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 8, issue 4, 2020
- Population, Income, and Farmland Pricing in an Open Economy pp. 1-18

- Huijian Dong and Xiaomin Guo
- The Role of Corporate Culture in Performance Measurement and Management Systems pp. 1-12

- Michaela Kotkova Striteska and David Zapletal
- A Comprehensive Approach for Calculating Banking Sector Risks pp. 1-21

- Carmelo Salleo, Alberto Grassi and Constantinos Kyriakopoulos
- The Effect of Board Links, Audit Partner Tenure, and Related Party Transactions on Misstatements: Evidence from Chile pp. 1-21

- Sakthi Mahenthiran, Berta Silva Palavecinos and Hanns De La Fuente-Mella
- Candlestick—The Main Mistake of Economy Research in High Frequency Markets pp. 1-15

- Michał Dominik Stasiak
- Compensations of Top Executives and M&A Behaviors: An Empirical Study of Listed Companies pp. 1-13

- Jiao Xue, Heng Fan and Zhanxun Dong
- The Fractional Step Method versus the Radial Basis Functions for Option Pricing with Correlated Stochastic Processes pp. 1-13

- Yusho Kagraoka
- Generalized Hyperbolic Distribution and Portfolio Efficiency in Energy and Stock Markets of BRIC Countries pp. 1-14

- José Antonio Núñez-Mora and Eduardo Sánchez-Ruenes
- Correlation between the DJSI Chile and the Financial Indices of Chilean Companies pp. 1-14

- Karime Chahuán-Jiménez
- A Study on the Pass-Through Rate of the Exchange Rate on the Liquid Natural Gas (LNG) Import Price in China pp. 1-19

- Chaofeng Tang and Kentaka Aruga
- Internal vs. External Corporate Social Responsibility at U.S. Banks pp. 1-28

- Brian Bolton
- Non-Performing Loans for Italian Companies: When Time Matters. An Empirical Research on Estimating Probability to Default and Loss Given Default pp. 1-22

- Giuseppe Orlando and Roberta Pelosi
- Corporate Social Responsibility and Firm Value Protection pp. 1-22

- Daniel Ogachi and Zeman Zoltan
- Do Analysts’ Cash Flow Forecasts Improve Firm Value? pp. 1-25

- Hyun Min Oh, Sam Bock Park and Jong Hyun Kim
- The Impact of Financial Statement Comparability on Earnings Management: Evidence from Frontier Markets pp. 1-25

- Wil Martens, Prem W. S. Yapa and Maryam Safari
- Dealing with Carbon Risk and the Cost of Debt: Evidence from the European Market pp. 1-10

- Fabio Pizzutilo, Massimo Mariani, Alessandra Caragnano and Marianna Zito
- Corporate Social Responsibility: Motives and Financial Performance pp. 1-17

- Muhannad Atmeh, Mohammad Shaban and Malek Alsharairi
- Does Regulation Influence Microfinance Institutions to Be More Client-Responsive? pp. 1-24

- Zakir Morshed, Mohshin Habib and Christine Jubb
- A Quasi-Closed-Form Solution for the Valuation of American Put Options pp. 1-16

- Cristina Viegas and José Azevedo-Pereira
- Monetary Policy Rule and Taylor Principle in Mongolia: GMM and DSGE Approaches pp. 1-16

- Hiroyuki Taguchi and Gunbileg Ganbayar
- The Business Sector, Firm Age, and Performance: The Mediating Role of Foreign Ownership and Financial Leverage pp. 1-16

- Edmund Mallinguh, Christopher Wasike and Zeman Zoltan
Volume 8, issue 3, 2020
- Stock-Market Behavior on Ex-Dates: New Insights from German Stocks with Tax-Free Dividend pp. 1-21

- Felix Kreidl
- Non-Price Criteria for the Evaluation of the Tender Offers in Public Procurement of Ukraine pp. 1-15

- Alexander Baranovsky, Nataliia Tkachenko, Vladimer Glonti, Valentyna Levchenko, Kateryna Bogatyrova, Zaza Beridze, Larisa Belinskaja and Iryna Zelenitsa
- Forecasting Credit Ratings of EU Banks pp. 1-15

- Vasilios Plakandaras, Periklis Gogas, Theophilos Papadimitriou, Efterpi Doumpa and Maria Stefanidou
- Financial Risk and Financial Performance: Evidence and Insights from Commercial and Services Listed Companies in Nairobi Securities Exchange, Kenya pp. 1-15

- Susan Kerubo Onsongo, Stephen M. A. Muathe and Lucy Wamugo Mwangi
- The Determinants of the U.S. Consumer Sentiment: Linear and Nonlinear Models pp. 1-13

