International Review of Financial Analysis

Title Publication Date Language Citations
COVID-19 pandemic, oil prices, stock market, geopolitical risk and policy uncertainty nexus in the US economy: Fresh evidence from the wavelet-based approach2020/07/01English854
Cryptocurrencies as a financial asset: A systematic analysis2019/03/01English572
Bitcoin is not the New Gold – A comparison of volatility, correlation, and portfolio performance2018/10/01English500
Hedges and safe havens: An examination of stocks, bonds, gold, oil and exchange rates2013/09/01English488
Dynamic correlation between stock market and oil prices: The case of oil-importing and oil-exporting countries2011/06/01English478
Is Bitcoin a better safe-haven investment than gold and commodities?2019/05/01English405
Portfolio diversification with virtual currency: Evidence from bitcoin2019/05/01English393
Searching for safe-haven assets during the COVID-19 pandemic2020/10/01English383
Dynamic connectedness and integration in cryptocurrency markets2019/05/01English356
Negative bubbles and shocks in cryptocurrency markets2016/10/01English331
Is Bitcoin a hedge or safe haven for currencies? An intraday analysis2019/05/01English321
Return connectedness across asset classes around the COVID-19 outbreak2021/01/01English312
Textual sentiment in finance: A survey of methods and models2014/05/01English282
Volatility connectedness in the cryptocurrency market: Is Bitcoin a dominant cryptocurrency?2018/11/01English271
Foreign direct investment and institutional quality: Some empirical evidence2012/01/01English268
Global financial crisis and emerging stock market contagion: A multivariate FIAPARCH–DCC approach2013/12/01English238
Retail investor attention and stock price crash risk: Evidence from China2019/10/01English231
Volatility transmission between oil prices and equity sector returns2009/06/01English228
Stock prices and geographic proximity of information: Evidence from the Ebola outbreak2018/03/01English219
Corporate governance and risk reporting in South Africa: A study of corporate risk disclosures in the pre- and post-2007/2008 global financial crisis periods2013/12/01English219
Financial distress and bankruptcy prediction among listed companies using accounting, market and macroeconomic variables2013/12/01English213
The financial economics of gold — A survey2015/10/01English211
The impact of banking regulations on banks' cost and profit efficiency: Cross-country evidence2009/12/01English208
Crude oil market and stock markets during the COVID-19 pandemic: Evidence from the US, Japan, and Germany2021/03/01English200
Does gold glitter in the long-run? Gold as a hedge and safe haven across time and investment horizon2015/10/01English200
Digitalization, competition strategy and corporate innovation: Evidence from Chinese manufacturing listed companies2022/07/01English197
Predicting stock returns in the presence of COVID-19 pandemic: The role of health news2020/10/01English180
Does global economic uncertainty matter for the volatility and hedging effectiveness of Bitcoin?2019/01/01English179
Female directors and earnings management: Evidence from UK companies2015/05/01English179
Analysis of efficiency for Shenzhen stock market based on multifractal detrended fluctuation analysis2009/12/01English177