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Research In International Business And Finance (RIBAF) - Volume 36 论文列表

本期论文列表
Inside front cover - Editorial Board - Bottom half

Integration of emerging stock markets with global stock markets

Unraveling the political budget cycle nexus in Greece

Stock market efficiency and liquidity: The Indonesia Stock Exchange merger

Impact of financial market uncertainty and macroeconomic factors on stock–bond correlation in emerging markets

How strong are the linkages between real estate and other sectors in China?

The determinants of financial structure: How to explain the “paradox of insolvency and debt” among SMEs in Cameroon?

Does national culture affect the intensity of volatility linkages in international equity markets?

Efficiency in the Vietnamese banking system: A DEA double bootstrap approach

Microstructures, financial reforms and informational efficiency in an emerging market

Financial stress and economic activity in some emerging Asian economies

Financial market interdependencies: A quantile regression analysis of volatility spillover

Rationality of survey based inflation expectations: A study of 18 emerging economies’ inflation forecasts

The impact of state and foreign ownership on banking risk: Evidence from the MENA countries

Global financial crisis and emerging stock market contagion: A volatility impulse response function approach

Efficiency and risk convergence of Eurozone financial markets

Multi-asset class mutual funds: Can they time the market? Evidence from the US, UK and Canada

MENA stock market volatility persistence: Evidence before and after the financial crisis of 2008

The explanatory power of higher moment capital asset pricing model in the Karachi stock exchange

Profitability of return and sentiment-based investment strategies in US futures markets

The fall of high-frequency trading: A survey of competition and profits

Time-varying co-movements and volatility spillovers among financial sector CDS indexes in the UK

Return and volatility interdependences in up and down markets across developed and emerging countries

On emerging stock market contagion: The Baltic region

Effect of government share ownership on corporate risk taking: Case of the United Arab Emirates

Investor sentiment and local bias in extreme circumstances: The case of the Blitz

Socially responsible investing and Islamic funds: New perspectives for portfolio allocation

Institutional arrangements and debt financing

Long-term performance of mergers and acquisitions in ASEAN countries

The validity of Islamic art as an investment

Investigating stock market efficiency: A look at OIC member countries

Investor sentiment, stock mispricing, and long-term growth expectations

Global economic activity as an explicator of emerging market equity returns

Does the simple microstructure model tell the time of the FX intervention? A one day analysis of the Japanese FX intervention

Insurance penetration and economic growth nexus: Cross-country evidence from ASEAN

Spillover effects between exchange rates and stock prices: Evidence from BRICS around the recent global financial crisis

Financial markets development, business cycles, and bank risk in South America

Predicting efficiency in Malaysian Islamic banks: A two-stage TOPSIS and neural networks approach

Mergers, acquisitions, and bank efficiency: Cross-country evidence from emerging markets

Does the strength of the legal systems matter for trade in insurance and financial services?

Is exchange rate risk priced in microfinance?

The economic opportunity cost for countries located in crisis zones: Evidence from the Middle East

Editorial

Does the relationship between small and large portfolios’ returns confirm the lead–lag effect? Evidence from the Athens Stock Exchange

Consumption, wealth, stock and housing returns: Evidence from emerging markets

Long and short-runs determinants of the sovereign CDS spread in emerging countries

Wine: To drink or invest in? A study of wine as an investment asset in French portfolios

Spikes and crashes in the oil market

Why do companies transfer the trading compartment of their common stocks

The likelihood of management involvement, offer premiums, and target shareholder wealth effects: Evidence from the 2002–2007 LBO wave

The effects of social ratings on firm value