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International Journal of Finance & Economics

2011 - 2025

Continuation of International Journal of Finance & Economics.

Current editor(s): Mark P. Taylor, Keith Cuthbertson and Michael P. Dooley

From John Wiley & Sons, Ltd.
Bibliographic data for series maintained by Wiley Content Delivery (contentdelivery@wiley.com).

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Volume 27, issue 4, 2022

Essays in modelling financial market dynamics: An overview pp. 3803-3804 Downloads
Fredj Jawadi
Technology trade with asymmetric tax regimes and heterogeneous labour markets: Implications for macro quantities and asset prices pp. 3805-3831 Downloads
Giuliano Curatola, Michael Donadelli and Patrick Grüning
The degree of international trade and exchange rate exposure—Firm‐level evidence from two small open economies pp. 3832-3850 Downloads
Annelies Van Cauwenberge, Vancauteren Mark, Braekers Roel and Vandemaele Sigrid
Emerging markets financial sector debt: A Markov‐switching study of interest rate sensitivity pp. 3851-3863 Downloads
Mariya Gubareva and Benjamin Keddad
Detecting crisis vulnerability using yield spread interconnectedness pp. 3864-3880 Downloads
Fernando Garcia Alvarado
A latent‐factor‐driven endogenous regime‐switching non‐Gaussian model: Evidence from simulation and application pp. 3881-3896 Downloads
Ruijun Bu, Jie Cheng and Fredj Jawadi
Intersectoral network‐based channel of aggregate TFP shocks pp. 3897-3910 Downloads
Kristina Barauskaite (Griskeviciene) and Anh Nguyen
Stock market dynamics and the relative importance of domestic, foreign, and common shocks pp. 3911-3923 Downloads
Martin Ademmer, Wolfram Horn and Josefine Quast
On the effect of oil price in the context of Covid‐19 pp. 3924-3933 Downloads
Fredj Jawadi and Mohamed Sellami
Trade credit and firm profitability: Empirical evidence from India pp. 3934-3953 Downloads
H. Kent Baker, Debidutta Pattnaik and Satish Kumar
Estimating price impact via deep reinforcement learning pp. 3954-3970 Downloads
Yi Cao and Jia Zhai
Evaluating tail risks for the U.S. economic policy uncertainty pp. 3971-3989 Downloads
Nicholas Apergis
The Janus view: Do market participants looking into the past impact foreign exchange volatility? pp. 3990-4001 Downloads
Smita Roy Trivedi
Crude oil market and Nigerian stocks: An asymmetric information spillover approach pp. 4002-4017 Downloads
David Okorie and Boqiang Lin
Government and private sectors' electronic transfer practices and financial inclusion in the economic community of the West African States pp. 4018-4047 Downloads
Ibrahim Niankara
Where should we go? Internet searches and tourist arrivals pp. 4048-4057 Downloads
Serhan Cevik
Growth and wage effects of the monetary policy pp. 4058-4084 Downloads
Óscar Afonso
Anti‐money laundering regulations and financial sector development pp. 4085-4104 Downloads
Isaac Ofoeda, Elikplimi K. Agbloyor, Joshua Y. Abor and Kofi A. Osei
Oil price risk and the cross‐section of stock returns in Turkey pp. 4105-4122 Downloads
Asil Azimli
The financial requirements of tech startups over its lifecycle in Bangalore: An analysis of why and how do they differ? pp. 4123-4141 Downloads
Shivalik Singh and M H Bala Subrahmanya
Assessing the effectiveness of the emergency liquidity assistance tool in the euro area pp. 4142-4153 Downloads
Eleftheria Kostika and Nikiforos Laopodis
Domestic inflation, exchange rate, and aggregate import demand nexus in Nigeria: New evidence from cointegrating regression pp. 4154-4165 Downloads
Luanping Zhou, Bruce Iormom, Muhammad Salman Azhar and Michael Yao‐Ping Peng
Mechanisms leading to equilibrium in economy with financial market pp. 4166-4182 Downloads
Agnieszka Lipieta and Ilona Ćwięczek
Institutional determinants of FDI in Oman: Causality analysis framework pp. 4183-4195 Downloads
Omer Ali Ibrahim, Sonal Devesh and Mughees Shaukat
Inflation and economic activity in advanced and emerging economies pp. 4196-4223 Downloads
Apostolos Serletis and Jinan Liu
Threshold effects in the relationship between inflation and economic growth: Further empirical evidence from the developed and developing world pp. 4224-4243 Downloads
Muhammad Azam and Saleem Khan
Agricultural production efficiency of Indian states: Evidence from data envelopment analysis pp. 4244-4255 Downloads
Manogna R. L. and Aswini Kumar Mishra
Investigating the determinants of commercial bank interest rate spreads in Lesotho: Evidence from autoregressive distributed lag (ARDL) and non‐linear ARDL approaches pp. 4256-4278 Downloads
Moeti Damane
Which uncertainty is powerful to forecast crude oil market volatility? New evidence pp. 4279-4297 Downloads
Xiafei Li, Yu Wei, Xiaodan Chen, Feng Ma, Chao Liang and Wang Chen
Multi‐scale inter‐temporal capital asset pricing model pp. 4298-4317 Downloads
Ryuta Sakemoto
Independence day: Political risk and cross‐sectional determinants of firm exposure after the Catalan crisis pp. 4318-4335 Downloads
Pedro L. Angosto‐Fernández and Victoria Ferrández‐Serrano
A cross‐country study on informed herding pp. 4336-4349 Downloads
Tao Chen
Glassdoor's best places to work internationally: Are they best for shareholders? pp. 4350-4363 Downloads
Greg Filbeck, Xin Zhao and Matthew Warnaka
