Journal of Economics and Finance
1997 - 2026
Current editor(s): James Payne From: Springer Academy of Economics and Finance Contact information at EDIRC. Bibliographic data for series maintained by Sonal Shukla () and Springer Nature Abstracting and Indexing (). Access Statistics for this journal.
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Volume 50, issue 1, 2026
- Spillover effects between DeFi assets and ASEAN-6 stock markets pp. 1-30

- Ngo Thai Hung, Nguyen Tran The Dan, Tran Bui Hong Tuoi, Pham Thuy Anh, Nguyen Thuy Thanh Ngan and Luyen Nhat Tam
- Religious debt aversion and competition: evidence from Pakistan pp. 1-19

- Hiep Manh Nguyen, Hang Thu Nguyen and Michael Troege
- Climate risk and corporate cash holdings: an international study pp. 1-43

- Manoja Behera and Jitendra Mahakud
- The linkage of bitcoin and Ethereum with financial markets pp. 1-18

- Umesh Kumar, Biqing Huang and Jennifer Paige Burks
- Pollution and innovation: Evidence from manufacturing firms in China pp. 1-24

- Hongxia Cui and Long Pu
- Do multinational enterprises invest more in happier countries? an empirical investigation using panel data on FDI in 158 countries pp. 1-22

- Jihad Ait Soussane, Abdelghani Chehayebat, Hamza Krimis and Bachir Lakhdar
- Ripple effect of United States political uncertainty on developed and emerging markets: unveiling financial turbulence pp. 1-27

- Vishal Roy and Amit Gautam
Volume 49, issue 4, 2025
- Does uncertainty matter for household consumption? A mean and a two tails approach pp. 909-941

- Konstantina Manou and Evangelia Papapetrou
- Spurious relationships for energy patents using various dependency measures: the case of G7 countries pp. 942-962

- Nikolaos Agiakloglou and Nikolaos Georgopoulos
- The influence of macro-financial conditions on consumer spending through sentiment pp. 963-985

- Jodonnis Rodriguez and James Saunoris
- Risk of rising temperature and newly issued debt maturity: size, industry and regional perspective pp. 986-1024

- Zannatus Saba
- Internal and external financing and imports: Firm-level evidence from India pp. 1025-1057

- Nitika Arneja and Chandan Sharma
- Exploring the sensitivity of BRICS stock markets to oil price shocks: a quantile-on-quantile perspective pp. 1058-1077

- Lumengo Bonga-Bonga
- Artificial intelligence and labor markets: evidence from google trends pp. 1078-1093

- Hakan Yilmazkuday
- How does fintech affect commercial banks’ business performance? Evidence from the Chinese A-share market pp. 1094-1114

- Cuiying Pan, Wee Yeap Lau and Tien-Ming Yip
- Management incentives, governance, and digital transformation: effects on financial disclosure integrity pp. 1115-1145

- Yali Li, Gaobin Du and Yilun Lu
Volume 49, issue 3, 2025
- Future real GDP: real interest rate and inflation matter pp. 661-681

- Gabe de Bondt
- Baltic dry index forecasting using a neuro-fuzzy inference system pp. 682-709

- Ioanna Atsalaki, George S. Atsalakis, Konstantinos D. Melas and Nektarios Michail
- Farm liquidity and business risk from the risk balancing perspective: evidence from selected U.S. states pp. 710-732

- Emin Allahverdiyev, Xudong Rao and Andres Trujillo-Barrera
- The role of greenwashing scandals on investors’ herding behavior pp. 733-767

- Amin Shakourloo and Asil Azimli
- Industrial policy, digital transformation and firms’ GVC position: Dual mechanism of industry structural upgrading and firm bargaining power enhancement pp. 768-794

- Xinyi Gao, Siyuan Dong, Yiling Zhang and Jun Huang
- Analyzing yield curve term structure and connectedness in the Eurozone and G7: A TVP-VAR approach pp. 795-821

- Rabeb Mahjoub, Ali Trabelsi Karoui and Aïda Kammoun
- The nexus of top management structure, stock liquidity and valuation: a puzzle of the Gordian knot pp. 822-853

- Yankuo Qiao
- Determinants of Russia’s probability of default: evidence from domestic and global indicators pp. 854-882

