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Research In International Business And Finance (RIBAF) - Volume 50 论文列表

本期论文列表
Editorial Board

Investor attention and Google Search Volume Index: Evidence from an emerging market using quantile regression analysis

Internal capabilities, national governance and performance in African firms

Political connections, corporate governance and M&A performance: Evidence from Chinese family firms

Time-frequency analysis of behaviourally classified financial asset markets

The role of oil prices on the Russian business cycle

The signal and the noise volatilities

Nonlinearities in the oil effects on the sovereign credit risk: A self-exciting threshold autoregression approach

Does uncertainty influence the leverage-investment association in Chinese firms?

Female directors, earnings management, and CEO incentive compensation: UK evidence

Are IPOs underpriced or overpriced? Evidence from an emerging market

The price behavior around initial loan announcements: Evidence from zero-leverage firms in the UK

OPEC and non-OPEC production, global demand, and the financialization of oil

On the performance of a stepping-stone market

Do investors herd in cryptocurrencies – and why?

Too long to be true in the description? Evidence from a Peer-to-Peer platform in China

How important are different aspects of uncertainty in driving industrial production in the CEE countries?

Merger and acquisition research in the Asia-Pacific region: A review of the evidence and future directions

Transmission of monetary policy through the wealth channel in Brazil: Does the type of asset matter?

A bibliometric analysis of bitcoin scientific production

Lead-Lag relationship between Bitcoin and Ethereum: Evidence from hourly and daily data

An empirical investigation of volatility dynamics in the cryptocurrency market

News and subjective beliefs: A Bayesian approach to Bitcoin investments

Regional and global integration of Asian stock markets

European Monetary Union bond market dynamics: Pre & post crisis

Inter-firm relationships and leverage adjustment

Residual return reversals: European evidence

Energy price implications for emerging market bond returns

Are cryptocurrencies contagious to Asian financial markets?

Banking stability, natural disasters, and state fragility: Panel VAR evidence from developing countries

Optimal policy under uncertainty and rational inattention

A directional analysis of oil prices and real exchange rates in BRIC countries

Earnings management strategies during financial difficulties: A comparison between listed and unlisted French companies

From organization to activity in the US collateralized interbank market