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Multinational Finance Journal

1997 - 2021

Current editor(s): Panayiotis C. Andreou

From Multinational Finance Journal
Contact information at EDIRC.

Bibliographic data for series maintained by Theodossiou Panayiotis ().

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Volume 25, issue 3-4, 2021

Sovereign Debt, Management, and Restructurings during the COVID-19 Pandemic pp. 115-149 Downloads
Michael Papaioannou and George Tsetsekos
Banking Crisis, Sovereign Debt Restructurings, and Financial Stability Policies in Cyprus During 2012–13 pp. 163-186 Downloads
Tamon Asonuma, Michael Papaioannou and Takahiro Tsuda
Sovereign Debt Sustainability, Debt Relief Initiatives and Restructurings in the COVID-19 Era pp. 63–71 Downloads
Michael Papaioannou and George Tsetsekos

Volume 25, issue 1-2, 2021

Internal Audit Function Quality and Corporate Governance: The Case of Greece pp. 1-61 Downloads
Christina Vadasi, Michalis Bekiaris and Andreas Andrikopoulos

Volume 24, issue 3-4, 2020

U.S. FDI and Shareholder Rights Protection in Developed and Developing Economies pp. 155-182 Downloads
Vishaal Baulkaran and Nathaniel C. Lupton
The M&A Exit Outcome of High-Tech Startups pp. 183-209 Downloads
Carmen Cotei and Joseph Farhat
Monetary Policy, Risk Aversion and Uncertainty in an International Context pp. 211-266 Downloads
Sakshi Saini, Sanjay Sehgal and Florent Deisting

Volume 23, issue 3-4, 2019

The Valuation of Deposit Insurance Premiums Based on a Specific Bank's Official Default Probability pp. 141-167 Downloads
Shu Ling Chiang and Ming Shann Tsai
Earnings Quality and Book-to-Market in the Cross Section of Expected Returns pp. 169-210 Downloads
Vasiliki Athanasakou and George Athanassakos
The Effect of the PSI in the Relationship Between Sovereign and Bank Credit Risk: Evidence from the Euro Area pp. 211-272 Downloads
Michalis-Panayiotis Papafilis, Maria Psillaki and Dimitris Margaritis

Volume 23, issue 1-2, 2019

Corporate Governance, Cash Flows, and Bank Performance: Developed and Developing Countries pp. 1-36 Downloads
Fatima Faruqi, Tanveer Ahsan, Sultan Sikandar Mirza and Zia-ur-Rehman Rao
Are Funds of Hedge Funds Efficient? An Empirical Analysis for North American, Asia Pacific, and European Long/Short Funds of Hedge Funds pp. 37-64 Downloads
Lan T.P. Nguyen, Malick O. Sy, Cheng M. Yu, Sayed Hossain and Tan B. Chen
Working Capital Investment: A Comparative Study - Canada Versus the United States pp. 65-102 Downloads
Abdul-Rahman Khokhar
Examining Dynamic Interdependencies Among Major Global Financial Markets pp. 103-139 Downloads
Sanjay Sehgal, Sakshi Saini and Florent Deisting

Volume 22, issue 3-4, 2018

A Comparative GARCH Analysis of Macroeconomic Variables and Returns on Modelling the Kurtosis of FTSE 100 Implied Volatility Index pp. 119-172 Downloads
Abdulilah Ibrahim Alsheikhmubarak and Evangelos Giouvris
The Risk-Asymmetry Index as a new Measure of Risk pp. 173-210 Downloads
Elyas Elyasiani, Luca Gambarelli and Silvia Muzzioli
Wealth Effects of Bond Rating Announcements pp. 211-254 Downloads
Yuriy Zabolotnyuk

Volume 22, issue 1-2, 2018

Greek Sovereign Debt: Addressing Economic Distress and Growth in the Euro Area pp. 1-33 Downloads
Panayiotis Alexakis, Gikas Hardouvelis, Dean Paxson, Gordon Sick and Lenos Trigeorgis
The Evolving Nature of Asset Price Bubbles, Financial Instability and Monetary Policy pp. 35-62 Downloads
Anastasios Malliaris
Banking Crisis in Cyprus: Causes, Consequences and Recent Developments pp. 63-118 Downloads
Scott Brown, Demetra Demetriou and Panayiotis Theodossiou

Volume 21, issue 4, 2017

Investment and Cash Flows in Internal Capital Markets: Evidence from Korean Business Groups pp. 211-245 Downloads
Yoon K. Choi, Seung Hun Han and Sangwon Lee
Relative Efficiency of Component GARCH-EVT Approach in Managing Intraday Market Risk pp. 247-283 Downloads
Samit Paul and Madhusudan Karmakar

Volume 21, issue 3, 2017

Are Expatriates Managing Banks' CEE Subsidiaries More Risk Takers? pp. 133-175 Downloads
Liviu Voinea, Ana-Maria Cazacu and Florian Neagu
Bank Profitability and Regulation in Emerging European Markets pp. 177-210 Downloads
Maria-Eleni Agoraki and Anastasios Tsamis

