0275-5319

Research In International Business And Finance (RIBAF) - Volume 55 论文列表

本期论文列表
Editorial Board

Conditional volatility persistence and volatility spillovers in the foreign exchange market

Corporate Social Responsibility Amid Social Distancing During the COVID-19 Crisis: BRICS vs. OECD Countries

Risk, resilience, and Shariah-compliance

Is export tax rebate a quality signal to determine firms’ capital structure? A financial intermediation perspective

How does corporate social responsibility affect financial performance, financial stability, and financial inclusion in the banking sector? Evidence from Pakistan

The reinvestment risk premium in the valuation of British and Russian government bonds

The relationship between religion and livelihood activities of women: Empirical evidence from the Yilo and Lower Manya Krobo Districts of Eastern Ghana

Effects of Price of Gold on Bombay Stock Exchange Sectoral Indices: New Evidence for Portfolio Risk Management

Multiscale information transmission between commodity markets: An EMD-Based transfer entropy network

Impact of managerial ownership on investment and liquidity constraints: Evidence from Chinese listed companies

The role of financial journalists in the expectations channel of the monetary transmission mechanism

Do economic institutions matter for trade liberalization? Evidence from China’s Open Door Policy

Characteristics and mechanisms of not-fully marketized interest rates: Evidence from Chinese online lending

The recovery of global stock markets indices after impacts due to pandemics

On the nonlinear relationship between energy use and CO2 emissions within an EKC framework: Evidence from panel smooth transition regression in the MENA region

Can fintech improve the efficiency of commercial banks? —An analysis based on big data

Ownership dispersion across large shareholders and loan-syndicate structure

Credit supply conditions and business cycles: New evidence from bank lending survey data

Credit unions vs. commercial banks, who takes more risk?

Resource misallocation, production efficiency and outward foreign direct investment decisions of Chinese enterprises

Crude oil shocks and African stock markets

Does compliance with corporate governance codes help to mitigate financial distress?

Investments in human capital: The evidence from China’s new rural pension scheme

Competition in the acquisition market and returns to bidders in Australia

Corrigendum to “Reverse splits in international stock markets: Reconciling the evidence on long-term returns” [Research in International Business and Finance, volume 47 (2019), pages 552–562]