Stock market development and nexus of market liquidity: The case of Fiji pp. 4364-4382 Downloads
Candauda Arachchige Saliya
Is the relationship between corruption, government stability and non‐performing loans non‐linear? A threshold analysis for the MENA region pp. 4383-4398 Downloads
Abdelaziz Hakimi, Rim Boussaada and Majdi Karmani
Does foreign direct investments in financial services induce financial development? Lessons from emerging economies pp. 4399-4411 Downloads
Jithin P and Suresh Babu M
Predictive power of implied volatility of structured call warrants: Evidence from Singapore pp. 4412-4430 Downloads
Najmi Ismail Murad Samsudin, Azhar Mohamad, Imtiaz Mohammad Sifat and Zarinah Hamid
Financial sector transparency, financial crises and market power: A cross‐country evidence pp. 4431-4450 Downloads
Baah Kusi, Elikplimi Agbloyor, Agyapomaa Gyeke‐Dako and Simplice Asongu
The fragmentation of international banking regulation pp. 4451-4471 Downloads
Ravel Sami Jabbour
Determinants of stock market returns in emerging markets: The linkage between institutional quality and macro liquidity pp. 4472-4486 Downloads
Canh Nguyen, Christophe Schinckus, Thanh Su and Felicia H. L. Chong
The impact of macro economy on the oil price volatility from the perspective of mixing frequency pp. 4487-4514 Downloads
Xu Gong, Mingchao Wang and Liuguo Shao
Relationship between stock returns and inflation: New evidence from the US using wavelet and causality methods pp. 4515-4540 Downloads
Aviral Tiwari, Adeolu O. Adewuyi, Olabanji Awodumi and David Roubaud
The uncertainty spillovers of China's economic policy: Evidence from time and frequency domains pp. 4541-4555 Downloads
Tangyong Liu, Xu Gong and Lizhi Tang
Delayed informed trades and opinion divergence: Evidence from earnings releases pp. 4556-4574 Downloads
Tao Chen
Managerial overconfidence and bank loan covenant usage pp. 4575-4598 Downloads
Jan P. Voon, Chen Lin and Yiu. C. Ma
Analysis of financial development and foreign direct investment inflows nexus in ECOWAS countries: Least squares dummy variable approach pp. 4599-4606 Downloads
Salihu Shuaibu, Suleiman A. Badayi and Balarabe A. Musa
The behaviour of U.S. stocks to financial and health risks pp. 4607-4618 Downloads
Afees Salisu, Ibrahim Raheem and Godstime O. Eigbiremolen
Have European banks maintained their payout policy during the crisis? The role of scrip dividends pp. 4619-4632 Downloads
David Blanco‐Alcántara, Jorge Gallud‐Cano, Félix J. López‐Iturriaga and Óscar López‐ de‐Foronda
Cryptocurrencies: A survey on acceptance, governance and market dynamics pp. 4633-4659 Downloads
Aiman Hairudin, Imtiaz Mohammad Sifat, Azhar Mohamad and Yusniliyana Yusof
Time‐varying roles of housing risk factors in state‐level housing markets pp. 4660-4683 Downloads
MeiChi Huang
The Tunisian exchange rate regime: Is it really floating? pp. 4684-4704 Downloads
Mohamed Bouabidi
Does operating leverage increase firm's profitability and bankruptcy risk? Evidence from China's entry into WTO pp. 4705-4721 Downloads
Qizhi Tao, Zohaib Zahid, Azhar Mughal and Farrukh Shahzad
Examining foreign direct investment determinants of tourism industry in Oman and Egypt: The moderating role of investment environment pp. 4722-4740 Downloads
Nasser A. Alkathiri and Mohammad Soliman
Determinants of loan survival rates for small and medium‐sized enterprises: Evidence from an emerging economy pp. 4741-4755 Downloads
Enrique Batiz‐Zuk, Fabrizio López‐Gallo, Abdulkadir Mohamed and Fátima Sánchez‐Cajal
Credit information sharing and non‐performing loans: The moderating role of creditor rights protection pp. 4756-4769 Downloads
Michael Adusei and Ngozi Adeleye
Forecasting the oil price realized volatility: A multivariate heterogeneous autoregressive model pp. 4770-4783 Downloads
Yusui Tang, Feng Ma, Yaojie Zhang and Yu Wei
Some new efficient mean–variance portfolio selection models pp. 4784-4796 Downloads
Zhifeng Dai and Jie Kang
Grabbing hand or helping hand? Ownership interventions and acquirers returns; the role of provincial idiosyncrasies pp. 4797-4815 Downloads
Evans Opoku‐Mensah, Yuming Yin, Sandra Chukwudumebi Obiora and Peter Adjei Darko
Daily investor sentiment, order flow imbalance and stock liquidity: evidence from the Chinese stock market pp. 4816-4836 Downloads
Haiyuan Yin, Xingying Wu and Sophie X Kong
A note on reserve requirements and banks' liquidity pp. 4837-4852 Downloads
Joseph Bitar

Volume 27, issue 3, 2022

The effect of present‐biased preferences on revolving debts: Evidence from urban households in China pp. 2653-2668 Downloads
Chunchun Chen, Chengchun Li and Guoying Ren
Fiscal decentralization and convergence in government spending in Malaysia pp. 2669-2681 Downloads
Yusniliyana Yusof, Kaliappa Kalirajan and Azhar Mohamad
Finance‐growth nexus: New insight from Ghana pp. 2682-2723 Downloads
Isaac Appiah‐Otoo and Na Song
Dollarization, inflation and foreign exchange markets: A cross‐country analysis pp. 2724-2736 Downloads
Hail Park and Jong Chil Son
A three‐dimensional asymmetric power HEAVY model pp. 2737-2761 Downloads
Stavroula Yfanti, Georgios Chortareas, Menelaos Karanasos and Emmanouil Noikokyris
Revisiting the finance‐growth nexus: A socioeconomic approach pp. 2762-2783 Downloads
Charalampos Agiropoulos, Michael Polemis, Michael Siopsis and Sotiris Karkalakos
