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Research In International Business And Finance (RIBAF) - Volume 59 论文列表

本期论文列表
Editorial Board

Thirty years of herd behavior in financial markets: A bibliometric analysis

Capital control and monetary policy coordination: Tobin tax revisited

Non-linear cointegration between oil and stock prices: The role of interest rates

Impact of the COVID-19 event on U.S. banks’ financial soundness

Information demand and net selling around earnings announcement

Bank funding, market power, and the bank liquidity creation channel of monetary policy

Macroeconomic determinants of loan defaults: Evidence from the U.S. peer-to-peer lending market

Traders’ motivation and hedging pressure in commodity futures markets

A novel two-stage hybrid default prediction model with k-means clustering and support vector domain description

The COVID-19 black swan crisis: Reaction and recovery of various financial markets

Does the Covid-19 pandemic affect faith-based investments? Evidence from global sectoral indices

Disentangling the sources of sovereign rating adjustments: An examination of changes in rating policies following the GFC

The impact of economic policy uncertainty on a firm’s green behavior: Evidence from China

Volatility communicator or receiver? Investigating volatility spillover mechanisms among Bitcoin and other financial markets

LEGO: THE TOY OF SMART INVESTORS

Twitter-Based uncertainty and cryptocurrency returns

Forecasting volatility of Bitcoin

Fed tapering announcements: Impact on Middle Eastern and African financial markets

Exact solution for the portfolio diversification problem based on maximizing the risk adjusted return

An extreme value analysis of the tail relationships between returns and volumes for high frequency cryptocurrencies

Economic policy uncertainty and stock liquidity: The mitigating effect of information disclosure

Eco-efficiency and financial performance in Latin American countries: An environmental intensity approach

Exchange rate forecasting with real-time data: Evidence from Western offshoots

Corporate ownership and political connections: Evidence from post-IPO long term performance in China

The mediating role of competition on deposit insurance and the risk-taking of banks in ASEAN countries

Evolution of research in finance over the last two decades – A topographical view

Time-varying risk aversion and currency excess returns

Measuring the evolution of competition and the impact of the financial reform in the Mexican banking sector, 2008–2019

Corporate social responsibility and dynamic liquidity management

The trade-off between knowledge accumulation and independence: The case of the Shariah supervisory board within the Shariah governance and firm performance nexus

The informational role of analysts’ textual statements

Earnings management and internal governance mechanisms: The role of religiosity

Business perception of obstacles to innovate: Evidence from Chile with pseudo-panel data analysis

Top executives’ great famine experience and stock price crash risk

Linkage dynamics of sovereign credit risk and financial markets: A bibliometric analysis

Naval disasters, world war two and the British stock market

Resolving agency and product market views of cash holdings

The effects of cash-holding motivation on cash management dynamics

The COVID-19 pandemic, volatility, and trading behavior in the bitcoin futures market

Stock market volatility and the COVID-19 reproductive number

Financing constraints and firm-level responses to the COVID-19 pandemic: International evidence

The influence of the COVID-19 pandemic on the hedging functionality of Chinese financial markets

Environmental stocks, CEO health risk and COVID-19

Semi-nonparametric risk assessment with cryptocurrencies

“Digital Gold” and geopolitics

Exploring the predictability of cryptocurrencies via Bayesian hidden Markov models

Financial inclusion and economic well-being: Evidence from Islamic Pawnbroking (Ar-Rahn) in Malaysia

On the regulation of the intersection between religion and the provision of financial services: Conversations with market actors within the global Islamic financial services sector

Corrigendum to “Investor attention and Google Search Volume Index: Evidence from an emerging market using quantile regression analysis” [Res. Int. Bus. Finance 50 (December) (2019) 1–17]