IJFS
2012 - 2025
Current editor(s): Ms. Hannah Lu From MDPI Bibliographic data for series maintained by MDPI Indexing Manager (). Access Statistics for this journal.
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Volume 10, issue 4, 2022
- Holiday Effect and Stock Returns: Evidence from Stock Exchanges of Gulf Cooperation Council pp. 1-10

- Prakash Pinto, Shakila Bolar, Iqbal Thonse Hawaldar, Aleyamma George and Abdelrhman Meero
- The Role of Motivated Financial Institutions on Community Currencies Loans pp. 1-10

- Rodrigo Leite, Layla dos Santos Mendes, Roberto Tommasetti, Vinicius Mothe Maia and Rodrigo Soto Larrain
- Decentralized Finance (DeFi) Projects: A Study of Key Performance Indicators in Terms of DeFi Protocols’ Valuations pp. 1-23

- Dominik Metelski and Janusz Sobieraj
- CSR Disclosures, CSR Awards and Corporate Governance as Determinants of the Cost of Debt: Evidence from Malaysia pp. 1-23

- Shyamala Dhoraisingam Samuel, Sakthi Mahenthiran and Ravindran Ramasamy
- Optimal Stopping Methods for Investment Decisions: A Literature Review pp. 1-23

- Zhenya Liu and Yuhao Mu
- A Structural Time Series Analysis of the Effect of Quantitative Easing on Stock Prices pp. 1-17

- George B. Tawadros and Imad A. Moosa
- Risk Awareness for Vietnamese’s Life Insurance on Financial Protection: The Case Study of Daklak Province, Vietnam pp. 1-17

- Tran Thi Lan
- Financial Uncertainty from a Dual Shock at Global Level–Insights from Kuwait pp. 1-24

- Talal A. N. M. S. Alotaibi and Lucía Morales
- Impact of Carbon Tax and Environmental Regulation on Inbound Cross-Border Mergers and Acquisitions Volume: An Evidence from India pp. 1-16

- Chandrika Raghavendra, Mahesh Rampilla, Venkata Ramana Thanikella and Isha Gupta
- Relationship between Stock Returns and Trading Volume at the Bourse Régionale des Valeurs Mobilières, West Africa pp. 1-16

- Jean-Pierre Gueyie, Mouhamadou Saliou Diallo and Mamadou Fadel Diallo
- Working Capital Management and Shareholder’s Wealth Creation: Evidence from Manufacturing Companies Listed in Oman pp. 1-16

- Shrikant Krupasindhu Panigrahi, Maryam Juma Al Farsi, Sumathi Kumaraswamy, Muhammad Waris Ali Khan and Faisal Rana
- Busy Boards, Entrenched Directors and Corporate Innovation pp. 1-34

- Brian Bolton and Jing Zhao
- ASEAN-5 Stock Price Index Valuation after COVID-19 Outbreak through GBM-MCS and VaR-SDPP Methods pp. 1-19

- Hersugondo Hersugondo, Endang Tri Widyarti, Di Asih I Maruddani and Trimono Trimono
- Does Trade Credit Financing Affect Firm Performance? Evidence from an Emerging Market pp. 1-19

- Abdullah Al Mahmud, Muhammad Shahin Miah and Mohammad Rakib Uddin Bhuiyan
- FinTech Entrepreneurial Ecosystems: Exploring the Interplay between Input and Output pp. 1-19

- Ekaterina Koroleva
- Conciseness, Financial Disclosure, and Market Reaction: A Textual Analysis of Annual Reports in Listed Chinese Companies pp. 1-22

- Fahd Alduais, Nashat Ali Almasria, Abeer Samara and Ali Masadeh
- Corporate Cash Holdings and Exposure to Macroeconomic Conditions pp. 1-25

- YoungHa Ki and Ramesh Adhikari
- Examining the Factors Affecting the Adoption of Blockchain Technology in the Banking Sector: An Extended UTAUT Model pp. 1-20

