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Research In International Business And Finance (RIBAF) - Volume 45 论文列表

本期论文列表
Editorial Board

The valuation of social impact bonds: An introductory perspective with the Peterborough SIB

Parent control and ownership monitoring in publicly listed subsidiaries in Japan

Effect of multilateral trade liberalization on foreign direct investment outflows amid structural economic vulnerability in developing countries

The “Donald” and the market: Is there a cointegration?

Mitigating capital flight through military expenditure: Insight from 37 African countries

Financial contagion and capital asset pricing in Africa: The impact of the 2007–09 and Euro-Zone crises on natural resources sector Beta in African emerging markets

The influence of cash flow on the speed of adjustment to the optimal capital structure

The long-run impact of monetary policy uncertainty and banking stability on inward FDI in EU countries

Determinants of emerging markets’ financial health: A panel data study of sovereign bond spreads

Audit quality during the global financial crisis: The investors’ perspective

Extending the determinants of dollarization in sub-Saharan Africa: The role of easy access to foreign exchange earnings

The failure of hedge funds: An analysis of the impact of different risk classes

Credit constraints and firm productivity: Microeconomic evidence from China

Does the degree of Shari’ah compliance affect the volatility? Evidence from the MENA region

Disclosure of financial instruments: Practices and challenges of Latin American firms from the mining industry

Linkages between financial development, financial instability, financial liberalisation and economic growth in Africa

Determinants of the choice between share repurchases and dividend payments

Do creditors price firms’ environmental, social and governance risks?

Impact of dependence modeling of non-life insurance risks on capital requirement: D-Vine Copula approach

Portfolio diversification between developed and developing stock markets: The case of US and UK investors in Nigeria

Examining the uncovered equity parity in the emerging financial markets

Diversification, capital structure and profitability: A panel VAR approach1

Corporate governance and debt securities issued in Brazil and India: A multi-case study

Intraday price discovery analysis in the foreign exchange market of an emerging economy: Mexico

Can partially privatized SOEs outperform fully private firms? Evidence from Indonesia

Testing output gap and economic uncertainty as an explicator of stock market returns

Modeling financial market volatility in transition markets: a multivariate case

The entry mode strategy and performance of SMEs: Evidence from Norway

Demand for audit quality in newly privatized firms in MENA region: Role of internal corporate governance mechanisms audit

What determines the Japanese corporate credit spread? A new evidence

Dependence patterns among Asian banking sector stocks: A copula approach

Stability of cross-market bivariate return distributions during financial turbulence

The relationship between media bias and inflation expectations in P.R. China

Business risk disclosure and firm risk: Evidence from Japan

Banks versus markets: Do they compete, complement or Co-evolve in the Nigerian financial system? An ARDL approach

Cost and profit efficiency of listed South African banks pre and post the financial crisis

How does news impact on the stock prices of green firms in emerging markets?

Corporate choice between conventional bond and Sukuk issuance evidence from GCC countries

Bank lending channel and monetary policy in Nigeria

The “modern” in “modern finance”: A multi-paradigmatic look

Does top managers’ experience affect firms’ capital structure?

Testing for financial contagion: New evidence from the Greek crisis and yuan devaluation

Relationship between board ownership structure and firm financial performance in transitional economy: The case of Vietnam

Do European bidders pay more in cross-border than in domestic acquisitions? New evidence from Continental Europe and the UK

Monetary transmission through the debt financing channel of Islamic banks: Does PSIA play a role?

CEO Pay Slice as a measure of CEO dominance

Behavioral explanation for risk taking in Islamic and conventional banks

Relationship between capital, risk and liquidity: a comparative study between Islamic and conventional banks in MENA region

How micro, small and medium-sized enterprises are driven outward the superior international trade performance? A multidimensional study on Italian food sector

Corruption and emerging markets: Systematic review of the most cited

Banks’ systemic risk in the Tunisian context: Measures and Determinants