- Marwane El Alaoui, Elie Bouri and Nehme Azoury
- Audit of Museum Marketing Communication in the Modern Management Context pp. 1-13

- Václav Kupec, Michal Lukáč, Peter Štarchoň and Gabriela Pajtinková Bartáková
- Socially Responsible Investing as a Competitive Strategy for Trading Companies in Times of Upheaval Amid COVID-19: Evidence from Spain pp. 1-13

- Jesús Palma-Ruiz, Julen Castillo-Apraiz and Raúl Gómez-Martínez
- The Driving Factors of EMU Government Bond Yields: The Role of Debt, Liquidity and Fiscal Councils pp. 1-13

- Anastasios Pappas and Ioannis Kostakis
- Twenty Years of Mortgage Banking in Slovakia pp. 1-30

- Eva Horvatova
- Financial and Economic Assessment of Tidal Stream Energy—A Case Study pp. 1-20

- Stocker Klaus
- Industry 4.0 in Finance: The Impact of Artificial Intelligence (AI) on Digital Financial Inclusion pp. 1-14

- David Mhlanga
- Evaluation of the Reverse Mortgage Option in Korea: A Long Straddle Perspective pp. 1-14

- Kyung Jin Choi, Byungkwon Lim and Jaehwan Park
- Debt Origin and Investment Efficiency from Korea pp. 1-27

- Heung Joo Jeon and Hyun Min Oh
- Pass-Through and C Corp Outputs under TCJA pp. 1-32

- Robert Hull
- Quality Determination of the Saudi Retail Banking System and the Challenges of Vision 2030 pp. 1-19

- Mohammad Ishfaq, Heitham Al Hajieh and Majed Alharthi
- Bank-Specific and Macroeconomic Determinants of Profitability: A Revisit of Pakistani Banking Sector under Dynamic Panel Data Approach pp. 1-19

- Habib-ur Rahman, Muhammad Waqas Yousaf and Nageena Tabassum
- The Impacts of International Political and Economic Events on Japanese Financial Markets pp. 1-10

- Mirzosaid Sultonov
- Spillovers from the Slowdown in China on Financial and Energy Markets: An Application of VAR–VECH–TARCH Models pp. 1-17

- Caner Özdurak and Veysel Ulusoy
- Conformity of Annual Reports to an Integrated Reporting Framework: ASE Listed Companies pp. 1-24

- Ghada A. Altarawneh and Asma’a Omar Al-Halalmeh
- Robust Optimization-Based Commodity Portfolio Performance pp. 1-16

- Ramesh Adhikari, Kyle J. Putnam and Humnath Panta
- Incomplete Share Repurchase Programs in Vietnam: Completion Rates and Short-Term Returns pp. 1-16

- Kien Cao, Thuy Nguyen, Hong Nguyen and Hien Bui
Volume 8, issue 2, 2020
- Impact of Capital Regulation and Market Discipline on Capital Ratio Selection: A Cross Country Study pp. 1-13

- Ahmed Hunjra, Qasim Zureigat and Rashid Mehmood
- Corporate Governance and Stock Price Synchronicity: Empirical Evidence from Vietnam pp. 1-13

- Anh Huu Nguyen, Thu Minh Thi Vu and Quynh Truc Thi Doan
- Financial Inclusion in Ethiopia: Is It on the Right Track? pp. 1-13

- Tekeste Berhanu Lakew and Hossein Azadi
- Evidence of Intraday Multifractality in European Stock Markets during the Recent Coronavirus (COVID-19) Outbreak pp. 1-13

- Faheem Aslam, Wahbeeah Mohti and Paulo Ferreira
- The Intersection of Islamic Microfinance and Women’s Empowerment: A Case Study of Baitul Maal Wat Tamwil in Indonesia pp. 1-13

- Ninik Sri Rahayu
- Blockchain-Enabled Corporate Governance and Regulation pp. 1-41

- Dulani Jayasuriya Daluwathumullagamage and Alexandra Sims
- Corporate Governance Mechanisms, Ownership and Firm Value: Evidence from Listed Chinese Firms pp. 1-26

- Yusheng Kong, Takuriramunashe Famba, Grace Chituku-Dzimiro, Huaping Sun and Ophias Kurauone
- Investor Sentiment and Herding Behavior in the Korean Stock Market pp. 1-14

- Ki-Hong Choi and Seong-Min Yoon
- A Holistic Model Validation Framework for Current Expected Credit Loss (CECL) Model Development and Implementation pp. 1-36

- Michael Jacobs
- Jump Driven Risk Model Performance in Cryptocurrency Market pp. 1-18

- Ramzi Nekhili and Jahangir Sultan
- Data Envelopment Analysis and Multifactor Asset Pricing Models pp. 1-18