Volume 21, issue 2, 2017

Options Order Flow, Volatility Demand and Variance Risk Premium pp. 49-90 Downloads
Prasenjit Chakrabarti and Kiran Kumar Kotha
An Analysis of Spillovers Between Islamic and Conventional Stock Bank Returns: Evidence from the GCC Countries pp. 91-132 Downloads
Slim Mseddi and Noureddine Benlagha

Volume 21, issue 1, 2017

Asymmetric Fund Performance Characteristics A Comparison of European and US Large-Cap Funds pp. 1-20 Downloads
Kenneth Hogholm, Johan Knif, Gregory Koutmos and Seppo Pynnonen
Dynamic Autocorrelation and International Portfolio Allocation pp. 21-48 Downloads
Jyri Kinnunen and Minna Martikainen

Volume 20, issue 4, 2016

Say-on-Pay: Is Anybody Listening? pp. 273-322 Downloads
Stephani A. Mason, Ann F. Medinets and Dan Palmon
What is the Relation (if any) Between a Firm's Corporate Governance Arrangements and its Financial Performance? pp. 323-354 Downloads
Roberto Wessels, Tom J. Wansbeek and Lammertjan Dam

Volume 20, issue 3, 2016

Corporate Governance, Board Composition, Director Expertise, and Value: The Case of Quality Excellence pp. 181-236 Downloads
Andreas Charitou, Ifigenia Georgiou and Andreas Soteriou
Employees on Corporate Boards pp. 237-271 Downloads
Tom Berglund and Martin Holmen

Volume 20, issue 2, 2016

Value of Control in Family Firms: Evidence from Mergers and Acquisitions pp. 85-126 Downloads
Nihat Aktas, Santo Centineo and Ettore Croci
Valuation Efficiency of Secondary Markets for Formerly Illiquid Assets: The Case of German KG Ship Funds pp. 127-179 Downloads
Andre Kuster Simic, Philipp Lauenstein and Stefan Prigge

Volume 20, issue 1, 2016

Adjustment Cost Determinants and Target Capital Structure pp. 1-39 Downloads
Costas Lambrinoudakis
A Reconsideration of the Meese-Rogoff Puzzle: An Alternative Approach to Model Estimation and Forecast Evaluation pp. 41-83 Downloads
Kelly Burns

Volume 19, issue 4, 2015

Skewed Generalized Error Distribution of Financial Assets and Option Pricing pp. 223-266 Downloads
Panayiotis Theodossiou
Trading Volume and Momentum: The International Evidence pp. 267-313 Downloads
Graham Bornholt, Paul Dou and Mirela Malin

Volume 19, issue 3, 2015

The Pricing of Illiquidity as a Characteristic and as Risk pp. 149-168 Downloads
Yakov Amihud and Haim Mendelson
Idiosyncratic Volatility, Momentum, Liquidity, and Expected Stock Returns in Developed and Emerging Markets pp. 169-221 Downloads
Lorne Switzer and Alan Picard

Volume 19, issue 2, 2015

Dividends and Foreign Performance Signaling pp. 77-107 Downloads
Robert Joliet and Aline Muller
The Determinants of Shareholder Value in Retail Banking During Crisis Years: The Case of Greece pp. 109-147 Downloads
Eleftherios Angelopoulos and Antonios Georgopoulos

Volume 19, issue 1, 2015

Media Content and Stock Returns: The Predictive Power of Press pp. 1-31 Downloads
Nicky J. Ferguson, Dennis Philip, Herbert Y. T. Lam and Jie Michael Guo
Equity Anomalies and Idiosyncratic Risk Around the World pp. 33-75 Downloads
Steve Fan, Scott Opsal and Linda Yu

Volume 18, issue 3-4, 2014

Information Arrival, Jumps and Cojumps in European Financial Markets: Evidence Using Tick by Tick Data pp. 169-213 Downloads
Frédéric Délèze and Syed Mujahid Hussain
The Impact of Textual Sentiment on Sovereign Bond Yield Spreads: Evidence from the Eurozone Crisis pp. 215-248 Downloads
Sha Liu
Impact of Financial Crisis on Firms’ Capital Structure in UK, France, and Germany pp. 249-280 Downloads
Abdullah Iqbal and Ortenca Kume
Systemic Banking Crises, Financial Liberalization and Governance pp. 281-336 Downloads
Basma Majerbi and Houssem Rachdi

Volume 18, issue 1-2, 2014

A Cure Rather than a Disease: Government Ownership and Minority Shareholder Protection pp. 1-41 Downloads
Mihail K. Miletkov
Fund Family Tournament and Performance Consequences: Evidence from the UK fund industry pp. 43-84 Downloads
Zhichao Zhang, Li Ding, Si Zhou and Yaoyao Fu
Did Behavioral Mutual Funds Exploit Market Inefficiencies During or After the Financial Crisis? pp. 85-138 Downloads
Nikolaos Philippas
A Tale of Beauties and Beasts: Testing the Optimal Disclosure Hypothesis pp. 139-167 Downloads
Hakan Jankensgard
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