- Rabindra Kumar Jena
- Risk-Oriented Efficiency Assessment within the Level of Capitalization for Financial Institutions: Evidence from Turkish Securities Firms pp. 1-30

- Gokben Cevikcan and Oktay Tas
- The Global Pandemic, Laboratory of the Cashless Economy? pp. 1-13

- Jeremy Srouji and Dominique Torre
- The Size Anomaly in Islamic Stock Indices: A Stochastic Dominance Approach pp. 1-14

- Osamah AlKhazali, Hooi Hooi Lean and Taisier Zoubi
- Do Customers Want to Communicate with Insurers on Social Media? An Investigation of the Swiss Market pp. 1-14

- Carlo Pugnetti, Johannes Becker and Cristian Zani
- Being Naked - et Quo hinc ?: Developing a ‘Skin-in-the-Game’ Solution for Credit Default Swaps pp. 1-14

- Shanuka Senarath, Pelma Rajapakse, Jan Job de Vries Robbé, Naveen Wickremeratne and Maduka Subasinghage
- CSR in Professional Football in Times of Crisis: New Ways in a Challenging New Normal pp. 1-26

- Severin J. S. Oeckl and Stephen Morrow
- Market Reaction to Local Attention around Earnings Announcements in China: Evidence from Internet Search Activity pp. 1-26

- Qian Chen, Xiang Gao, Jianming Mo and Zhouling Xu
- How Do Banking Characteristics Influence Companies’ Debt Features and Performance during COVID-19? A Study of Portuguese Firms pp. 1-29

- Pedro Manuel Nogueira Reis and António Pedro Soares Pinto
- The Determinants and Impact of Key Audit Matters Disclosure in the Auditor’s Report pp. 1-18

- Hidaya Al Lawati and Khaled Hussainey
- Management Accounting Practices in the Hospitality Industry: The Portuguese Background pp. 1-18

- Filipa Campos, Conceição Gomes, Lucília Cardoso and Luís Lima Santos
- Impact of Bank Efficiency on the Profitability of the Banks in India: An Empirical Analysis Using Panel Data Approach pp. 1-18

- Suzan Dsouza, Mustafa Raza Rabbani, Iqbal Thonse Hawaldar and Ajay Kumar Jain
- Volatility Spillover Effects of the US, European and Chinese Financial Markets in the Context of the Russia–Ukraine Conflict pp. 1-18

- Mohamed Beraich, Karim Amzile, Jaouad Laamire, Omar Zirari and Mohamed Amine Fadali
- Accrual Management and Firm-Specific Risk pp. 1-12

- Yuni Pristiwati Noer Widianingsih, Doddy Setiawan, Y. Anni Aryani and Evi Gantyowati
- Inappropriate Corporate Strategies: Latin American Companies That Increase Their Value by Short-Term Liabilities pp. 1-15

- Jorge Feregrino, Juan Felipe Espinosa-Cristia, Nelson Lay and Luis Leyton
- Improving Returns on Strategy Decisions through Integration of Neural Networks for the Valuation of Asset Pricing: The Case of Taiwanese Stock pp. 1-15

- Yi-Chang Chen, Shih-Ming Kuo, Yonglin Liu, Zeqiong Wu and Fang Zhang
Volume 10, issue 3, 2022
- Earnings Management and Annual Report Readability: The Moderating Effect of Female Directors pp. 1-11

- Elvia R. Shauki and Eva Oktavini
- Cryptocurrencies Intraday High-Frequency Volatility Spillover Effects Using Univariate and Multivariate GARCH Models pp. 1-22

- Apostolos Ampountolas
- Basel III Capital Regulations and Bank Efficiency: Evidence from Selected African Countries pp. 1-22

