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 3, issue 4, 2015
- The Effect of Corporate Governance Elements on Corporate Social Responsibility (CSR) Disclosure: An Empirical Evidence from Listed Companies at KSE Pakistan pp. 1-27

- Sadia Majeed, Tariq Aziz and Saba Saleem
- Positive Alpha and Negative Beta (A Strategy for Counteracting Systematic Risk) pp. 1-20

- Erik Sonne Noddeboe and Hans Christian Faergemann
- The Effects of Firm-Specific Factors on the Profitability of Non-Life Insurance Companies in Turkey pp. 1-20

- Emine Öner Kaya
- Do Markets Cointegrate after Financial Crises? Evidence from G-20 Stock Markets pp. 1-30

- Mahfuzul Haque and Hannarong Shamsub
- Is Economic Development Promoting Monetary Integration in East Asia? pp. 1-31

- Kentaro Kawasaki and Zhi-Qian Wang
- TARGET2 Imbalances and the ECB as Lender of Last Resort pp. 1-28

- Francesco Purificato and Caterina Astarita
Volume 3, issue 3, 2015
- Determinants of the Government Bond Yield in Spain: A Loanable Funds Model pp. 1-9

- Yu Hsing
- Net Interoffice Accounts of Global Banks: The Role of Domestic Funding pp. 1-17

- Carmela D'Avino
- Forecasting Returns with Fundamentals-Removed Investor Sentiment pp. 1-23

- Adam Stivers
- Corporate Governance Provisions, Family Involvement, and Firm Performance in Publicly Traded Family Firms pp. 1-36

- Esra Memili and Kaustav Misra
- Systemic Risk in the European Union: A Network Approach to Banks’ Sovereign Debt Exposures pp. 1-36

- Annika Westphal
- Bond Indenture Consent Solicitations as a Debt Management Tool pp. 1-14

- Jamie A. Anderson-Parson, Terrill R. Keasler and Robin T. Byerly
- The Swiss Black Swan Bad Scenario: Is Switzerland Another Casualty of the Eurozone Crisis? pp. 1-30

- Sebastien Lleo and William T. Ziemba
- Performance and Behavior of Family Firms pp. 1-8

- Esra Memili
- Large-Scale Empirical Tests of the Markov Tree Model pp. 1-39

- Harish S. Bhat and Nitesh Kumar
- A Probit Model for the State of the Greek GDP Growth pp. 1-12

- Stavros Degiannakis
- A Soft Intelligent Risk Evaluation Model for Credit Scoring Classification pp. 1-12

- Mehdi Khashei and Akram Mirahmadi
- Fiscal Deficits and Stock Prices in India: Empirical Evidence pp. 1-18

- Pooja Joshi and Arun Giri
Volume 3, issue 2, 2015
- Financial Reforms and Financial Fragility: A Panel Data Analysis pp. 1-18

- Syed Faizan Iftikhar
- Special Issue: Recent Developments in Finance and Banking after the 2008 Crisis pp. 1-2

- Nicholas Apergis and James Earl Payne
- Convergence Studies on Monte Carlo Methods for Pricing Mortgage-Backed Securities pp. 1-15

- Tao Pang, Yipeng Yang and Dai Zhao
- An Improved Valuation Model for Technology Companies pp. 1-15

- Ako Doffou
- On Transaction-Cost Models in Continuous-Time Markets pp. 1-34

- Thomas Poufinas
- Purchasing Power Parity in Transition Countries: Panel Stationary Test with Smooth and Sharp Breaks pp. 1-9

- Mohsen Bahmani-Oskooee, Tsangyao Chang and Tsung-Pao Wu
- The NBA’s Maximum Player Salary and the Distribution of Player Rents pp. 1-9

- Kelly M. Hastings and E. Frank Stephenson
Volume 3, issue 1, 2015
- How the Economic and Financial Situation of the Community Affects Sport Clubs’ Resources: Evidence from Multi-Level Models pp. 1-18

- Pamela Wicker and Christoph Breuer
- Modern and Traditional Methods for Measuring Money Supply: The Case of Saudi Arabia pp. 1-7

- William Barnett and Ryadh Alkhareif
- The Relation between Past Flows and Future Performance: Simple Investment Strategies in the Mutual Fund Sector pp. 1-28

- Martin Rohleder
- Effects of Family Ownership, Debt and Board Composition on Mexican Firms Performance pp. 1-19

- Juan Manuel San Martin-Reyna and Jorge A. Duran-Encalada
- Acknowledgement to Reviewers of the International Journal of Financial Studies in 2014 pp. 1-2

- International Journal of Financial Studies Editorial Office
Volume 2, issue 4, 2014
- Incumbent Decisions about Succession Transitions in Family Firms: A Conceptual Model pp. 1-24

- Britta Boyd, Isabel C. Botero and Tomasz A. Fediuk
- “Hot Hand” in the National Basketball Association Point Spread Betting Market: A 34-Year Analysis pp. 1-12