The pandemic and economic policy uncertainty pp. 2784-2794 Downloads
Saud Asaad Al‐Thaqeb, Barrak Ghanim Algharabali and Khaled Tareq Alabdulghafour
Key factors of the net interest margin of European and US banks in a low interest rate environment pp. 2795-2818 Downloads
Petr Hanzlík and Petr Teplý
The resilience of the U.S. banking system pp. 2819-2835 Downloads
Theophilos Papadimitriou, Periklis Gogas and Anna Agrapetidou
A new approach to exchange rate forecast: The role of global financial cycle and time‐varying parameters pp. 2836-2848 Downloads
Ibrahim Raheem and Xuan Vinh Vo
Small business investment: The importance of financing strategies and social networks pp. 2849-2872 Downloads
Bach Nguyen
Credit rating and competition pp. 2873-2897 Downloads
Nelson Camanho, Pragyan Deb and Zijun Liu
Modelling the impact of audit/remuneration committee overlap on debtholders' perceptions of accounting information quality: The role of CEO power pp. 2898-2920 Downloads
Redhwan Al‐Dhamari, Abdulsalam Saad Alquhaif and Bakr Ali Al‐Gamrh
Impact of bank capital on non‐performing loans: New evidence of concave capital from dynamic panel‐data and time series analysis in Malaysia pp. 2921-2948 Downloads
Yaman Hajja
To sell the cow and drink the milk: How could China harmonize its growth and risk? pp. 2949-2964 Downloads
Ku‐Hsieh Chen, Pei‐Hua Chen, Yen‐Ju Lin and Ching‐Fang Chi
Evaluating stock trading behaviour: Information sources nexus through intrinsic and extrinsic motivation pp. 2965-2976 Downloads
Safeer Ullah Khan, Mansi Wang, Ikram Ullah Khan and Xiang‐dong Liu
CEO overconfidence and bank systemic risk: Evidence from U.S. bank holding companies pp. 2977-2996 Downloads
Liang Liu, Hang Le and Steve Thompson
Matched trade at the firm level and the micro origins of international business‐cycle comovement pp. 2997-3009 Downloads
Richard Friberg and Mark Sanctuary
Foreign financial flows, human capital and economic growth in African developing countries pp. 3010-3031 Downloads
Thanh Su and Canh Nguyen
Regional integration and bilateral FDI stocks in the OECD pp. 3032-3050 Downloads
Ray Barrell and Abdulkader Nahhas
The performance of UK stock recommendation revisions: Does brokerage house reputation matter? pp. 3051-3070 Downloads
Chen Su, Hanxiong Zhang and Nathan Lael Joseph
Chairperson and CEO foreignness and CG quality of emerging markets MNCs: Moderating role of international board interlocks pp. 3071-3092 Downloads
Geofry Areneke and Abongeh A. Tunyi
Industry momentum and reversals in stock markets pp. 3093-3138 Downloads
Nicholas Apergis, Vasilios Plakandaras and Ioannis Pragidis
Financial development, financial structure and economic growth in the Sub‐Saharan African countries pp. 3139-3162 Downloads
Salifou Ouedraogo and Hamidou Sawadogo
Financial cycles around the world pp. 3163-3201 Downloads
Amat Adarov
Can black swans be tamed with a flexible mean‐variance specification? pp. 3202-3227 Downloads
Vasiliki Chatzikonstanti and Michail Karoglou
Assessing uncertainty in the natural rate of interest: Info‐gap as guide for monetary policy in the euro area pp. 3228-3245 Downloads
Yakov Ben‐Haim and Jan Willem End
Institutions and trade‐related inequality pp. 3246-3264 Downloads
Christopher Hartwell
A developing country's commercial banking risk governance disclosures: Post‐financial crisis pp. 3265-3286 Downloads
Diana Weekes‐Marshall
Government expenditures and economic growth in the MENA region: A dynamic heterogeneous panel estimation pp. 3287-3299 Downloads
Mohammed Daher Alshammary, Norlin Khalid, Zulkefly Abdul Karim and Riayati Ahmad
On the subprime crisis and the Latin American financial markets: A regime switching skew‐normal approach pp. 3300-3314 Downloads
Diego Ferreira and Andreza Palma
Does boardroom gender diversity affect shareholder wealth? Evidence from bank mergers and acquisitions pp. 3315-3344 Downloads
Ioannis Tampakoudis, Andreas Andrikopoulos, Michail Nerantzidis and Nikolaos Kiosses
Empirical analysis of debt maturity, cash holdings and firm investment in developing economies pp. 3345-3372 Downloads
Matthias Nnadi, Vachiraporn Surichamorn, Ranadeva Jayasekera and Yacine Belghitar
Insider trading in the run‐up to merger announcements. Before and after the UK's Financial Services Act 2012 pp. 3373-3385 Downloads
Rebecca Pham and Marcel Ausloos
Time‐frequency analysis of risk spillovers from oil to BRICS stock markets: A long‐memory Copula‐CoVaR‐MODWT method pp. 3386-3404 Downloads
Yonghong Jiang, Jinqi Mu, He Nie and Lanxin Wu
Governance and financial development: Evidence from a global sample of 120 countries pp. 3405-3420 Downloads
Henri Atanga Ondoa and Arthur M. Seabrook
Determinants of the renminbi anchor effect: From the perspective of the belt and road initiative pp. 3421-3433 Downloads
Wanlin Cai
Determinants of credit risk in Palestine: Panel data estimation pp. 3434-3443 Downloads
Mohammed T. Abusharbeh
Examining the relationship between unconventional monetary policy and exchange rate movements: Empirical evidence from United States quantitative easing pp. 3444-3458 Downloads
Serag Masoud, Murad Bein and Wagdi Khalifa
Did China‐Pakistan free trade agreement promote trade and development in Pakistan? pp. 3459-3474 Downloads
Syed H. Shah, Muhammad A. Kamal and Da L. Yu