- Pablo Solórzano-Taborga, Ana Belén Alonso-Conde and Javier Rojo-Suárez
- Are We Ready for the Challenge of Banks 4.0? Designing a Roadmap for Banking Systems in Industry 4.0 pp. 1-29

- Amir Mehdiabadi, Mariyeh Tabatabeinasab, Cristi Spulbar, Amir Karbassi Yazdi and Ramona Birau
- Towards Improving Households’ Investment Choices in Tanzania: Does Financial Literacy Really Matter? pp. 1-10

- Josephat Lotto
- Does Monetary Policy Influence the Profitability of Banks in New Zealand? pp. 1-17

- Vijay Kumar, Sanjeev Acharya and Ly Ho
- Improving Supply Chain Profit through Reverse Factoring: A New Multi-Suppliers Single-Vendor Joint Economic Lot Size Model pp. 1-16

- Beatrice Marchi, Simone Zanoni and Mohamad Y. Jaber
- The Qualitative Characteristics of Accounting Information, Earnings Quality, and Islamic Banking Performance: Evidence from the Gulf Banking Sector pp. 1-16

- Ibrahim Ahmed
- Efficiency of the Brazilian Bitcoin: A DFA Approach pp. 1-9

- Derick Quintino, Jessica Campoli, Heloisa Burnquist and Paulo Ferreira
- A Quantitative Model Supporting Socially Responsible Public Investment Decisions for Sustainable Tourism pp. 1-9

- Aurora Skrame, Claudio Ciancio, Vincenzo Corvello and Roberto Musmanno
- Stock Market Contagion during the Global Financial Crises: Evidence from the Chilean Stock Market pp. 1-22

- Sakthi Mahenthiran, Tom Gjerde and Berta Silva
Volume 8, issue 1, 2020
- The Role of ‘Digitalization’ in German Sustainability Bank Reporting pp. 1-15

- Florian Diener and Miroslav Špaček
- Research on Audit Supervision of Internet Finance pp. 1-15

- Hua Liu and Sheng Ge
- Comparative Advantages of Free Trade Port Construction in Shanghai under the Belt and Road Initiative pp. 1-15

- Hao Hu, Shufang Wang and Jinliao He
- Dividend Policy and Institutional Holdings: Evidence from Australia pp. 1-14

- Thao Nguyen and Hui Li
- Towards Extending Dividend Puzzle Debate: What Motivates Distribution of Corporate Earnings in Tanzania? pp. 1-14

- Josephat Lotto
- Determinants of Indebtedness: Influence of Behavioral and Demographic Factors pp. 1-14

- Mahfuzur Rahman, Nurul Azma, Md. Abdul Kaium Masud and Yusof Ismail
- Portfolio Choice for a Resource-Based Sovereign Wealth Fund: An Analysis of Cash Flows pp. 1-20

- Knut Anton Mork, Hanna Marisela Eap and Magnus Eskedal Haraldsen
- Does Geographical Discrimination Exist in Online Lending in China: An Empirical Study Based on Chinese Loan Platform Renren pp. 1-20

- Tianlei Pi, Yaosen Liu and Jiahui Song
- The Impact of Education on Household Income in Rural Vietnam pp. 1-8

- Hung Van Vu
- Existence of the Audit Expectation Gap and Its Impact on Stakeholders’ Confidence: The Moderating Role of the Financial Reporting Council pp. 1-25

- Taslima Akther and Fengju Xu
- The Bayesian Approach to Capital Allocation at Operational Risk: A Combination of Statistical Data and Expert Opinion pp. 1-25

- Mohamed Habachi and Saâd Benbachir
- Key Audit Matters for Production-To-Order Industry and Conservatism pp. 1-19

- Chang-yeol In, Taeheung Kim and Sambock Park
- Are Corporate Bond Defaults Contagious across Sectors? pp. 1-17

- Colin Ellis
- Global Economy: New Risks and Leadership Problems pp. 1-17

- Viacheslav M. Shavshukov and Natalia A. Zhuravleva
- State-Dependent Stock Liquidity Premium: The Case of the Warsaw Stock Exchange pp. 1-24

- Szymon Stereńczak
- Market Orientation and Marketing Innovation Activities in the Czech Manufacturing Sector pp. 1-9

- Marek Vokoun and Romana Píchová
- Acknowledgement to Reviewers of International Journal of Financial Studies in 2019 pp. 1-4

- International Journal of Financial Studies Editorial Office
- Disclosure of Strategic Managers’ Factotum: Behavioral Incentives of Innovative Business pp. 1-23

- Pavol Durana, Katarina Valaskova, Ladislav Vagner, Silvia Zadnanova, Ivana Podhorska and Anna Siekelova
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