

- Canan Yildirim, Mouloud Tensaout and Veronika Belousova
- A good manager or a bad agent? Military CEOs and tunneling

- Jie He, Luling He and Kam C. Chan
- Inflation and the war in Ukraine: Evidence using impulse response functions on economic indicators and Twitter sentiment

- Efstathios Polyzos
- ESG in the financial industry: What matters for rating analysts?

- Marco Mandas, Oumaima Lahmar, Luca Piras and Riccardo De Lisa
- Environmental regulation and corporate philanthropy: Evidence and mechanism from China

- Kun Wang, Naifu Yu, Ying Ma and Yingkai Tang
- Mandatory minimum dividend, agency problems, and corporate investment

- Guilherme Kirch and Daniel Francisco Vancin
- Global geopolitical risk and inflation spillovers across European and North American economies

- Elie Bouri, David Gabauer, Rangan Gupta and Harald Kinateder
- Does digital innovation cause better ESG performance? an empirical test of a-listed firms in China

- Qiongyu Huang, Jiali Fang, Xiaolong Xue and Hongming Gao
- The impact of environmental, social, and governance (ESG) practices on investment efficiency in China: Does digital transformation matter?

- Yongjia Lin, Zhenye Lu and Yizhi Wang
- Gold prices, cultural factors, and Covid-19 pandemic: An international analysis

- Hamid Beladi, Cong Tam Trinh and Chi-Chur Chao
- Application of machine learning in algorithmic investment strategies on global stock markets

- Jan Grudniewicz and Robert Ślepaczuk
- Machine learning in the boardroom: Gender diversity prediction using boosting and undersampling methods

- Haroon ur Rashid Khan, Waqas Bin Khidmat, Amira Hammouda and Tufail Muhammad
- Skewness preference and IPO underpricing: International evidence

- Eunyoung Cho and Woojin Kim
- The presence of local CEO, clan culture and audit pricing: Evidence from China

- Rumeng Yang, Jingjing Li, Yingwen Guo, Shuo Li and Delin Wu
- Does corporate green innovation behaviour impact trade credit? Evidence from China

- Chen Li, Ahmet Sensoy, Ce Song and Mi Zhang
- Environmental protection fee-to-tax and enterprise investment efficiency: Evidence from China

- Linlin Xie, Shiyue Zuo and Ziqin Xie
- Parent company board reform and subsidiary optimization of cash holdings: A quasi-natural experiment from central state-owned enterprises in China

- Yao Yu, Xiaoxiao Jia and Huaijin Qi
- How to measure banking regulation and supervision

- Cristina Pereira Pedro, Joaquim J.S. Ramalho and Jacinto Vidigal da Silva
- The ripple effects of CBDC-related news on Bitcoin returns: Insights from the DCC-GARCH model

- Isik Akin, Muhammad Zubair Khan, Affan Hameed, Kaouthar Chebbi and Hakan Satiroglu
- Greening through social trust?

- Jie Zhang and Zhongfei Chen
- Large scale mean-variance strategies in the U.S. stock market

- Luca Pezzo, Lei Wang and Duygu Zirek
- LGBT CEOs and stock returns: Diagnosing rainbow ceilings and cliffs

- Savva Shanaev, Arina Skorochodova and Mikhail Vasenin
- Revisiting asset co-movement: Does network topology really matter?

- Huai-Long Shi and Huayi Chen
- Web search volume acceleration and cross-sectional returns

- Baochen Yang, Xianli Duan and Yao Ma
- Is soft information substitutive or complementary to hard news for investor attention? Evidence from corporate advertising in Japan

- Hiroyuki Aman, Norihiro Kasuga and Hiroshi Moriyasu
- Political uncertainty and financial statement readability

- Meng Qiu, Kai Gu, Zhichao Zhang and Junrui Zhang
- How macroprudential regulation and board effectiveness interact to shape bank risk-taking behavior

- Nadia Basty, Ines Ghazouani and Maher Jeriji
- Does supporting Ukraine pay well? The performance of companies that suspended their business in Russia

- Mahmoud Ayoub and Mahmoud Qadan
- How do FinTech companies contribute to the achievement of SDGs? Insights from case studies

- R. Carè, I.A. Boitan and R. Fatima
- Connectedness between carbon and sectoral commodity markets: Evidence from China

- Ruirui Wu, Zhongfeng Qin and Bing-Yue Liu
- Growing up with the one-child policy: CEO early-life experiences and corporate investment in China

- Ruirui Zhu and Hong Bo
- Patterns and drivers of financial sector growth in the digital age: Insights from a study of industrialized economies

- K. Vu and Simplice Asongu
- Estimating Historical Downside Risks of Global Financial Market Indices via Inflation Rate-Adjusted Dependence Graphs

- Insu Choi and Woo Chang Kim
- Identification of high-frequency trading: A machine learning approach

- Mostafa Goudarzi and Flavio Bazzana
- Policy uncertainty and substitution between external financing and internal funds: International evidence

- Jin Young Yang
- Forecasting stock market volatility under parameter and model uncertainty

- Zhao-Chen Li, Chi Xie, Gang-Jin Wang, You Zhu, Jian-You Long and Yang Zhou
- Dissecting the idiosyncratic volatility puzzle: A fundamental analysis approach

- Zhaobo Zhu, Wenjie Ding, Yi Jin and Dehua Shen
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