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International Review of Financial Analysis
Title
Publication Date
Language
Citations
Stock market volatility spillovers and portfolio hedging: BRICS and the financial crisis
2015/05/01
English
123
Impact of speculation and economic uncertainty on commodity markets
2016/01/01
English
122
The impact of the FinTech revolution on the future of banking: Opportunities and risks
2022/05/01
English
121
Dynamic volatility spillovers across oil and natural gas futures markets based on a time-varying spillover method
2021/07/01
English
120
Directional spillover effects and time-frequency nexus between oil, gold and stock markets: Evidence from pre and during COVID-19 outbreak
2021/07/01
English
117
Are gold and silver a hedge against inflation? A two century perspective
2015/10/01
English
117
Does financial market liberalization increase the degree of market efficiency? The case of the Athens stock exchange
2009/03/01
English
115
Green credit regulation, induced R&D and green productivity: Revisiting the Porter Hypothesis
2021/05/01
English
115
Age diversity, directors' personal values, and bank performance
2018/01/01
English
114
Sudden changes in volatility in emerging markets: The case of Gulf Arab stock markets
2008/01/01
English
114
Time-varying correlation between oil and stock market volatilities: Evidence from oil-importing and oil-exporting countries
2016/12/01
English
114
The hedging effect of green bonds on carbon market risk
2020/10/01
English
112
Asymmetric nexus between COVID-19 outbreak in the world and cryptocurrency market
2021/01/01
English
112
Does data frequency matter for the impact of forward premium on spot exchange rate?
2015/05/01
English
111
Efficient or adaptive markets? Evidence from major stock markets using very long run historic data
2013/06/01
English
110
The effects of uncertainty measures on the price of gold
2018/07/01
English
110
Dynamic linkages between emerging European and developed stock markets: Has the EMU any impact?
2007/01/01
English
109
The ‘competition–stability/fragility’ nexus: A comparative analysis of Islamic and conventional banks
2017/03/01
English
108
Investor attention and global market returns during the COVID-19 crisis
2021/01/01
English
107
Corporate ESG performance and manager misconduct: Evidence from China
2022/07/01
English
107
Herding behavior in REITs: Novel tests and the role of financial crisis
2013/09/01
English
105
Stock returns and volatility following the September 11 attacks: Evidence from 53 equity markets
2008/01/01
English
105
The short-run relationship between the financial system and economic growth: New evidence from regional panels
2013/09/01
English
104
Ownership structure and risk-taking: Comparative evidence from private and state-controlled banks in China
2014/12/01
English
104
Price and volatility spillovers across North American, European and Asian stock markets
2010/01/01
English
103
A lost century in economics: Three theories of banking and the conclusive evidence
2016/07/01
English
103
War and stock markets: The effect of World War Two on the British stock market
2015/07/01
English
102
Dynamic spillovers between energy and stock markets and their implications in the context of COVID-19
2021/10/01
English
101
Does institutional quality condition the effect of bank regulations and supervision on bank stability? Evidence from emerging and developing economies
2018/10/01
English
100
Gold or Bitcoin, which is the safe haven during the COVID-19 pandemic?
2022/05/01
English
100
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