- Benjamin Waggoner, Daniel Wines, Brian Soebbing, Chad S. Seifried and Jean Michael Martinez
- Are the Scaling Properties of Bull and Bear Markets Identical? Evidence from Oil and Gold Markets pp. 1-20

- Samet Gunay
Volume 2, issue 3, 2014
- Capital Asset Pricing Model Testing at Warsaw Stock Exchange: Are Family Businesses the Remedy for Economic Recessions? pp. 1-14

- Jacek Lipiec
- The Corporate Social Responsibility of Family Businesses: An International Approach pp. 1-26

- Gérard Hirigoyen and Thierry Poulain-Rehm
- Review of Family Business Definitions: Cluster Approach and Implications of Heterogeneous Application for Family Business Research pp. 1-35

- Henrik Harms
- Socio Emotional Wealth Preservation in the REIT Industry: An Exploratory Study pp. 1-20

- Magdy Noguera and Erick Paulo Cesar Chang
Volume 2, issue 2, 2014
- The Effects of the Clock and Kickoff Rule Changes on Actual and Market-Based Expected Scoring in NCAA Football pp. 1-14

- Kenneth Linna, Evan Moore, Rodney Paul and Andrew Weinbach
- Does Trading by Small Investors Improve or Deteriorate Price Efficiency? Evidence from the Minimum Trade Unit Changes on the Korea Exchange pp. 1-17

- Hee-Joon Ahn
- Market Efficiency and Behavioral Biases in the WNBA Betting Market pp. 1-10

- Rodney Paul and Andrew Weinbach
Volume 2, issue 1, 2014
- Dilemmas and Challenges in the Marketing of Hybrid Organizations: A Theoretical Exploration of Dutch Sheltered Work Companies pp. 1-14

- Lieske Van der Torre, Menno Fenger, Mark Van Twist and Daphne Bressers
- Sovereign Credit Risk and Stock Markets–Does the Markets’ Dependency Increase with Financial Distress? pp. 1-23

- Paulo Silva
- Credibility and Crisis Stress Testing pp. 1-67

- Li Lian Ong and Ceyla Pazarbasioglu
- Financial Stability Board: Mandate and Implementation of Its Systemic Risks Standards pp. 1-21

- Rolf H. Weber and Dominic N. Staiger
- The Long-Term Game: An Analysis of the Life Expectancy of National Football League Players pp. 1-11

- Ruud Koning, Victor Matheson, Anil Nathan and James Pantano
- Acknowledgement to Reviewers of the International Journal of Financial Studies in 2013 pp. 1-1

- Editorial Office Ijfs
- Family-Concentrated Ownership in Chinese PLCs: Does Ownership Concentration Always Enhance Corporate Value? pp. 1-19

- Jin-Hui Luo and Heng Liu
- Bank Credit Risk Management and Rating Migration Analysis on the Business Cycle pp. 1-22

- Dimitris Gavalas and Theodore Syriopoulos
Volume 1, issue 4, 2013
- Systematic Positive Expected Returns in the UK Fixed Odds Betting Market: An Analysis of the Fink Tank Predictions pp. 1-15

- Babatunde Buraimo, David Peel and Rob Simmons
- European Markets’ Reactions to Exogenous Shocks: A High Frequency Data Analysis of the 2005 London Bombings pp. 1-14

- Christos Kollias, Stephanos Papadamou and Costas Siriopoulos
- Bank Regulation in Dollarized Economies: The Case of Turkey pp. 1-17

- Erick W. Rengifo, Emre Ozsoz, Mustapha A. Akinkunmi and Eduardo Court
- Organizational Mission and Revenue Diversification among Non-profit Sports Clubs pp. 1-18

- Pamela Wicker, Svenja Feiler and Christoph Breuer
Volume 1, issue 3, 2013
- The Influence of Marketing Scholarship’s Legacy on Nonprofit Marketing pp. 1-17

- Walter Wymer
- Quantity versus Price Rationing of Credit: An Empirical Test pp. 1-9

- George Waters
- On the Choice of the Discount Rate and the Role of Financial Variables and Physical Parameters in Estimating the Levelized Cost of Energy pp. 1-8

- Sergei Manzhos
- How Does the Financial Crisis Affect Volatility Behavior and Transmission Among European Stock Markets? pp. 1-21

- Faten Ben Slimane, Mohamed Mehanaoui and Irfan Akbar Kazi
- New Evidence on the Information and Predictive Content of the Baltic Dry Index pp. 1-19

- Nicholas Apergis and James Payne
Volume 1, issue 2, 2013
- Decomposing US Money Supply Changes since the Financial Crisis pp. 1-13

- Richard Robinson and Marwan El Nasser
Volume 1, issue 1, 2012
- Doomsday for the Euro Area: Causes, Variants and Consequences of Breakup pp. 1-15

- Ansgar Belke and Florian Verheyen
- House Price Forecasts, Forecaster Herding, and the Recent Crisis pp. 1-14

- Christian Pierdzioch, Jan Christoph Rülke and Georg Stadtmann
- Inaugural Letter for the International Journal of Financial Studies (IJFS) pp. 1-2

- Nicholas Apergis
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