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Research In International Business And Finance (RIBAF) - Volume 54 论文列表

本期论文列表
Editorial Board

CEO gender and managerial entrenchment

Are stablecoins truly diversifiers, hedges, or safe havens against traditional cryptocurrencies as their name suggests?

The non-linear relationship between oil prices and stock prices: Evidence from oil-importing and oil-exporting countries

The Role of National Culture in International Financial Reporting Standards Adoption

From me to you: Measuring connectedness between Eurozone financial institutions

How do financial globalization, institutions and economic growth impact financial sector development in European countries?

Stock markets’ reaction to COVID-19: Cases or fatalities?

Stock market reactions to domestic sentiment: Panel CS-ARDL evidence

Depositors’ trust: Some empirical evidence from Indonesia

Is idiosyncratic volatility priced in cryptocurrency markets?

A systematic review of the bubble dynamics of cryptocurrency prices

Do non-traditional banking activities reduce bank liquidity creation? Evidence from Vietnam

Insurance and economic policy uncertainty

Performance of Canadian banks and oil price movements

Are cryptocurrencies a safe haven for equity markets? An international perspective from the COVID-19 pandemic

Governance by depositors, bank runs and ambiguity aversion

Financial Sector transparency and net interest margins: Should the private or public Sector lead financial Sector transparency?

Simultaneous effects of clustering and endogeneity on the underpricing difference of IPO firms: A global evidence

Profit status of microfinance institutions and incentives for earnings management

Financial crises and the dynamics of the spillovers between the U.S. and BRICS stock markets

Determinants and consequences of tournament incentives: A survey of the literature in accounting and finance

Outsourcing and firm performance nexus: An analysis using the conventional and panel double-bootstrap procedure

Uncertainty and herding behavior: evidence from cryptocurrencies

Trading performance and market efficiency: Evidence from algorithmic trading

Forecasting Value-at-Risk of Cryptocurrencies with RiskMetrics type models

Intraday momentum in Chinese commodity futures markets

Predicting firm stock returns with customer stock returns: Moderating effects of customer characteristics

Attention allocation and international stock return comovement: Evidence from the Bitcoin market

Are insiders equal? Evidence from earnings management in closely held East Asian firms

Stock market dependence in crisis periods: Evidence from oil price shocks and the Qatar blockade

External financing and earnings management: Evidence from international data

Credit rating migration risk and interconnectedness in a corporate lending network

Trade credit research before and after the global financial crisis of 2008 – A bibliometric overview

Internationalization and the capital structure of firms in emerging markets: Evidence from Latin America before and after the financial crisis

Global uncertainties and portfolio flow dynamics of the BRICS countries

Hail to the chief: The effect of political alignment with the presidency on corporate investment

The effects of language and religion on cross-border acquisition completion

Asset returns in deep learning methods: An empirical analysis on SSE 50 and CSI 300

Share buybacks in India

Short-selling restrictions and firms’ environment responsibility

Can happiness predict future volatility in stock markets?

Inter- and intra-regional stock market relations for the GCC bloc

Institutional distance and Turkey’s outward foreign direct investment

The impact of off-balance-sheet regulations on bank risk-taking: Evidence from China

The role of internal corporate governance mechanisms on default risk: A systematic review for different institutional settings

The conditioning role of performance on the bank risk-taking channel of monetary policy: Evidence from a multiple-tool regime

Behavioural analysis of socially responsible investment managers: specialists versus non-specialists

The developing influence of Chinese culture on finance: A literature review and case-study illustration

Does the tea market require a futures contract? Evidence from the Sri Lankan tea market

The role of global economic conditions in forecasting gold market volatility: Evidence from a GARCH-MIDAS approach

Influence of geographic distribution on real activities manipulation within consolidated companies: Evidence from Japan

Bank globalization and efficiency: Host- and home-country effects

Information leakage of ADRs Prior to company issued guidance

Studying the properties of the Bitcoin as a diversifying and hedging asset through a copula analysis: Constant and time-varying

Microfinance institutions and International Financial Reporting Standards: An exploratory analysis

Do aggressive orders affect liquidity? An evidence from an emerging market

The impact of corporate governance and agency effect on earnings management – A test of the dual banking system

Are there asymmetric linkages between African stocks and exchange rates?

Modelling the asymmetric linkages between spot gold prices and African stocks

Switching due diligence auditor in Chinese mergers and acquisitions

Modelling the nonlinear relationship between oil prices, stock markets, and exchange rates in oil-exporting and oil-importing countries

The role of economic structural factors in determining pandemic mortality rates: Evidence from the COVID-19 outbreak in France

COVID-19, bar crowding, and the Wisconsin Supreme Court: A non-linear tale of two counties