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 9, issue 4, 2021
- Validation of Corporate Probability of Default Models Considering Alternative Use Cases pp. 1-22

- Michael Jacobs
- The Effect of Quantitative Easing through Google Metrics on US Stock Indices pp. 1-19

- Nikoletta Poutachidou and Stephanos Papadamou
- Reliability and Accuracy of Alternative Default Prediction Models: Evidence from Slovakia pp. 1-33

- Daniela Rybárová, Helena Majdúchová, Peter Štetka and Darina Luščíková
- Artificial Intelligence Approach to Momentum Risk-Taking pp. 1-42

- Ivan Cherednik
- Consequences of COVID-19 on Banking Sector Index: Artificial Neural Network Model pp. 1-16

- Hamzeh F. Assous and Dania Al-Najjar
- A Transmission of Beta Herding during Subprime Crisis in Taiwan’s Market: DCC-MIDAS Approach pp. 1-16

- Yi-Chang Chen, Hung-Che Wu, Yuanyuan Zhang and Shih-Ming Kuo
- Corporate Social Practices and Firm Financial Performance: Empirical Evidence from France pp. 1-17

- Sonia Boukattaya and Abdelwahed Omri
- Supply Chain Finance: Cost–Benefit Differentials under Reverse Factoring with Extended Payment Terms pp. 1-17

- Hans-Martin Beyer and Bodo Herzog
- Adverse Selection in P2P Lending: Does Peer Screening Work Efficiently?—Empirical Evidence from a P2P Platform pp. 1-17

- Yao Wang and Zdenek Drabek
- Information Disclosure in China’s Rising Securitization Market pp. 1-29

- Xueer Chen and Chao Wang
- Uncovering Real Earnings Management: Pay Attention to Risk-Taking Behavior pp. 1-18

- Samar Alharbi, Md Al Mamun and Nader Atawnah
- Did Financial Consumers Benefit from the Digital Transformation? An Empirical Investigation pp. 1-18

- Soojin Park, Prida Erni Kesuma and Man Cho
- Impact of MiFID II on Romanian Stock Market Liquidity—Comparative Analysis with a Developed Stock Market pp. 1-18

- Marius Cristian Miloș, Laura Raisa Miloș, Flavia Barna and Claudiu Boțoc
- Buy Now and Pay (Dearly) Later: Unraveling Consumer Financial Spinning pp. 1-21

- Olivier Mesly
- Do CEO Duality and Ownership Concentration Impact Dividend Policy in Emerging Markets? The Moderating Effect of Crises Period pp. 1-21

- Anis El Ammari
- Board Gender Diversity and Cash Holdings: Empirical Evidence from the European Sport and Leisure Sector pp. 1-21

- Panagiotis E. Dimitropoulos and Konstantinos Koronios
- The Effect of Corporate Social Responsibility on Earnings Management: Bibliometric Review pp. 1-21

- José Manuel Santos-Jaén, Ana León-Gómez and José Serrano-Madrid
- Has the EU-ETS Financed the Energy Transition of the Italian Power System? pp. 1-15

- Massimiliano Caporin, Fulvio Fontini and Samuele Segato
- The Role of Ownership Structure and Board Characteristics in Stock Market Liquidity pp. 1-15

- Wajih Abbassi, Ahmed Hunjra, Suha Mahmoud Alawi and Rashid Mehmood
- The Relation between Intraday Limit Order Book Depth and Spread pp. 1-13

- Alexandre Aidov and Olesya Lobanova
- CEO Compensation in Korea: Is It Different than in the US? A Comparison between Korean Non-Life Insurance Firms and US Property-Liability Insurance Firms pp. 1-20

- Sangyong Han and Hyejeong Mun
- Bibliometric Analysis for Working Capital: Identifying Gaps, Co-Authorships and Insights from a Literature Survey pp. 1-20

- Vítor João Pereira Domingues Martinho
Volume 9, issue 3, 2021
- Seasoned Equity Offerings and Differences in Share-Price Impact by Firm Categories pp. 1-10

- Saeed Md. Abdullah and Simon Zaby
- Moderating Effects of Founders’ Role on the Influence of Internationalization on IPO Performance of Listed Companies in Thailand pp. 1-16

- Tharitsaya Kongkaew, Supa Tongkong and Sungworn Ngudgratoke
- Financial Inclusion in Emerging Economies: The Application of Machine Learning and Artificial Intelligence in Credit Risk Assessment pp. 1-16

- David Mhlanga
- The Influence of Corporate Networks on the Competitive Advantage of High Technology Enterprises in China: The Mediating Effects of Dynamic Capacities and Ambidextrous Combination pp. 1-16