Stock liquidity and trade credit: Evidence from Indian firms pp. 3475-3483 Downloads
Nufazil Altaf
Corporate bonds, exchange rates and memorandum: Evidence from Greece and Ireland pp. 3484-3489 Downloads
Konstantina Vartholomatou, Konstantina Pendaraki and Athanasios Tsagkanos
Turnover of local government core officials, political connections and the investment and financing of private‐sector enterprises pp. 3490-3509 Downloads
Han Yu, Abraham Y. Nahm and Zengji Song
Detecting capital flow surges in developing countries pp. 3510-3530 Downloads
Ahmet Kaya, Lutfi Erden and Ibrahim Ozkan
Exchange rate fluctuations and interest rate policy pp. 3531-3549 Downloads
Tie‐Ying Liu and Chien-Chiang Lee
Target shareholder gains, peer firm values, and merger and acquisition announcements pp. 3550-3563 Downloads
Sangwon Lee
The impact of financial deepening on income inequality: Empirical evidence from Australia pp. 3564-3579 Downloads
Yongfen Shi, Sudeshna Paul and Sudharshan Reddy Paramati
Arrests and indictments of corporate insiders, ownership structure, and corporate governance: Evidence from Korea pp. 3580-3598 Downloads
Jaemin Kim and Joon‐Seok Kim
Environmental disaster and women self‐sustainability—A survey study on microfinance female clientele in Pakistan pp. 3599-3622 Downloads
Waseem Ul Hameed, Muhammad Haseeb, Jawad Iqbal, Leonardus W. W. Mihardjo and Kittisak Jermsittiparsert
ESG investment: What do we learn from its interaction with stock, currency and commodity markets? pp. 3623-3639 Downloads
Emil Andersson, Mahim Hoque, Md Lutfur Rahman, Gazi Uddin and Ranadeva Jayasekera
Are cryptocurrencies connected to gold? A wavelet‐based quantile‐in‐quantile approach pp. 3640-3659 Downloads
Seyram Pearl Kumah and Jones Odei-Mensah
Implications of the overconfidence bias in presence of private information: Evidence from MENA stock markets pp. 3660-3678 Downloads
Ramzi Boussaidi
Efficient portfolio construction by means of CVaR and k‐means++ clustering analysis: Evidence from the NYSE pp. 3679-3693 Downloads
Fazlollah Soleymani and Mahdi Vasighi
Does crude oil futures price really help to predict spot oil price? New evidence from density forecasting pp. 3694-3712 Downloads
Lan Bai, Xiafei Li, Yu Wei and Guiwu Wei
Leveraging random forest in micro‐enterprises credit risk modelling for accuracy and interpretability pp. 3713-3729 Downloads
Mohammad S. Uddin, Guotai Chi, Mazin A. M. Al Janabi and Tabassum Habib
Are the top six cryptocurrencies efficient? Evidence from time‐varying long memory pp. 3730-3740 Downloads
Sangram Keshari Jena, Aviral Tiwari, Buhari Doğan and Shawkat Hammoudeh
What's in an education? Implications of CEO education for financial inclusion pp. 3741-3753 Downloads
Tasawar Nawaz
Modelling sustainability efficiency in banking pp. 3754-3772 Downloads
Yong Tan and Mike G. Tsionas
Dating currency crises and designing early warning systems: Meta‐possibilistic fuzzy index functions pp. 3773-3790 Downloads
Nihat Tak and Adem Gök
What can inverse VIX contribute to an investment portfolio? pp. 3791-3798 Downloads
Wei‐Han Liu and Jow‐Ran Chang

Volume 27, issue 2, 2022

The impacts of oil price shocks and United States economic uncertainty on global stock markets pp. 1595-1607 Downloads
Dohyoung Kwon
Inflation in the G7 and the expected time to reach the reference rate: A nonparametric approach pp. 1608-1620 Downloads
Inês da Cunha Cabral and João Nicolau
A GARCH approach to model short‐term interest rates: Evidence from Spanish economy pp. 1621-1632 Downloads
Javier Sánchez García and Salvador Cruz Rambaud
Financial contagion in real economy: The key role of policy uncertainty pp. 1633-1682 Downloads
Aristeidis Samitas, Elias Kampouris and Zaghum Umar
External debt in developing countries since HIPC and MDRI: What are the driving factors? pp. 1683-1699 Downloads
Abdoul' Ganiou Mijiyawa
Do movements in macroeconomic determinants affect American depository receipt prices? Evidence from France pp. 1700-1710 Downloads
Muhammad Ahad and Zaheer Anwer
Exchange rate factors, income levels, and investment abroad: An empirical study based on a sample of emerging economies pp. 1711-1730 Downloads
Yu Ma and Xinqian Du
The impact of government assistance on banks' efficiency pp. 1731-1748 Downloads
Md. Jahir Uddin Palas and Fernando Moreira
The non‐payout functions of deposit insurance schemes pp. 1749-1768 Downloads
Magdalena Kozińska
Hedging capabilities of Bitcoin for Asian currencies pp. 1769-1784 Downloads
Takuji Kinkyo
Threshold effects of housing affordability and financial development on the house price‐consumption nexus pp. 1785-1806 Downloads
Esra Alp Coşkun, Nicholas Apergis and Yener Coskun
Does counter‐guarantee affect microcredit mechanism's performance on repayment? Evidence from Guangzhou, China pp. 1807-1817 Downloads
Meishan Jiang, Krishna Paudel and Seydina O. Sene
The single supervisory mechanism: Competitive implications for the banking sectors in the euro area pp. 1818-1835 Downloads
Iryna Okolelova and Jacob Bikker
Technical analysis using Heiken Ashi Stochastic: To catch a trend, use a HASTOC pp. 1836-1847 Downloads
Smita Roy Trivedi
Decomposing scale and technique effects of economic growth on energy consumption: Fresh evidence from developing economies pp. 1848-1869 Downloads
