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Research in International Business and Finance
Title
Publication Date
Language
Citations
More on the relationship between corporate governance and firm performance in the UK: Evidence from the application of generalized method of moments estimation
2016/09/01
English
84
Testing stock market linkages for Poland and Hungary: A multivariate GARCH approach
2008/09/01
English
84
Impact of COVID-19 on stock market efficiency: Evidence from developed countries
2021/12/01
English
82
On the nonlinear relationship between energy use and CO2 emissions within an EKC framework: Evidence from panel smooth transition regression in the MENA region
2021/01/01
English
78
The informational efficiency and the financial crashes
2008/09/01
English
78
Managerial ability, investment efficiency and stock price crash risk
2017/12/01
English
78
Board of directors’ composition and capital structure
2015/09/01
English
77
Economic policy uncertainty and stock price crash risk
2020/01/01
English
76
Trade credit research before and after the global financial crisis of 2008 – A bibliometric overview
2020/12/01
English
75
Competition, concentration and risk taking in Banking sector of MENA countries
2017/12/01
English
74
An empirical investigation of volatility dynamics in the cryptocurrency market
2019/12/01
English
74
Exploring the causality links between financial markets and foreign direct investment in Africa
2013/05/01
English
74
Do trade and financial openness matter for financial development? Bank-level evidence from emerging market economies
2018/04/01
English
74
The intraday dynamics of bitcoin
2019/10/01
English
73
Determinants of capital structure in emerging markets: Evidence from Vietnam
2017/04/01
English
73
Artificial intelligence and machine learning in finance: A bibliometric review
2022/10/01
English
72
Corporate governance and cash holdings in MENA: Evidence from internal and external governance practices
2017/01/01
English
72
Socially responsible investing (SRI): From mainstream to margin?
2017/01/01
English
72
Corporate social responsibility and dividend policy
2019/01/01
English
72
The impact of the Arab Spring and the Ebola outbreak on African equity mutual fund investor decisions
2017/10/01
English
71
Multiresolution analysis and spillovers of major cryptocurrency markets
2019/10/01
English
71
Are stablecoins truly diversifiers, hedges, or safe havens against traditional cryptocurrencies as their name suggests?
2020/12/01
English
71
Equity market integration in emerging Balkan markets
2011/09/01
English
71
Does bitcoin co-move and share risk with Sukuk and world and regional Islamic stock markets? Evidence using a time-frequency approach
2020/10/01
English
70
How does economic policy uncertainty affect the bitcoin market?
2020/10/01
English
69
Herding and excessive risk in the American stock market: A sectoral analysis
2016/09/01
English
69
Predicting efficiency in Malaysian Islamic banks: A two-stage TOPSIS and neural networks approach
2016/01/01
English
68
Does economic policy uncertainty affect cryptocurrency markets? Evidence from Twitter-based uncertainty measures
2021/12/01
English
68
Bank credit risk and credit information sharing in Africa: Does credit information sharing institutions and context matter?
2017/12/01
English
67
Corporate social performance, ownership structure, and corporate governance in France
2015/05/01
English
66
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