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Research In International Business And Finance (RIBAF) - Volume 62 论文列表

本期论文列表
Editorial Board

The impact of US presidents on market returns: Evidence from Trump's tweets

Can investors’ informed trading predict cryptocurrency returns? Evidence from machine learning

The effect of annual report narratives on the cost of capital in the Middle East and North Africa: A machine learning approach

A bibliometric analysis of ESG performance in the banking industry: From the current status to future directions

Capital structure speed of adjustment heterogeneity across zero leverage and leveraged European firms

Return and volatility spillovers between energy and BRIC markets: Evidence from quantile connectedness

Dynamics of the sheltering role of Bitcoin against crude oil market crash with varying severity of the COVID-19: A comparison with gold

Infectious disease equity market volatility, geopolitical risk, speculation, and commodity returns: Comparative analysis of five epidemic outbreaks

Guarantee requirements by European central counterparties and international volatility spillovers

Ethical compatibility of socially responsible banking: Comparing the Japanese main bank system with the USA

Climate change and the pricing of sovereign debt: Insights from European markets

How do heterogeneous institutional investors influence corporate advertising decisions?

Supply chain management based on volatility clustering: The effect of CBDC volatility

The first real estate bubble? Land prices and rents in medieval England c. 1300–1500

An intra-cryptocurrency analysis of volatility connectedness and its determinants: Evidence from mining coins, non-mining coins and tokens

International evidence for the substitution effect of FX derivatives usage on bank capital buffer

Economic policy uncertainty: The probability and duration of economic recessions in major European Union countries

Do emerging and developed countries differ in terms of sustainable performance? Analysis of board, ownership and country-level factors

The effects of firm political contributions on earmarks and subsequent firm performance

Multilayer network analysis of investor sentiment and stock returns

Monetary policy shocks and Bitcoin prices

Does digital finance lessen credit rationing?—Evidence from Chinese farmers

Are investors sensitive to climate-related transition and physical risks? Evidence from global stock markets

Political risk in banks: A review and agenda

Tail-risk spillovers from China to G7 stock market returns during the COVID-19 outbreak: A market and sectoral analysis

Equity fire sales and herding behavior in pension funds

Effect of auditor rotation violation on audit opinions and audit fees: Evidence from China

Cross-country cultural and economic freedom influences on the relationship between economic policy uncertainty and ADR mispricing

Systemic stablecoin and the defensive case for Central Bank Digital Currency: A critique of the Bank of England’s framing

Does time-space compression affect analyst forecast performance?

Blockchain in banking and finance: A bibliometric review

The logics of sovereign credit ratings in developed and developing countries

Acquisition for innovations? M&A intensity and intra-firm innovation reallocations

On the dynamic capital structure of nations: Theory and empirics

Has transportation infrastructure development improved the quality of economic growth in China’s cities? A quasi-natural experiment based on the introduction of high-speed rail

How can firms' transition to a low-carbon economy affect the distance to default?

Roles of stable versus nonstable cryptocurrencies in Bitcoin market dynamics

Shadow banking business and firm risk-taking: Evidence from China

The business cycle and cost structure’s adjustment speed

Good air quality and stock market returns

Forecasting realised volatility from search volume and overnight sentiment: Evidence from China

Time-frequency causality and connectedness between oil price shocks and the world food prices

Central bank digital currencies: An agenda for future research

Dividend policy and stock liquidity: Lessons from Central and Eastern Europe

On the volatility of cryptocurrencies

Does green technology innovation matter to the cost of equity capital?

Expectation or risk aversion when outward foreign direct investment firms invest in the belt and road: Evidence from China

Central Bank Digital Currencies: Agendas for future research

Financial market integration of emerging markets: Heavy tails, structural shifts, nonlinearity, and asymmetric persistence

Does the porter hypothesis work well in the emission trading schema pilot? Exploring moderating effects of institutional settings

Individualism and excess perk consumption: Evidence from China

Analysis of herding behavior in individual investor portfolios using machine learning algorithms

The impact of quality certification on SME innovation and the role of institutions

Pandemic effect on corporate financial asset holdings: Precautionary or return-chasing?

Index mutual fund ownership and financial reporting quality

Do institutional investors’ corporate site visits impact seasoned equity offering discounts? Evidence from detailed investor bids in SEO auctions

Does mandatory CSR disclosure improve stock price informativeness? Evidence from China

Does social media distort price discovery? Evidence from rumor clarifications

Asymmetric volatility dynamics in cryptocurrency markets on multi-time scales

Synthetic data generation with deep generative models to enhance predictive tasks in trading strategies

The heterogeneity of innovation, government R&D support and enterprise innovation performance

How does uncertainty affect corporate investment inefficiency? Evidence from Europe

Insurance fraud detection: Evidence from artificial intelligence and machine learning