Muhammad Shahbaz, Avik Sinha and Andreas Kontoleon
A meta‐analysis of SMEs literature based on the survey on access to finance of enterprises of the European central bank pp. 1870-1885 Downloads
Lisana B. Martinez, M. Belén Guercio and Aurelio Fernandez Bariviera
Is there a threshold effect in the liquidity risk–non‐performing loans relationship? A PSTR approach for MENA banks pp. 1886-1898 Downloads
Rim Boussaada, Abdelaziz Hakimi and Majdi Karmani
Momentum crashes and variations to market liquidity pp. 1899-1911 Downloads
Hilal Anwar Butt and Nader Shahzad Virk
An empirical examination of the impact of country‐level corporate governance on profitability of Indian banks pp. 1912-1932 Downloads
Faozi A. Almaqtari, Abdulwahid Hashid, Najib H. S. Farhan, Mosab I. Tabash and Waleed M. Al‐ahdal
Financial wealth effects and consumption expenditure pp. 1933-1946 Downloads
Vighneswara Swamy
Which predictor is more predictive for Bitcoin volatility? And why? pp. 1947-1961 Downloads
Chao Liang, Yaojie Zhang, Xiafei Li and Feng Ma
Dynamic network topology and market performance: A case of the Chinese stock market pp. 1962-1978 Downloads
Chuangxia Huang, Xian Zhao, Renli Su, Xiaoguang Yang and Xin Yang
The predictive power of the term spread on inequality in the United Kingdom: An empirical analysis pp. 1979-1988 Downloads
Mehmet Balcilar, Edmond Berisha, Oguzhan Cepni and Rangan Gupta
Family ownership and M&A payment method pp. 1989-2005 Downloads
Emanuele Teti, Maurizio Dallocchio and Tancredi Currao
The impact of bank ownership on lending behavior: Evidence from the 2008–2009 financial crisis pp. 2006-2025 Downloads
Zamon Haldarov, Dimitrios Asteriou and Emmanouil Trachanas
Causality and dynamic spillovers among cryptocurrencies and currency markets pp. 2026-2040 Downloads
Ahmed Elsayed, Giray Gözgör and Chi Keung Lau
Monetary policy reaction to uncertainty in Japan: Evidence from a quantile‐on‐quantile interest rate rule pp. 2041-2053 Downloads
Christina Christou, Ruthira Naraidoo, Rangan Gupta and Christis Hassapis
Macroeconomic determinants of credit risk: Evidence from the Eurozone pp. 2054-2072 Downloads
Paulo V. Carvalho, José D. Curto and Rodrigo Primor
Can sentiments on macroeconomic news explain stock returns? Evidence form social network data pp. 2073-2088 Downloads
Yingying Xu and Jichang Zhao
Nonlinear contagion between stock and real estate markets: International evidence from a local Gaussian correlation approach pp. 2089-2109 Downloads
Elie Bouri, Rangan Gupta and Shixuan Wang
Does reputation matter for firm risk in developing country? pp. 2110-2123 Downloads
Rayenda Brahmana, Hui‐Wei You and Evan Lau
Yield curve data choice and potential moral hazard: An empirical exercise on pricing callable bonds pp. 2124-2145 Downloads
Antonio Díaz, Francisco Jareño and Eliseo Navarro
Forecasting stock market (realized) volatility in the United Kingdom: Is there a role of inequality? pp. 2146-2152 Downloads
Hossein Hassani, Mohammad Reza Yeganegi, Rangan Gupta and Riza Demirer
Dynamic relationship among the bank stability, oil, and gold prices: Evidence from the Islamic banks operating in the Gulf Cooperation Council countries pp. 2153-2168 Downloads
Marei Elbadri and Eralp Bektaş
Customers' usage behaviour of e‐banking services: Interplay of electronic banking and traditional banking pp. 2169-2181 Downloads
Supreet Sandhu and Sangeeta Arora
Credit information and financial development pp. 2182-2193 Downloads
Claudio de Moraes, Gustavo F.S. Duarte and Renan F. Nascimento
Do female managers perform better? Evidence from Italian manufacturing firms pp. 2194-2209 Downloads
Concetta Castiglione, Davide Infante and Janna Smirnova
Why do sukuks (Islamic bonds) need a different pricing model? pp. 2210-2234 Downloads
Md Hamid Uddin, Sarkar H. Kabir, M. Kabir Hassan, Mohammed S. Hossain and Jia Liu
Do socially responsible firms demand high‐quality audits? An international evidence pp. 2235-2255 Downloads
Asif Saeed, Ammar Gull, Asad Ali Rind, Muhammad Shujaat Mubarik and Muhammad Shahbaz
Did reduction in corporate tax rate attract FDI in Pakistan? pp. 2256-2267 Downloads
Mian Sajid Nazir, Qaisar Hafeez and Salah U‐Din
Turkey's sectoral exports: A competitiveness approach pp. 2268-2289 Downloads
Güzin Bayar
Does board structure affect stock price overshooting informativeness measured by stochastic oscillator indicators? pp. 2290-2302 Downloads
Yensen Ni, Yirung Cheng, Yulu Liao and Paoyu Huang
How do economic policy uncertainties affect stock market volatility? Evidence from G7 countries pp. 2303-2325 Downloads
Yaming Ma, Ziwei Wang and Feng He
Analysis of distinct asymmetries in financial integration‐growth nexus for industrial, emerging and developing countries pp. 2326-2344 Downloads
Duygu Yolcu Karadam and Nadir Öcal
Does informal banking influence monetary policy transmission? Some empirical evidence for Ghana pp. 2345-2355 Downloads
Richard Kwabi Ayisi
A portfolio construction framework using LSTM‐based stock markets forecasting pp. 2356-2366 Downloads
Zeynep Cipiloglu Yildiz and Selim Baha Yildiz
How does regulation affect the organizational form of foreign banks' presence in developing versus developed countries? pp. 2367-2419 Downloads
Annick Pamen Nyola, Alain Sauviat and Amine Tarazi