- Ayodeji Michael Obadire, Vusani Moyo and Ntungufhadzeni Freddy Munzhelele
- The Impact of Financial Literacy on Retirement Planning with Serial Mediation of Financial Risk Tolerance and Saving Behavior: Evidence of Medium Entrepreneurs in Indonesia pp. 1-22

- Subur Harahap, Armanu Thoyib, Sumiati Sumiati and Atim Djazuli
- Do Rare Earths and Energy Commodities Drive Volatility Transmission in Sustainable Financial Markets? Evidence from China, Australia, and the US pp. 1-22

- Inzamam UI Haq, Hira Nadeem, Apichit Maneengam, Saowanee Samantreeporn, Nhan Huynh, Thasporn Kettanom and Worakamol Wisetsri
- Inward FDI, IFRS Adoption and Institutional Quality: Insights from the MENA Countries pp. 1-19

- Andrzej Cieślik and Sarhad Hamza
- Corporate Governance and Performance of Pension Funds in Ghana: A Mixed-Method Study pp. 1-19

- Isaac Akomea-Frimpong, Emmanuel Senior Tenakwah, Emmanuel Junior Tenakwah and Mary Amponsah
- Markowitz Mean-Variance Portfolio Optimization with Predictive Stock Selection Using Machine Learning pp. 1-19

- Apichat Chaweewanchon and Rujira Chaysiri
- The Financial/Accounting Impact of FFP on Participating in European Competitions: An Analysis of the Spanish League pp. 1-19

- Alberto Calahorro-López, Melinda Ratkai and Julio Vena-Oya
- Asymptotic Dependence Modelling of the BRICS Stock Markets pp. 1-32

- Caston Sigauke, Rosinah Mukhodobwane, Wilbert Chagwiza and Winston Garira
- Sustainability Performance and the Cost of Capital pp. 1-32

- Tiago Gonçalves, João Dias and Victor Barros
- Capital Preservation and Current Spending with Sovereign Wealth Funds and Endowment Funds: A simulation Study pp. 1-24

- Knut Anton Mork, Haakon Andreas Trønnes and Vegard Skonseng Bjerketvedt
- Optimal Portfolios of National Currencies, Commodities and Fuel, Agricultural Commodities and Cryptocurrencies during the Russian-Ukrainian Conflict pp. 1-24

- Nikolaos A. Kyriazis
- A Deep Learning Approach to Dynamic Interbank Network Link Prediction pp. 1-16

- Haici Zhang
- The Role of Internal Audit to Reduce the Effects of Creative Accounting on the Reliability of Financial Statements in the Jordanian Islamic Banks pp. 1-16

- Baker Akram Falah Jarah, Mufleh Amin AL Jarrah, Murad Ali Ahmad Al-Zaqeba and Mefleh Faisal Mefleh Al-Jarrah
- Recurring Rural Destination Sport Events: A Study on Participants’ Direct Spending pp. 1-16

- Eugenia Tzoumaka, Stella Leivadi and Kyriaki (Kiki) Kaplanidou
- Is Platinum a Real Store of Wealth? pp. 1-23

- Marek Vochozka, Andrea Bláhová and Zuzana Rowland
- The Influential Factors of Internal Audit Effectiveness: A Conceptual Model pp. 1-23

- Ayman Abdelrahim and Husam-Aldin N. Al-Malkawi
- The Consequence of Takeover Methods: Schemes of Arrangement vs. Takeover Offers pp. 1-15

- Hala Alqobali and Daniel Li
- Impacts of Insurers’ Financial Insolvency on Non-Life Insurance Companies’ Profitability: Evidence from Bangladesh pp. 1-15

- Md. Nur Alam Siddik, Md. Emran Hosen, Md. Firoze Miah, Sajal Kabiraj, Shanmugan Joghee and Swamynathan Ramakrishnan
- On the Role of Gender and Age in the Use of Digital Financial Services in Zimbabwe pp. 1-15

- Richard Chamboko
- Does Managerial Ability Lead to Different Cost Stickiness Behavior? Evidence from ASEAN Countries pp. 1-21

