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Research in International Business and Finance
Title
Publication Date
Language
Citations
The impact of corporate governance on financial performance of Indian and GCC listed firms: An empirical investigation
2020/01/01
English
111
Investigating volatility transmission and hedging properties between Bitcoin and Ethereum
2019/04/01
English
111
ESG disclosure and Firm performance: A bibliometric and meta analysis
2022/10/01
English
107
The effect of board composition on the informativeness and quality of annual earnings: Empirical evidence from Greece
2010/06/01
English
106
Spillover effects between exchange rates and stock prices: Evidence from BRICS around the recent global financial crisis
2016/01/01
English
105
Capital structure in an emerging stock market: The case of India
2010/09/01
English
105
A bibliometric analysis of bitcoin scientific production
2019/12/01
English
104
Behavior of GCC stock markets and impacts of US oil and financial markets
2006/03/01
English
104
The impact of COVID-19 on the stock market crash risk in China
2021/10/01
English
103
Foreign direct investment, exports and economic growth: ADRL and causality analysis for South Africa
2017/10/01
English
100
On the relationship between corporate governance and firm performance: Evidence from GCC countries
2018/04/01
English
99
Linkages between financial development, financial instability, financial liberalisation and economic growth in Africa
2018/10/01
English
99
Modelling volatility of cryptocurrencies using Markov-Switching GARCH models
2019/04/01
English
98
Economic policy uncertainty and credit growth: Evidence from a global sample
2020/01/01
English
97
Liquidity risk, credit risk and stability in Islamic and conventional banks
2019/04/01
English
97
Nonlinearities in financial development–economic growth nexus: Evidence from sub-Saharan Africa
2018/12/01
English
97
Global financial crisis and emerging stock market contagion: A volatility impulse response function approach
2016/01/01
English
94
Islamic versus conventional banks in the GCC countries: A comparative study using classification techniques
2015/01/01
English
94
On the determinants of SME capital structure in Central and Eastern Europe: A dynamic panel analysis
2013/01/01
English
92
The 2008 financial crisis: Stock market contagion and its determinants
2015/01/01
English
91
Efficiency in the Vietnamese banking system: A DEA double bootstrap approach
2016/01/01
English
89
Financing climate policies through climate bonds – A three stage model and empirics
2017/12/01
English
89
Seasonality in stock returns and volatility: The Ramadan effect
2005/09/01
English
86
The significance of working capital management in determining firm profitability: Evidence from developing economies in Africa
2014/05/01
English
86
Short-run underpricing and its characteristics in Chinese initial public offering (IPO) markets
2005/03/01
English
86
A systematic review of the bubble dynamics of cryptocurrency prices
2020/12/01
English
85
Does COVID-19 open a Pandora's box of changing the connectedness in energy commodities?
2021/04/01
English
85
Determinants of bank profitability in transition countries: What matters most?
2016/09/01
English
85
Investor sentiment and calendar anomaly effects: A case study of the impact of Ramadan on Islamic Middle Eastern markets
2011/09/01
English
85
Determinants of corporate dividend policy in emerging markets: Evidence from MENA stock markets
2016/05/01
English
84
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