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International Review of Financial Analysis
Title
Publication Date
Language
Citations
Strategic growth option, uncertainty, and R&D investment
2017/05/01
English
99
Gender diversity on the board of directors and corporate risk: A behavioural agency theory perspective
2019/03/01
English
99
Asymmetric volatility spillover among Chinese sectors during COVID-19
2021/05/01
English
97
On the linkages between stock prices and exchange rates: Evidence from the banking crisis of 2007–2010
2014/05/01
English
97
Corporate governance and firm value during the global financial crisis: Evidence from China
2012/01/01
English
95
Board diversity and financial fragility: Evidence from European banks
2017/01/01
English
95
Risk transmissions between bitcoin and traditional financial assets during the COVID-19 era: The role of global uncertainties
2022/05/01
English
94
Are stock markets really efficient? Evidence of the adaptive market hypothesis
2016/10/01
English
94
The effects of markets, uncertainty and search intensity on bitcoin returns
2019/05/01
English
94
Tail risk contagion between international financial markets during COVID-19 pandemic
2021/01/01
English
94
Dependences and volatility spillovers between the oil and stock markets: New evidence from the copula and VAR-BEKK-GARCH models
2020/03/01
English
93
Liquidity creation, regulatory capital, and bank profitability
2016/12/01
English
92
On financial contagion and implied market volatility
2014/07/01
English
90
Calendar effects, market conditions and the Adaptive Market Hypothesis: Evidence from long-run U.S. data
2014/10/01
English
90
Hedging stock sector risk with credit default swaps
2013/12/01
English
89
Extreme spillovers across Asian-Pacific currencies: A quantile-based analysis
2020/11/01
English
88
CEO power and stock price crash risk in China: Do female directors' critical mass and ownership structure matter?
2020/03/01
English
88
Forecasting the price of gold using dynamic model averaging
2015/10/01
English
88
Gender-diverse board and the relevance of voluntary CSR reporting
2017/03/01
English
88
Information asymmetry, leverage and firm value: Do crisis and growth matter?
2016/07/01
English
88
Cointegration relationship and time varying co-movements among Indian and Asian developed stock markets
2012/01/01
English
87
Corporate cash holdings: Causes and consequences
2015/12/01
English
87
Risk spillovers between FinTech and traditional financial institutions: Evidence from the U.S.
2020/10/01
English
87
The gold price in times of crisis
2015/10/01
English
86
Return spillovers between white precious metal ETFs: The role of oil, gold, and global equity
2017/07/01
English
86
Weather, biorhythms, beliefs and stock returns—Some preliminary Irish evidence
2005/01/01
English
86
Asymmetric causality of economic policy uncertainty and oil volatility index on time-varying nexus of the clean energy, carbon and green bond
2022/10/01
English
86
Financial distress prediction: The case of French small and medium-sized firms
2017/03/01
English
86
Loan loss provisioning and income smoothing in US banks pre and post the financial crisis
2012/12/01
English
85
Individual and institutional herding and the impact on stock returns: Evidence from Taiwan stock market
2013/09/01
English
85
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