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Research In International Business And Finance (RIBAF) - Volume 47 论文列表

本期论文列表
Editorial Board

Sustainable finance. A critical realist perspective

Coping with impact investing antagonistic objectives: A multistakeholder approach

Social impact measurement: What can impact investment practices and the policy evaluation paradigm learn from each other?

Performance of impact investing: A value creation approach

Social uncertainty evaluation in Social Impact Bonds: Review and framework

Ethico-economic analysis of impact finance: The case of Green Bonds

Explaining the competition for FDI: Evidence from Costa Rica and cross-national industry-level FDI data

Momentum effects in China: A review of the literature and an empirical explanation of prevailing controversies

An investigation of the short-term performance of the Canadian IPO market.

Corporate social responsibility and dividend policy

How biased is the behavior of the individual investor in warrants?

The firm-specific determinants of capital structure – An empirical analysis of firms before and during the Euro Crisis

Politically connected boards, ownership structure and credit risk: Evidence from Chinese commercial banks

Interdependence among agricultural commodity markets, macroeconomic factors, crude oil and commodity index

What is going on with studies on banking efficiency?

Loan delinquency in banking systems: How effective are credit reporting systems?

Does investment in trade credit matter for profitability? Evidence from publicly listed agro-food firms

Foreign exchange interventions in Brazil and their impact on volatility: A quantile regression approach

Empirical analysis of intertemporal relations between downside risks and expected returns—Evidence from Asian markets

Does the long-run monetary model hold for Sub-Saharan Africa? A time series and panel-cointegration study

Chaos in G7 stock markets using over one century of data: A note

Host country institutions and firm-level R&D influences: An analysis of European Union FDI in China

Colonialism ties and stock markets: Evidence from Sub-Saharan Africa

Informational inefficiency of Bitcoin: A study based on high-frequency data

Voluntary disclosure and market competition: Theory and evidence from the U.S. services sector

Contagion and bond pricing: The case of the ASEAN region

Accounting standards and banking regulation: Some effects of divergence

Dollarization and the “unbundling” of globalization in sub-Saharan Africa

The impact of competition on cost efficiency of insurance and takaful sectors: Evidence from GCC markets based on the Stochastic Frontier Analysis

Do banks learn from financial crisis? The experience of Nordic banks

Financial constraints on investment: Effects of firm size and the financial crisis

Social media and stock price reaction to data breach announcements: Evidence from US listed companies

Risk perceptions and risk management approaches of Chinese overseas investors: An empirical investigation

Assessing the degree of financial integration in ASEAN—A perspective of banking competitiveness

Managerial overconfidence, internal financing, and investment efficiency: Evidence from China

Effects of the geopolitical risks on Bitcoin returns and volatility

Disentangling the impact of securitization on bank profitability

Estimating the conditional equity risk premium in African frontier markets

Reverse splits in international stock markets: Reconciling the evidence on long-term returns

Do public-private partnerships benefit private sector? Evidence from an emerging market

Political regimes, investment and electoral uncertainty

The forward premium anomaly in the energy futures markets: A time-varying approach

Moderating influences on the ERM maturity-performance relationship