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Research In International Business And Finance (RIBAF) - Volume 42 论文列表

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

Has the correlation of inflation and stock prices changed in the United States over the last two centuries?

Scheduled macro-news effects on a Euro/US dollar limit order book around the 2008 financial crisis

Evidence of algorithmic trading from Indian equity market: Interpreting the transaction velocity element of financialization

Stock return predictability in emerging markets: Does the choice of predictors and models matter across countries?

On the dynamic interactions between energy and stock markets under structural shifts: Evidence from Egypt

Nominal uncertainty, real uncertainty and macroeconomic performance in a time-varying asymmetric framework: Implications for monetary policy

Do remittances respond to revolutions? The Evidence from Tunisia

A tale of two cities: Economic development, corporate governance and firm value in Vietnam

Asset pricing with investor sentiment: On the use of investor group behavior to forecast ASEAN markets

Fear of floating in Asia and the credibility of true floaters?

Determinants of bankruptcy regime choice for Canadian public firms

Examining dynamic currency linkages amongst South Asian economies: An empirical study

Assessing abnormal returns: the case of Chinese M&A acquiring firms

Crowdfunding practices in and outside the US

Shadow banking, insurance and financial sector stability

Risk, return, and liquidity during Ramadan: Evidence from Indonesian and Malaysian stock markets

Is ex-post credit risk affected by the cycles? The case of Italian banks

Long-term persistence in corporate capital structure: Evidence from India

Managerial ability, investment efficiency and stock price crash risk

How do stocks react to extreme market events? Evidence from Brazil

The role of banks in the governance of non-financial firms: Evidence from Europe

What does the bond yield curve tell us about Tunisian economic activity?

Cointegration test of oil price and us dollar exchange rates for some oil dependent economies

The determinants of private capital flow volatility in Sub-Saharan African countries

The effect of financial reporting quality on corporate investment efficiency: Evidence from the Tunisian stock market

The mediating effect of REM on the relationship between CEO overconfidence and subsequent firm performance moderated by IFRS adoption: A moderated-mediation analysis

Foreign direct investment, foreign trade and environment: New evidence from simultaneous-equation system of gravity models

Impact of taxation on dividend policy: Evidence from Pakistan

On the dynamic dependence and investment performance of crude oil and clean energy stocks

Slack heterogeneity and firm performance: Investigating the relationship in Indian context

Does the ownership structure matter for banks’ capital regulation and risk-taking behavior? Empirical evidence from a developing country

Noise trading in small markets: Evidence from Amman Stock Exchange (ASE)

The link between the current international monetary non-system, financialization and the Washington consensus

Determinants of the capital adequacy ratio of foreign banks’ subsidiaries: The role of interbank market and regulation

Speculative bubbles in emerging stock markets and macroeconomic factors: A new empirical evidence for Asia and Latin America

Financing climate policies through climate bonds – A three stage model and empirics

Does Brazilian allowance for corporate equity reduce the debt bias? Evidences of rebound effect and ownership-induced ACE clientele

Dynamic herding analysis in a frontier market

Capability satisficing in high frequency trading

Using the EFQM excellence model for integrated reporting: A qualitative exploration and evaluation

Bank-firm relationship and credit risk: An analysis on Tunisian firms

Foreign portfolio flows and emerging stock market: Is the midnight bell ringing in India?

Credit supply constraints and financial policies of listed companies during the 2007–2009 financial crisis

Reactive or proactive? Investor sentiment as a driver of corporate social responsibility

The performance of banks in the MENA region during the global financial crisis

Competition, concentration and risk taking in Banking sector of MENA countries

Are global shocks leading indicators of currency crisis in Viet Nam?

Auditor specialization, accounting information quality and investment efficiency

A new theoretical framework to assess Multinational Corporations’ motivation for Foreign Direct Investment: A case study on Vietnamese service industries

How to explain non-performing loans by many corporate governance variables simultaneously? A corporate governance index is built to US commercial banks

Which came first, CEO compensation or firm performance? The causality dilemma in European companies

The impact of heuristics on investment decision and performance: Exploring multiple mediation mechanisms

Corporate governance, capital structure and firm performance: Evidence from Thailand

Capital structure and firm performance: Empirical evidence from a small transition country

Are Islamic stock indexes exposed to systemic risk? Multivariate GARCH estimation of CoVaR

Long-run performance of an industry after broader reforms including privatization

Target CEO age, ownership decisions, and takeover outcomes

The role of banks in the governance of nonfinancial firms: Evidence from Europe

On the volatility spillover between lslamic and conventional stock markets: A quantile regression analysis

Sentiment, foreign equity flows, and returns: Evidence from Thailand’s stock markets

Nonperforming loans in the GCC banking sectors: Does the Islamic finance matter?

Does central bank independence affect stock market volatility?

Herding behavior in the Pakistan stock exchange: Some new insights

Access to bank financing and the collateral channel: The case of Tunisian firms before and after the revolution

Sovereign credit ratings and bank funding cost: Evidence from Africa

Corporate risk-taking, returns and the nature of major shareholders: Evidence from prospect theory

Evidences for a structural change in the oil market before a financial crisis: The flat horizon effect

Collateralization of business loans: Testing the prediction of theories

The environmental effects of economic growth and globalization in Sub-Saharan Africa: A panel general method of moments approach

Accounting quality and information asymmetry of foreign direct investment firms

Empowering social responsibility of Islamic organizations through Waqf

“Neighbors in values”: A new dataset of cultural distances between countries based on individuals’ values, and its application to the study of global trade

Do foreign investors improve stock price informativeness in emerging equity markets? Evidence from Vietnam

Antitakeover provisions and CEO monetary benefits: Revisiting the E-index

Differences and similaritites between corporate governance principles in Islamic banks and Conventional banks

Time-varying impacts of demand and supply oil shocks on correlations between crude oil prices and stock markets indices

Modelling correlation dynamics of EMU sovereign debt markets during the recent turmoil

Exploring the nexus between financial sector reforms and the emergence of digital banking culture – Evidences from a developing country

Oil price shocks and American depositary receipt stock returns

Full adoption of IFRSs in Brazil: Earnings quality and the cost of equity capital

How Germany benefits the most from its Eurozone membership

Testing the inflation rates in MENA countries: Evidence from quantile regression approach and seasonal unit root test

Should online social Medias (OSMs) be banned at work? The impact of social Medias on employee productivity in Ambo University, a case study

Diversification strategy, efficiency, and firm performance: Insight from emerging market

Acceleration effect of intangibles in the recovery of corporate performance after-crisis

Bank credit risk and credit information sharing in Africa: Does credit information sharing institutions and context matter?

Modelling asymmetric conditional dependence between Shanghai and Hong Kong stock markets

Assessing the impact of export processing zones on economic growth in Ghana

Examining the relationship between earning management and market liquidity

Does country risks predict stock returns and volatility? Evidence from a nonparametric approach

Hedge fund returns under crisis scenarios: A holistic approach

Abnormal loan growth, credit information sharing and systemic risk in Asian banks

Securitisation in BRICS: Issues, challenges and prospects

Macroeconomic risks and REITs returns: A comparative analysis

The nexus between financial integration and real economy: Solow-growth model concept

Crowding out or crowding in? Correlations of spending components within and across countries

Do commodities make effective hedges for equity investors?

Feedback trading in stock index futures: Evidence from South Africa

The one-trading-day-ahead forecast errors of intra-day realized volatility