Collateralized borrowing around the world: Insights from the World Bank Enterprise Surveys pp. 2420-2437 Downloads
Yuting Fan, Ha Nguyen and Rong Qian
Vines climbing higher: Risk management for commodity futures markets using a regular vine copula approach pp. 2438-2457 Downloads
Hemei Li, Zhenya Liu and Shixuan Wang
Does ownership structure affect the optimal capital structure? A PSTR model for China pp. 2458-2480 Downloads
Xiaojian Hu, Gang Yao and Taiyun Zhou
Oil shocks, financial stability and implementing macroeconomics and macro‐prudential policies in an oil‐exporting economy pp. 2481-2496 Downloads
Hassan Dargahi and Mehdi Hadian
Influences of uncertainty on the returns and liquidity of cryptocurrencies: Evidence from a portfolio approach pp. 2497-2513 Downloads
Binh Nguyen Quang, Thai-Ha Le and Canh Nguyen
How fintech impacts pre‐ and post‐loan risk in Chinese commercial banks pp. 2514-2529 Downloads
Ailian Zhang, Shuyao Wang, Bai Liu and Pei Liu
Does culture play a role in the stock market's response to uncertainty? pp. 2530-2548 Downloads
Jingjing Xu
Sources of economic slowdown: A simultaneous equations approach pp. 2549-2565 Downloads
Daping Zhao, Sajid Anwar and W. Robert J. Alexander
Managerial ability and idiosyncratic volatility pp. 2566-2581 Downloads
Xi Wu, Xinle Tong and Yudong Wang
Debt stabilization and financial stability in a monetary union: Market versus authority‐based preventive solutions pp. 2582-2599 Downloads
Christos Mavrodimitrakis
Explicating the impact of hierarchical CEO succession on small‐medium enterprises' performance and cash holdings pp. 2600-2614 Downloads
Muddassar Sarfraz, Syed Ghulam Meran Shah, Larisa Ivascu and Muhammad Asim Ali Qureshi
Sovereign bond yield spreads spillovers in the Economic and Monetary Union pp. 2615-2626 Downloads
Antonio Afonso and Mina Kazemi
Investor types' trading around the short‐term reversal pattern pp. 2627-2647 Downloads
Olena Onishchenko and Numan Ülkü

Volume 27, issue 1, 2022

Impact of demographic factors on the financial performance of women‐owned micro‐enterprises in India pp. 6-17 Downloads
Harpriya, Rakesh Kumar Sharma and Ash Narayan Sah
CO2 emission, economic development, fossil fuel consumption and population density in India, Pakistan and Bangladesh: A panel investigation pp. 18-31 Downloads
Muhammad Uzair Ali, Zhimin Gong, Muhammad Ubaid Ali, Fahad Asmi and Rizwanullah Muhammad
Financial inclusion and bank profitability in Sub‐Saharan Africa pp. 32-44 Downloads
Yussif Issaka Jajah, Ebenezer B. Anarfo and Felix K. Aveh
Liquidity, time‐varying betas and anomalies: Is the high trading activity enhancing the validity of the CAPM in the UK equity market? pp. 45-60 Downloads
Javier Rojo‐Suárez, Ana Belén Alonso‐Conde and Ricardo Ferrero‐Pozo
Is there a J‐curve in China‐U.S. trade? pp. 61-67 Downloads
Kamal Upadhyaya, Franklin Mixon and Rabindra Bhandari
Foreign equity portfolio flow and corruption: A cross‐country evidence pp. 68-87 Downloads
Frank Kwabi, Agyenim Boateng, Samuel Fosu, TingTing Zhu and Marian Chijoke‐Mgbame
Determinants of non‐performing loans, firm's corporate governance and macroeconomic factors pp. 88-98 Downloads
Joe‐Ming Lee, Ku‐Hsieh Chen, I‐Chia Chang and Chih‐Chun Chen
Addiction to inflation or to fiscal deficits? The Chilean experience of 1970s pp. 99-110 Downloads
Rodrigo Caputo
Increasing female participation on boards: Effects on sustainability reporting pp. 111-124 Downloads
Amina Buallay, Reem Hamdan, Elisabetta Barone and Allam Hamdan
Industrial development dynamics: An exquisite examination of European Union and United Kingdom pp. 125-136 Downloads
Muhammad Jawad, Zaib Maroof and Munazza Naz
The impact of FDI on income inequality: Evidence from the perspective of financial development pp. 137-157 Downloads
Chien‐Chiang Lee, Chi‐Chuan Lee and Chih‐Yang Cheng
Long‐term inflation expectations and inflation dynamics pp. 158-174 Downloads
Thórarinn Pétursson
The role of institutional infrastructures in financial inclusion‐growth relations: Evidence from SSA pp. 175-191 Downloads
Kazeem Ajide, Olorunfemi Alimi, Simplice Asongu and Ibrahim Raheem
Are public spending determinants significant in per capita budget spending decisions in Nigeria? pp. 192-206 Downloads
Samson Adeniyi Aladejare
Leverage in family firms: The moderating role of female directors and board quality pp. 207-223 Downloads
Jannine Poletti‐Hughes and Beatriz Martínez Garcia
Identifying structural breaks and growth regimes in middle eastern economies pp. 224-236 Downloads
Mushtaq Ahmad Malik, Tariq Masood and Ilhan Ozturk
The most consistent and reliable predictors of corporate financial choices in Pakistan: New evidence using BIC estimation pp. 237-257 Downloads
Umeair Shahzad, Fukai Luo, Jing Liu, Mahmood Faisal and Hafeez Ullah
Measuring the role of neurotransmitters in investment decision: A proposed constructs pp. 258-274 Downloads
Anum Khan and Muhammad Shujaat Mubarik
Assessment of the asymmetric impacts of the geopolitical risk on oil market dynamics pp. 275-289 Downloads
Oguzhan Ozcelebi and Kaya Tokmakcioglu
The effects of psychological capital and empowerment on entrepreneurial spirit: The case of Naghadeh County, Iran pp. 290-300 Downloads
Latif Haji, Naser Valizadeh and Hamid Karimi
Sustaining Economic Growth in COMESA: Challenges and Prospects pp. 301-311 Downloads