- Huayun Wang and Zhuoran Zhang
- Fintech Credit and Bank Efficiency: International Evidence pp. 1-16

- Tu D. Q. Le, Tin H. Ho, Dat T. Nguyen and Thanh Ngo
- Prosperity or Real Estate Bubble? Exuberance Probability Index of Real Housing Prices in Chile pp. 1-24

- Byron Idrovo, Francisco J. Lozano and Javier E. Contreras-Reyes
- CEO Turnovers: Transparency of Announcements and the Outperformance Puzzle pp. 1-22

- Paul Farah and Hui Li
- Do Deposit Insurance Systems Promote Banking Stability? pp. 1-22

- Nafis Alam, Ganesh Sivarajah and Muhammad Bhatti
- Sell Winners and Buy Losers? The Impact of Familiarity on Individual Investors’ Decision-Making: Experimental Results pp. 1-8

- Vladislav Zhdanov and Artem Simonov
- Intellectual Structure and Evolution of Accounting Conservatism Research: Past Trends and Future Research Suggestions pp. 1-13

- Umair Bhutta, Jéssica Nunes Martins, Mário Nuno Mata, Ali Raza, Rui Miguel Dantas, Anabela Batista Correia and Muhammad Rafiq
- The Impact of the Introduction of Index Futures on the Daily Returns Anomaly in the Ho Chi Minh Stock Exchange pp. 1-14

- Loc Dong Truong and H. Swint Friday
- Corporate Social Responsibility Proposals and Firm Valuation pp. 1-14

- Pyung Kun Chu
- The Impact of ESG Management on Investment Decision: Institutional Investors’ Perceptions of Country-Specific ESG Criteria pp. 1-27

- So Ra Park and Jae Young Jang
- Are Cryptocurrencies a Backstop for the Stock Market in a COVID-19-Led Financial Crisis? Evidence from the NARDL Approach pp. 1-36

- Ahmed Jeribi, Sangram Keshari Jena and Amine Lahiani
- The Influence of Government Shareholding on Dividend Policy in Malaysia pp. 1-29

- Philip Sinnadurai, Ravichandran Subramaniam and Susela Devi
- Do Green Bonds Act as a Hedge or a Safe Haven against Economic Policy Uncertainty? Evidence from the USA and China pp. 1-18

- Inzamam Ul Haq, Supat Chupradit and Chunhui Huo
- The Predictive Ability of Quarterly Financial Statements pp. 1-18

- Hui Zhou, Worapree Ole Maneesoonthorn and Xiangjin Bruce Chen
- The Impact of Higher Education Expansion on the Educational Wage Premium in Taiwan: 1985 to 2015 pp. 1-12

- Chien-Liang Chen and Lin-Chuan Chen
- The Effects of Business Model on Bank’s Stability pp. 1-12

- Thuy Thu Nguyen, Hai Hong Ho, Duy Van Nguyen, Anh Cam Pham and Trang Thu Nguyen
- Efficiency in Vietnamese Banking: A Meta-Regression Analysis Approach pp. 1-15

- Tin H. Ho, Dat T. Nguyen, Thanh Ngo and Tu D. Q. Le
Volume 9, issue 2, 2021
- #Bitcoin, #COVID-19: Twitter-Based Uncertainty and Bitcoin Before and during the Pandemic pp. 1-7

- Joseph French
- The Interactions between COVID-19 Cases in the USA, the VIX Index and Major Stock Markets pp. 1-19

- Simon Grima, Letife Özdemir, Ercan Özen and Inna Romānova
- Assessing Market Risk in BRICS and Oil Markets: An Application of Markov Switching and Vine Copula pp. 1-22

- John Weirstrass Muteba Mwamba and Sutene Mwambetania Mwambi
- Improving Audit Reports: A Consensus between Auditors and Users pp. 1-25

- Estibaliz Goicoechea, Fernando Gómez-Bezares and José Vicente Ugarte
- Modeling System Risk in the South African Insurance Sector: A Dynamic Mixture Copula Approach pp. 1-17

- John Weirstrass Muteba Mwamba and Ehounou Serge Eloge Florentin Angaman
- Earnings Management of Insolvent Firms and the Prediction of Corporate Defaults via Discretionary Accruals pp. 1-24

- Sam Bock Park, Sung-Kyoo Kim and Sangryul Lee
- Relativistic Option Pricing pp. 1-24

- Vitor H. Carvalho and Raquel Gaspar
- Short-Selling and Financial Performance of SMEs in China: The Mediating Role of CSR Performance pp. 1-16

