International Review of Financial Analysis

Title Publication Date Language Citations
An empirical investigation of the informational efficiency of the GCC equity markets: Evidence from bootstrap simulation2010/01/01English71
Sentiment in oil markets2015/05/01English71
Firms' digitalization and stock price crash risk2022/07/01English71
The adaptive market hypothesis in the high frequency cryptocurrency market2019/07/01English70
Linkages between DeFi assets and conventional currencies: Evidence from the COVID-19 pandemic2022/05/01English69
Basel III: Is the cure worse than the disease?2012/12/01English69
Does investor sentiment really matter?2016/12/01English69
Financial market development: A potentiating policy choice for the green transition in G7 economies2023/05/01English69
Empirical relationship between macroeconomic volatility and stock returns: Evidence from Latin American markets2008/01/01English68
Impact of internet finance on the performance of commercial banks in China2020/11/01English68
The volatility-confined LPPL model: A consistent model of ‘explosive’ financial bubbles with mean-reverting residuals2014/05/01English68
Performance of European socially responsible funds during market crises: Evidence from France2015/07/01English68
The price of shelter - Downside risk reduction with precious metals2017/01/01English68
Board independence, ownership concentration and corporate performance—Chinese evidence2015/10/01English67
Carbon disclosure, carbon performance and financial performance: International evidence2021/05/01English67
The impact of Covid-19 on G7 stock markets volatility: Evidence from a ST-HAR model2021/03/01English67
From COVID-19 herd immunity to investor herding in international stock markets: The role of government and regulatory restrictions2021/03/01English67
Machine learning as an early warning system to predict financial crisis2020/10/01English66
News sentiment in the cryptocurrency market: An empirical comparison with Forex2020/05/01English66
Volatility spillovers across NFTs news attention and financial markets2022/10/01English65
Is gold good for portfolio diversification? A stochastic dominance analysis of the Paris stock exchange2015/12/01English65
Cash flow uncertainty, financial constraints and R&D investment2021/07/01English65
‘Cleantech’ venture capital around the world2016/03/01English65
Cooperative financial institutions: A review of the literature2020/10/01English64
The financial economics of white precious metals — A survey2017/07/01English64
Together we invest? Individual and institutional investors' trading behaviour in Poland2009/09/01English64
On the efficiency of the gold market: Results of a real-time forecasting approach2014/03/01English64
Does it pay to be different? Relative CSR and its impact on firm value2016/10/01English64
Neoclassical finance, behavioral finance and noise traders: A review and assessment of the literature2015/10/01English64
A credit scoring model for Vietnam's retail banking market2007/01/01English63