- Mitha Dwi Restuti, Lindawati Gani, Elvia R. Shauki and Lianny Leo
- Taxing the Digital Economy through Consumption Taxes (VAT) in African Countries: Possibilities, Constraints and Implications pp. 1-21

- Favourate Y. Mpofu
- Lessening Effects of SOX on the Relationship between Executive Compensation Components and Cost of Equity Capital pp. 1-12

- Kanyarat (Lek) Sanoran
- How Does Economic Policy Uncertainty Affect Momentum Returns? Evidence from China pp. 1-18

- Peizhi Zhao and Yuyan Wang
- Key Strategic Decisions and Their Influences on the Management and Success of the Bank of America Chicago Marathon and the Marathon Valencia Trinidad Alfonso pp. 1-18

- Juan L. Paramio-Salcines and Ramón Llopis-Goig
- Unravelling Factors Influencing Firm Performance: Evidence from the SMEs in Tourism Industry pp. 1-18

- Sarminah Samad
- Dependence Structure between Bitcoin and Economic Policy Uncertainty: Evidence from Time–Frequency Quantile-Dependence Methods pp. 1-14

- Samia Nasreen, Aviral Tiwari, Zhuhua Jiang and Seong-Min Yoon
- Gender Diversity in Leadership: A Bibliometric Analysis and Future Research Directions pp. 1-14

- Elisabete Vieira, Mara Madaleno and Júlio Lobão
- The Effects of New Accounting Standards on Firm Value: The K-IFRS 1116 Lease pp. 1-14

- Hae Jin Chung
- Zero-Leverage Puzzle Revisited: Evidence from Acquisition Behaviors pp. 1-27

- Chang Suk Bae and Hae Jin Chung
- From White Collar to Influencer Marketing? How Banks Can Reach Young Customers pp. 1-26

- Nicole Walzhofer, Marcus Riekeberg and Florian Follert
- Dynamic Asymmetric Effect of Currency Risk Pricing of Exchange Rate on Equity Markets: A Regime-Switching Based C-Vine Copulas Method pp. 1-30

- Benjamin Mudiangombe Mudiangombe and John Weirstrass Muteba Mwamba
- Towards Financing System of Integrated Enterprise Development in the Time of COVID-19 Outbreak pp. 1-20

- Kateryna Boichenko, Ştefan Gherghina, António Abreu, Mário Nuno Mata and José Moleiro Martins
- Working Capital Behavior of Firms during an Economic Downturn: An Analysis of the Financial Crisis Era pp. 1-20

- Erik Hofmann, Juuso Töyli and Tomi Solakivi
- Quality of Work Life (QWL) and Its Impact on the Performance of the Banking Industry in Saudi Arabia pp. 1-20

- Mohammad Ishfaq, Heitham Al-Hajieh and Majed Alharthi
Volume 10, issue 2, 2022
- Quantifying Foreign Exchange Risk in the Selected Listed Sectors of the Johannesburg Stock Exchange: An SV-EVT Pairwise Copula Approach pp. 1-29

- Joel Eita and Charles Raoul Tchuinkam Djemo
- Dynamic Factor Rotation Strategy: A Business Cycle Approach pp. 1-12

- Dohyoung Kwon
- The Value of Social Capital for the Success of SPAC IPOs pp. 1-15

- Roszaini Haniffa, Mohammad Hudaib and Tasawar Nawaz
- ICT as a Key Determinant of Efficiency: A Bootstrap-Censored Quantile Regression (BCQR) Analysis for Vietnamese Banks pp. 1-15

- Tu D. Q. Le, Thanh Ngo, Tin H. Ho and Dat T. Nguyen
- Comovement across BRICS and the US Stock Markets: A Multitime Scale Wavelet Analysis pp. 1-21

