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Research In International Business And Finance (RIBAF) - Volume 56 论文列表

本期论文列表
Editorial Board

Nonlinear tail dependence in cryptocurrency-stock market returns: The role of Bitcoin futures

Can foreign suppliers act as “innovation springboards” for firms? Evidence from China

Is spin-off policy an effective way to improve performance of Islamic banks? Evidence from Indonesia

Do foreign ownership and home-host country distance matter? Evidence on the impact of bank market power on liquidity creation in a selected Southeast Asian country

Measuring the deadly embrace: Systemic and sovereign risks

Value at risk and returns of cryptocurrencies before and after the crash: long-run relations and fractional cointegration

The effect of sovereign wealth funds on corporations: Evidence of cash policies in Singapore

Oil prices and economic policy uncertainty: Evidence from global, oil importers, and exporters’ perspective

Coronavirus disease outbreak and supply chain disruption: Evidence from Taiwanese firms in China

Does short selling reduce analysts’ optimism bias in earnings forecasts?

Corrigendum to “Estimation of conditional asset pricing models with integrated variables in the beta specification” [Res. Int. Bus. Finance 52 (2020) 101148]

COVID-19 social distancing and the US service sector: What do we learn?

World equity markets and COVID-19: Immediate response and recovery prospects

Does COVID-19 open a Pandora's box of changing the connectedness in energy commodities?

Do funds selected by managers’ skills perform better?

Bank efficiency, market structure and strategic interaction: Evidence from Vietnam

The bright side of market power in Asian banking: Implications of bank capitalization and financial freedom

COVID-19, government policy responses, and stock market liquidity around the world: A note

Nonlinear dynamic correlation between geopolitical risk and oil prices: A study based on high-frequency data

Identifying systemically important financial institutions in Turkey

Industry policy, cross-region investment, and enterprise investment efficiency

The impact of political risk on the currencies of emerging markets

Monetary policy and speculative spillovers in financial markets

Comparing COVID-19 with the GFC: A shockwave analysis of currency markets

Shariah compliance and corporate cash holdings

Foreign institutional investors, information asymmetries, and asset valuation in emerging markets

Do sentiment trades explain investor overconfidence around analyst recommendation revisions?

Deriving value or risk? Determinants and the impact of emerging market banks’ derivative usage

Is portfolio diversification possible in integrated markets? Evidence from South Eastern Europe

Investor attention, ETF returns, and country-specific factors

Volatility spillovers between WTI and Brent spot crude oil prices: an analysis of granger causality in variance patterns over time

Harmful events and misconducts in financial organizations: Human biases and root causes

The role of gold futures in mitigating the impact of economic uncertainty on spot prices: Evidence from China

The impact of symbiotic relations on the performance of micro, small and medium enterprises in a small-town context: The perspective of risk and return

Investor attention and cryptocurrency: Evidence from wavelet-based quantile Granger causality analysis

Excessive managerial entrenchment, corporate governance, and firm performance

Oil market uncertainty and excess returns on currency carry trade

Countering money laundering and terrorist financing: A case for bitcoin regulation

Does confucianism influence corporate earnings management?

Financial performances, entrepreneurial factors and coping strategy to survive in the COVID-19 pandemic: case of Vietnam