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Research In International Business And Finance (RIBAF) - Volume 60 论文列表

本期论文列表
Editorial Board

Firm-level trade credit responses to COVID-19-induced monetary and fiscal policies: International evidence

Do Investors Pay a Premium for Corporate Government Subsidy? Role of China's Strategic Emerging Industries Policy and Political Connections

Family firms and the cost of borrowing: empirical evidence from East Asia

Can FinTech improve corporate investment efficiency? Evidence from China

Economic policy uncertainty and financing structure: A new panel data evidence from selected Asian economies

Determinants of bank risk governance structure: A cross-country analysis

Bank capital and risk adjustment responses to economic uncertainty: Evidence from emerging Southeast Asian economies

Surname relationship and trade credit: Evidence from China

Capital regulation, competition and risk-taking: Policy implications for banking sector stability in the MENA region

Short-term financing sources in Africa: Substitutes or complements?

COVID-19 pandemic and economic policy uncertainty: The first test on the hedging and safe haven properties of cryptocurrencies

Reporting quality and financial leverage: Are qualitative characteristics or earnings quality more important? Evidence from an emerging bank-based economy

Combating the COVID-19 pandemic: The role of disaster experience

THE REVIVAL OF THE FELDSTEIN-HORIOKA PUZZLE AND MODERATION OF CAPITAL FLOWS AFTER THE GLOBAL FINANCIAL CRISIS (2008/09)

Media sentiment and cross-sectional stock returns in the Chinese stock market

Safe haven assets for international stock markets: A regime-switching factor copula approach

The effects of busy board on firm’s probability to pay dividends

Factorial asset pricing models using statistical anomalies

Financial Risk Meter for emerging markets

Intraday volume-return nexus in cryptocurrency markets: Novel evidence from cryptocurrency classification

Political connection and its impact on equity market

Effects of a negative interest rate policy in bank profitability and risk taking: Evidence from European banks

Dynamic linkages among transparency, income inequality and economic growth in developing countries: Evidence from panel vector autoregressive (PVAR) model

Managerial ability and stock price synchronicity

The market reaction to syndicated loan announcements before and during the COVID-19 pandemic and the role of corporate governance

Blockholders, tradability and information asymmetry: Evidence from Chinese listed firms

Why do firms issue U.S. dollar bond abroad? Evidence from Chinese non-financial listed corporations

How does the exclusive license stimulate firm’s subsequent innovation? The role of innovation financial input

Identifying bull and bear market regimes with a robust rule-based method

Do investors listen? Exploring the effect of investor relationship management on firm-specific stock return variation

Diversification and manager autonomy in fund families: Implications for investors

Weathering the COVID-19 storm: The case of community banks

Five decades of research on capital budgeting – A systematic review and future research agenda

False Safe Haven Assets: Evidence From the Target Volatility Strategy Based on Recurrent Neural Network

Is oil risk important for commodity-related currency returns?

Crude oil: Does the futures price predict the spot price?

Political uncertainty, innovation-driven strategy, and corporate R&D

Benefits of sectoral cryptocurrency portfolio optimization

How to calm down the markets? The effects of COVID-19 economic policy responses on financial market uncertainty

Identifying the asymmetric price dynamics of Islamic equities: Implications for international investors

Re-examining the Contagion Channels of Global Financial Crises: Evidence from the Twelve Years since the US Subprime Crisis

Artificial intelligence, digital transformation and cybersecurity in the banking sector: A multi-stakeholder cognition-driven framework

Does political risk matter for gold market fluctuations? A structural VAR analysis

Corporate social responsibility and cost of capital: The moderating role of policy intervention

The impact of Robinhood traders on the volatility of cross-listed securities

The intraday dynamics and intraday price discovery of bitcoin

Anatomy of money-losing IPOs

Onshore guarantees for offshore loans and bank risk-taking: Evidences from Taiwanese banks

Do at home as Romans do? CEO overseas experience and financial misconduct risk of emerging market firms

Non-state shareholder governance and shadow banking business: Evidence from Chinese state-owned manufacturing enterprises

The performance of Islamic versus conventional stocks during the COVID-19 shock: Evidence from firm-level data

Export quality upgrading and environmental sustainability: Evidence from the East Asia and Pacific Region