- Musumba Batondo and Josine Uwilingiye
- The Dynamic Typology in the Development Process of Credit Union Movements pp. 1-21

- Chien-Min Kang, Ming-Chieh Wang and Lin Lin
- Politically Connected Independent Commissioners and Independent Directors on the Cost of Debt pp. 1-21

- Onong Junus, Iman Harymawan, Mohammad Nasih and Muslich Anshori
- Determinants of Time for Publication Annual Reports: Empirical Evidence from Non-Financial Listed Companies in Vietnam pp. 1-21

- Anh Huu Nguyen, Hieu Thanh Nguyen, Chung Quang Tran and Lien Quynh Le
- Toxic Asset Subsidies and the Early Redemption of TALF Loans pp. 1-20

- Linus Wilson
- Corporate Social Responsibility Risk and Firm Performance: A Network Perspective pp. 1-20

- Jiaqi Luo, Mingxiao Bi and Dandan Jia
- Factors Affecting Internal Audit Effectiveness: Empirical Evidence from Vietnam pp. 1-14

- Thu Trang Ta and Thanh Nga Doan
- Innovation Capabilities in the Banking Sector Post-COVID-19 Period: The Moderating Role of Corporate Governance in an Emerging Country pp. 1-14

- Cao Dinh Kien and Nguyen Huu That
- Retirement Preparedness of Generation X Compared to Other Cohorts in the United States pp. 1-14

- Jia Qi, Swarnankur Chatterjee and Yingyi Liu
- Market Manipulation around Seasoned Equity Offerings: Evidence Prior to the Global Financial Crisis of 2007–2009 pp. 1-27

- Charlie Charoenwong, David Ding and Ping Wang
- Exploring Online Payment System Adoption Factors in the Age of COVID-19—Evidence from the Turkish Banking Industry pp. 1-27

- Melih Coskun, Ebru Saygili and Mehmet Oguz Karahan
- On the Deterministic-Shift Extended CIR Model in a Negative Interest Rate Framework pp. 1-26

- Marco Di Francesco and Kevin Kamm
- Financial Distress Prediction of Cooperative Financial Institutions—Evidence for Taiwan Credit Unions pp. 1-25

- Chien-Min Kang, Ming-Chieh Wang and Lin Lin
- A Textual Analysis of Logograms in Chinese IPO Roadshows: How Agreement between Investors and Management Relates to Pricing and Performance pp. 1-24

- James C. Brau, James Cicon and Stephen R. Owen
- Markowitz Mean-Variance Portfolio Selection and Optimization under a Behavioral Spectacle: New Empirical Evidence pp. 1-16

- Jules Clement Mba, Kofi Agyarko Ababio and Samuel Kwaku Agyei
- A Study of Financial Literacy of Investors—A Bibliometric Analysis pp. 1-16

- Yasmeen Ansari, Mansour Saleh Albarrak, Noorjahan Sherfudeen and Arfia Aman
- The Moderating Effects of Host Country Governance and Trade Openness on the Relationship between Cultural Distance and Financial Performance of Foreign Subsidiaries in Latin America pp. 1-17

- Henrique Correa da Cunha, Nursel Selver Ruzgar and Vik Singh
- Corporate Governance, Financial Innovation and Performance: Evidence from Taiwan’s Banking Industry pp. 1-17

- Lie-Huey Wang and Xin-Yuan Cao
- Sentiment and Style: Evidence from Republican Managers pp. 1-17

- Serkan Karadas, Jorida Papakroni and Minh Tam Tammy Schlosky
- Generational Differences, Risk Tolerance, and Ownership of Financial Securities: Evidence from the United States pp. 1-17

- Johnson Antwi and Cephas Naanwaab
Volume 10, issue 1, 2022
- Efficient Asset Allocation: Application of Game Theory-Based Model for Superior Performance pp. 1-15