- Mohamed M. Sraieb, Shahnawaz Muhammed, Vladimir Dženopoljac and Samet Gunay
- Understanding the links between firm size, exposure to public officials, and firm corruption pp. 883-907

- Seyedmasood Dastan and John Gibson
Volume 49, issue 2, 2025
- The market ecosystem in the age of algorithms: An analysis of trading dynamics and market quality pp. 343-363

- John Paul Broussard, Andrei Nikiforov and Sergey Osmekhin
- The effects of conventional and unconventional monetary policy shocks on the stock market pp. 364-382

- Sajjadur Rahman
- Gambling attitudes and corporate social responsibility pp. 383-412

- Maretno Agus Harjoto, Sunghoon Joo, Sang Mook Lee and Hakjoon Song
- Exploring the impact of digital transformation and qualifications on wage disparities in urban and rural of Vietnam pp. 413-428

- Dong Thi Nguyen, Tu Thi Ngoc Le and Tran Van Quang
- Multidimensional analysis of finance-growth nexus in Africa: evidence from a panel ARDL model pp. 429-449

- Abebe Gule Girma and Fariz Huseynov
- The impact of geopolitical risk on food prices: evidence from the TVP-SV-VAR model pp. 450-473

- Qiang Liu, Chen Xu and Zhenwei Xu
- Public opinion, elections, and environmental policy stringency in the European Union pp. 474-492

- Georgios Chortareas, Vasileios Logothetis and Andreas A. Papandreou
- Applying Bayesian methods to measure the impact of financial inclusion on banking performance: An empirical analysis for selected countries in Asia pp. 493-510

- Anh Hong Thi Nguyen, Viet Quoc Pham and Huong Thi Phan
- Exchange rate-based inflation stabilization: Theory and practical applications pp. 511-535

- Omer Bayar and Mohammed Mohsin
- Economic downturn and the yield curve: Evidence from Canada and the US pp. 536-567

- Libo Xu
- Environmental factors and financial market spillover pp. 568-612

- Yunzhi Lu, Iordanis Petsas and Jinghan Cai
- Economic policy uncertainty and trade credit: international evidence pp. 613-660

- Athira A, Vishnu K and Rajeev A
Volume 49, issue 1, 2025
- Examining the cost of debt and bond spreads: public vs. private firms in China pp. 1-22

- Lewis Liu
- Risk attitudes and private disability insurance holdings pp. 23-44

- Christos Giannikos, Andreas Kakolyris and Tin Shan Suen
- FEMA declarations, local risk and cost of borrowing in california pp. 45-69

- Danielle S. Lazerson and Salman Tahsin
- Terrorism, tourism and growth: a panel VAR analysis pp. 70-94

- Dionysios Paliouras, Savvas Tsentidis and Theologos Dergiades
- The role of tax competitiveness and neutrality in shaping the size of the shadow economy: cross-country empirical evidence pp. 95-118

- James W. Saunoris and Zarina Nurmanova
- Powerful CFOs and investment efficiency pp. 119-140

- Md Kamrul Hasan Chy and Obed Nana Buadi
- The impact of monetary policy shocks on banks' systemic risk in canada pp. 141-175

- H. Semih Yildirim and Mortaza Baky Haskuee
- A beautiful game on hold – impact of Covid-19 on football stocks pp. 176-210

- Nicolas Schreiber and Dirk Schiereck
- Global financial cycle and eurozone’s financial stress: quantitative easing matters pp. 211-224

- Costas Karfakis and Ioannis Karfakis
- Are the queens green?: Corporate executive gender and the environmental performance of the firm pp. 225-247

- Justin Roush, Mina Lee and Seung-Hyun Lee
- When the numbers don’t add up: anomalies and inconsistencies in bitcoin prices and daily data pp. 248-282

- Edward Gotham
- Persistence in China’s household consumption level: implications for the new growth model pp. 283-298

- Gloria Claudio-Quiroga, Luis Gil-Alana and Andoni Maiza-Larrarte
- Improving realised volatility forecast for emerging markets pp. 299-342

- Mesias Alfeus, Justin Harvey and Phuthehang Maphatsoe
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