- Wenzhen Mai and Nik Intan Norhan binti Abdul Hamid
- Predicting Extreme Daily Regime Shifts in Financial Time Series Exchange/Johannesburg Stock Exchange—All Share Index pp. 1-18

- Katleho Makatjane and Ntebogang Moroke
- Innovation and Competitive Intelligence in Business. A Bibliometric Analysis pp. 1-18

- Carlos de las Heras-Rosas and Juan Herrera
- Common Factors in the Term Structure of Credit Spreads and Predicting the Macroeconomy in Japan pp. 1-12

- Takeshi Kobayashi
- Exploring Investment Behavior of Women Entrepreneur: Some Future Directions pp. 1-15

- Umair Baig, Batool Muhammad Hussain, Vida Davidaviciene and Ieva Meidute-Kavaliauskiene
- Revisiting Banking Stability Using a New Panel Cointegration Test pp. 1-8

- Hassan Ghassan, Zakaria Boulanouar and Kabir M. Hassan
- Tick Size and Price Reversal after Order Imbalance pp. 1-13

- Espen Sirnes and Minh Thi Hong Dinh
- Does Trading Volume Drive Systemic Banks’ Stock Return Volatility? Lessons from the Greek Banking System pp. 1-13

- Athanasios Tsagkanos, Konstantinos Gkillas, Christoforos Konstantatos and Christos Floros
- Accounting Comparability and Cash Holdings in Vietnam pp. 1-14

- Liem Thanh Nguyen and Khuong Vinh Nguyen
Volume 9, issue 1, 2021
- Determinants of Intercorporate Investments: An Empirical Investigation of Indian Firms pp. 1-15

- Vedika Saxena and Seshadev Sahoo
- The Role of Betting on Digital Credit Repayment, Coping Mechanisms and Welfare Outcomes: Evidence from Kenya pp. 1-12

- Richard Chamboko and Sevias Guvuriro
- Role of ICT Investment and Diffusion in the Economic Growth: A Threshold Approach for the Empirical Evidence from Pakistan pp. 1-14

- Habib Ur Rahman, Ghulam Ali, Umer Zaman and Carlo Pugnetti
- Why the Par Value of Share Matters to Investors pp. 1-20

- Tadeusz Dudycz and Bogumiła Brycz
- Does Time Varying Risk Premia Exist in the International Bond Market? An Empirical Evidence from Australian and French Bond Market pp. 1-13

- Hira Aftab and A. B. M. Rabiul Alam Beg
- Leading in Switzerland and Poland: A Case Study of Leadership Practices in Financial Services pp. 1-13

- Marc Steinmann and Carlo Pugnetti
- Transmission of Trading Orders through Communication Line with Relativistic Delay pp. 1-11

- Peter B. Lerner
- Analysis of Volatility Volume and Open Interest for Nifty Index Futures Using GARCH Analysis and VAR Model pp. 1-11

- Parizad Phiroze Dungore and Sarosh Hosi Patel
- Nonprofits and Pass-Throughs: Performance Comparison pp. 1-43

- Robert Hull and Shane Van Dalsem
- Determinants of Financial Performance in China’s Intelligent Manufacturing Industry: Innovation and Liquidity pp. 1-19

- Guanghong Zhang and Yune Lee
- Intraday Volatility Spillovers among European Financial Markets during COVID-19 pp. 1-19

- Faheem Aslam, Paulo Ferreira, Khurrum Shahzad Mughal and Beenish Bashir
- A Note on Universal Bilinear Portfolios pp. 1-17

- Alex Garivaltis
- The Impact of Environmental Sustainability Disclosure on Stock Return of Saudi Listed Firms: The Moderating Role of Financial Constraints pp. 1-17

- Abdulaziz Mohammed Alsahlawi, Kaouther Chebbi and Mohammed Abdullah Ammer
- The Moderating Role of Perceived Risks in the Relationship between Financial Knowledge and the Intention to Invest in the Saudi Arabian Stock Market pp. 1-16

- Saleh M. Shehata, Alaa M. Abdeljawad, Loqman A. Mazouz, Lamia Yousif Khalaf Aldossary, Maryam Y. Alsaeed and Mohamed Noureldin Sayed
- Acknowledgment to Reviewers of International Journal of Financial Studies in 2020 pp. 1-4

- International Journal of Financial Studies Editorial Office
- The Effects of Government Bonds on Liquidity Risk and Bank Profitability in Cape Verde pp. 1-23

- José Carlos Teixeira, Carlos Vieira and Paulo Ferreira
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