Gameli Adika
Do the Renminbi and Hong Kong dollar bubbles interact? pp. 312-319 Downloads
Xiaojian Su, Cheng Peng, Zhike Lv and Chao Deng
Impacts of geopolitical risks and economic policy uncertainty on Chinese tourism‐listed company stock pp. 320-333 Downloads
Yonghong Jiang, Gengyu Tian, Yiqi Wu and Bin Mo
The determinants of banks' credit risk: Review of the literature and future research agenda pp. 334-360 Downloads
Maryem Naili and Younes Lahrichi
Role of financial development in economic growth in the light of asymmetric effects and financial efficiency pp. 361-383 Downloads
Muhammad Shahbaz, Muhammad Ali Nasir and Amine Lahiani
A moving average heterogeneous autoregressive model for forecasting the realized volatility of the US stock market: Evidence from over a century of data pp. 384-400 Downloads
Afees Salisu, Rangan Gupta and Ahamuefula Ogbonna
The role of intermediary capital risk in predicting oil volatility pp. 401-416 Downloads
Libo Yin
Political environment and financial crises pp. 417-438 Downloads
Thanh C. Nguyen, Vitor Castro and Justine Wood
On the persistence of UK inflation: A long‐range dependence approach pp. 439-454 Downloads
Guglielmo Maria Caporale, Luis Alberiko Gil‐Alana and Tommaso Trani
A two‐stage Bayesian network model for corporate bankruptcy prediction pp. 455-472 Downloads
Yi Cao, Xiaoquan Liu, Jia Zhai and Shan Hua
On the transmission mechanism of Asia‐Pacific yield curve characteristics pp. 473-488 Downloads
David Gabauer, Sowmya Subramaniam and Rangan Gupta
Modelling cryptocurrency high–low prices using fractional cointegrating VAR pp. 489-505 Downloads
Olaoluwa Yaya, Xuan Vinh Vo, Ahamuefula Ogbonna and Adeolu O. Adewuyi
Integration of the Baltic stock markets with developed European markets pp. 506-517 Downloads
Kersti Harkmann
Banking market reaction to auctions of failed banks pp. 518-534 Downloads
Philip Molyneux and Tim Mi Zhou
Legal origin and financial development: A propensity score matching analysis pp. 535-553 Downloads
Glauco De Vita, Chengchun Li and Yun Luo
Investigating foreign portfolio investment holdings: Gravity model with social network analysis pp. 554-570 Downloads
Luke Mazur, Thomas Suesse and Pavel N. Krivitsky
Fiscal episodes in the Economic and Monetary Union: Elasticities and non‐Keynesian effects pp. 571-593 Downloads
Antonio Afonso and Frederico Leal
Global equity market volatility forecasting: New evidence pp. 594-609 Downloads
Chao Liang, Yu Wei, Likun Lei and Feng Ma
Predicting the volatility of crude oil futures: The roles of leverage effects and structural changes pp. 610-640 Downloads
Xu Gong and Boqiang Lin
Comparisons of deposit types and implications of the financial crisis: Evidence for U.S. banks pp. 641-664 Downloads
Anthony J. Glass, Amangeldi Kenjegaliev and Karligash Kenjegalieva
Outward foreign direct investment and economic growth in Romania: Evidence from non‐linear ARDL approach pp. 665-677 Downloads
Azka Amin, Sofia Anwar and Xi‐Hua Liu
Interdependence and portfolio optimisation of bank equity returns from developed and emerging Europe pp. 678-696 Downloads
Jose Arreola Hernandez, Sang Hoon Kang and Seong-Min Yoon
Modelling opportunity cost effects in money demand due to openness pp. 697-744 Downloads
Sophie van Huellen, Duo Qin, Shan Lu, Huiwen Wang, Qing Chao Wang and Thanos Moraitis
The news effects on exchange rate returns and volatility: Evidence from Pakistan pp. 745-769 Downloads
Munazza Jabeen, Abdul Rashid and Hajra Ihsan
De‐dollarization in Zimbabwe: What lessons can be learned from other sub‐Saharan countries? pp. 770-801 Downloads
Patrick Imam
Aggregate insider trading and future market returns in the United States, Europe, and Asia pp. 802-821 Downloads
Dennis D. Malliouris, Alphons T. Vermorken and Maximilian A.M. Vermorken
Bank efficiency in Vietnam: Do scale expansion strategies and non‐performing loans matter? pp. 822-843 Downloads
Chau Le, Aleksandar Šević, Panayiotis Tzeremes and Trong Ngo
Effects of the bank levy introduction on the interbank market pp. 844-864 Downloads
Karolina Puławska
Trade policy and return on capital: An empirical analysis based on China's antidumping pp. 865-892 Downloads
Xiaosong Wang, Huan Wu and Le Li
Conditions for the success of capital controls: The elasticity approach pp. 893-910 Downloads
Chokri Zehri
The evolution and heterogeneity of credit procyclicality in Central and Eastern Europe pp. 911-942 Downloads
Juan Cuestas, Yannick Lucotte and Nicolas Reigl
On the Italian public accounts' sustainability: A wavelet approach pp. 943-952 Downloads
Cosimo Magazzino, Francesco Forte and Lorenzo Giolli
Deconstructing three‐stage overall efficiency into input, output and stability efficiency components with consideration of market power and loan loss provision: An application to Chinese banks pp. 953-974 Downloads
Hirofumi Fukuyama and Yong Tan
Impact of information on winners' curse and long run performance of initial public offerings pp. 975-992 Downloads
Sheena Chhabra and Ravi Kiran
Modern money and Islamic banking in the light of Islamic law of riba pp. 993-1008 Downloads
Muhammad Zahid Siddique
FDI inflows and economic growth in Arab region: The institutional quality channel pp. 1009-1024 Downloads
Omar G. Aziz