- Mirza Sikalo, Almira Arnaut-Berilo and Azra Zaimovic
- Effect of Religiosity, Perceived Risk, and Attitude on Tax Compliant Intention Moderated by e-Filing pp. 1-15

- Mekar Satria Utama, Umar Nimran, Kadarisman Hidayat and Arik Prasetya
- Moderating Effects of Financial Cognitive Abilities and Considerations on the Attitude–Intentions Nexus of Stock Market Participation pp. 1-21

- Tahmina Akhter and Mohammad Enamul Hoque
- Expiration-Day Effects of Index Futures in a Frontier Market: The Case of Ho Chi Minh Stock Exchange pp. 1-12

- Anh Thi Kim Nguyen, Loc Dong Truong and H. Swint Friday
- Towards Money Market in General Equilibrium Framework pp. 1-18

- Truong Hong Trinh
- Effect of Financial Clusters on Startup Mergers and Acquisitions pp. 1-13

- Saurabh Ahluwalia and Sul Kassicieh
- Consequences of Social and Environmental Corporate Responsibility Practices: Managers’ Perception in Mozambique pp. 1-20

- Eulália Madime and Tiago Gonçalves
- Portfolio Constraints: An Empirical Analysis pp. 1-20

- Guido Abate, Tommaso Bonafini and Pierpaolo Ferrari
- Cannabis Stocks Returns: The Role of Liquidity and Investors’ Attention via Google Metrics pp. 1-11

- Stephanos Papadamou, Alexandros Koulis, Constantinos Kyriakopoulos and Athanasios Fassas
- The COVID-19 Outbreak and Risk–Return Spillovers between Main and SME Stock Markets in the MENA Region pp. 1-28

- Nassar S. Al-Nassar and Beljid Makram
- What Do the Consequences of Environmental, Social and Governance Failures Tell Us about the Motivations for Corporate Social Responsibility? pp. 1-19

- Richard Walton
- South African Banks’ Cross-Border Systemic Risk Exposure: An Application of the GAS Copula Marginal Expected Shortfall pp. 1-19

- Mathias Manguzvane and John Weirstrass Muteba Mwamba
- Financial Regulation, Financial Inclusion and Competitiveness in the Banking Sector in SADC and SAARC Countries: The Moderating Role of Financial Stability pp. 1-24

- João Jungo, Mara Madaleno and Anabela Botelho
- Intraday Patterns of Liquidity on the Warsaw Stock Exchange before and after the Outbreak of the COVID-19 Pandemic pp. 1-16

- Jakub Kubiczek and Marcin Tuszkiewicz
- Gender Diversity on the Board and Firms’ Corporate Social Responsibility pp. 1-16

- Cristina Gaio and Tiago Gonçalves
- Examining Risk Absorption Capacity as a Mediating Factor in the Relationship between Cognition and Neuroplasticity in Investors in Investment Decision Making pp. 1-16

- Yadav Devi Prasad Behera, Sudhansu Sekhar Nanda, Shibani Sharma and Tushar Ranjan Sahoo
- FinTech Companies: A Bibliometric Analysis pp. 1-17

- Gencay Tepe, Umut Burak Geyikci and Fatih Mehmet Sancak
- Acknowledgment to Reviewers of International Journal of Financial Studies in 2021 pp. 1-4

- International Journal of Financial Studies Editorial Office
- Bootstrapping Time-Varying Uncertainty Intervals for Extreme Daily Return Periods pp. 1-23

- Katleho Makatjane and Tshepiso Tsoku
- Equity Carve-Outs, Dual Directors, and Internal Labor Markets pp. 1-23

- Pengda Fan
- Real Earnings Management, Firm Value, and Corporate Governance: Evidence from the Korean Market pp. 1-23

- Ana Belén Tulcanaza-Prieto and Younghwan Lee
- Do ADR Firms Have Different Dividend Policies Than U.S. Firms? A Comparative Study pp. 1-10

- Shenghui Tong, James Murtagh and Richard Proctor
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