Effects of diamond price volatility on stock returns: Evidence from a developing economy pp. 1025-1043 Downloads
Jean Marcelin B. Brou, Mbodja Mougoué, Eugene Kouassi, Kebaabetswe Thulaganyo and Benjamin K. Acquah
Bubble tests in the London housing market: A borough level analysis pp. 1044-1063 Downloads
Panagiotis Petris, George Dotsis and Panayotis Alexakis
Financial frictions and wage inequality pp. 1064-1074 Downloads
Jiancai Pi and Yanwei Fan
Understanding financial inclusion in East Africa: How does Tanzania compare? pp. 1075-1084 Downloads
Josephat Lotto
Oil and stock prices: New evidence from a time varying homogenous panel smooth transition VECM for seven developing countries pp. 1085-1100 Downloads
Resat Ceylan, Mehmet Ivrendi, Muhammad Shahbaz and Tolga Omay
The impact of mandatory K‐IFRS adoption on IPO underpricing pp. 1101-1119 Downloads
Hyun Duk Lee, Frederick Dongchuhl Oh and Junghum Park
Securitization and CDS in U.S. bank lending pp. 1120-1133 Downloads
Caterina Di Tommaso
The impact of the yield curve on the equity returns of insurance companies pp. 1134-1153 Downloads
Robert N. Killins and Haiwei Chen
Oil price uncertainty and the risk‐return relation in stock markets: Evidence from oil‐importing and oil‐exporting countries pp. 1154-1172 Downloads
Zhifang He, Jiaqi Chen, Fangzhao Zhou, Guoqing Zhang and Fenghua Wen
Can water mutual funds aid sustainable development? pp. 1173-1190 Downloads
Gbenga Ibikunle and Carmen‐Pilar Martí‐Ballester
Investment momentum: A two‐dimensional behavioural strategy pp. 1191-1207 Downloads
Fangming Xu, Huainan Zhao and Liyi Zheng
Innovation—Unemployment Nexus: The case of EU countries pp. 1208-1219 Downloads
Durmuş Çagri Yildirim, Seda Yildirim, Seyfettin Erdogan and Tugba Kantarci
A firm level analysis of asymmetric response of U.S. stock returns to exchange rate movements pp. 1220-1239 Downloads
Afees Salisu, Kazeem Isah and Nnenna Ogbonnaya‐Orji
CEO power and earnings management: Dual roles of foreign shareholders in Vietnamese listed companies pp. 1240-1256 Downloads
Hanh Thi My Le, Qian Long Kweh, Irene Wei Kiong Ting and Mohammad Nourani
Does petroleum tax revenue drive sales tax effort of Indian states? A stochastic frontier approach pp. 1257-1268 Downloads
Avipsa Mohanty, Dinabandhu Sethi and Asit Ranjan Mohanty
Asymmetric relationship between interest rates and exchange rates: Evidence from Turkey pp. 1269-1279 Downloads
Huseyin Karamelikli and Mohammad Sharif Karimi
A new risk measurement method for China's carbon market pp. 1280-1290 Downloads
Xianzi Yang, Chen Zhang, Yu Yang, Wenjun Wang and Zulfiqar Ali Wagan
Did equity returns and volatilities change after the 2016 Trump election victory? pp. 1291-1308 Downloads
Burhan F. Yavas, Lidija Dedi and Tihana Škrinjarić
If global or local investor sentiments are prone to developing an impact on stock returns, is there an industry effect? pp. 1309-1320 Downloads
Jing Shi, Marcel Ausloos and Tingting Zhu
Islamic portfolio optimization under systemic risk: Vine Copula‐CoVaR based model pp. 1321-1339 Downloads
Sana Braiek, Rihab Bedoui and Lotfi Belkacem
Environmental regulations and inward FDI in China: Fresh evidence from the asymmetric autoregressive distributed lag approach pp. 1340-1356 Downloads
Assad Ullah, Xinshun Zhao, Muhammad Kamal and Jiajia Zheng
Does bankruptcy filing always mean contagion? Evidence from industry rivals pp. 1357-1366 Downloads
Olga Krzeczewska and Radosław Pastusiak
Capacity utilization under credit constraints: A firm‐level study of Latin American manufacturing pp. 1367-1386 Downloads
Dengjun Zhang
Volatility forecasting revisited using Markov‐switching with time‐varying probability transition pp. 1387-1400 Downloads
Jiqian Wang, Feng Ma, Chao Liang and Zhonglu Chen
Assessment on estimations of currency basket weights—With coefficient correction for common factor dominance pp. 1401-1418 Downloads
Ping Wang and Peijie Wang
Exchange rate and volatility: A bibliometric review pp. 1419-1442 Downloads
Martha Flores‐Sosa, Ezequiel Avilés‐Ochoa and José M. Merigó
Do commodity price shocks impact central bank governors' removals? Evidence from Africa pp. 1443-1460 Downloads
Christine O. Strong
Empirical study on the impact of major asset restructuring on the price of sub‐new stocks in Chinese A‐shares pp. 1461-1472 Downloads
Zhang Mingli, Zhang Yijie, Qin Simeng and Gong Juhong
The nonlinearity of exchange rate pass‐through on currency invoice: A quantile, generalized method of moments and threshold effect‐test from sub‐Sahara African economies pp. 1473-1494 Downloads
Idris Abdullahi Abdulqadir
Internet and private insurance participation pp. 1495-1509 Downloads
Zhifeng Liu, Wenquan Li and Tingting Zhang
Financial crises and institutional quality pp. 1510-1525 Downloads
Can Sever
Earning information content changes based on accrual measures and quality measures: Evidences from member countries of Asia Pacific trade agreement pp. 1526-1546 Downloads
Adnan Shoaib and Muhammad A. Siddiqui
The entrepreneurial ecosystem of inclusive finance and entrepreneurship: A theoretical and empirical test in China pp. 1547-1568 Downloads
Guo‐Hua Cao and Jing Zhang
The Oil Price‐Macroeconomic fundamentals nexus for emerging market economies: Evidence from a wavelet analysis pp. 1569-1590 Downloads
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