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International Review of Financial Analysis
Title
Publication Date
Language
Citations
Does the stock market drive herd behavior in commodity futures markets?
2015/05/01
English
84
How do banks create money, and why can other firms not do the same? An explanation for the coexistence of lending and deposit-taking
2014/12/01
English
84
Innovation and SME finance: Evidence from developing countries
2019/11/01
English
82
Dynamic volatility spillovers and investment strategies between the Chinese stock market and commodity markets
2021/07/01
English
81
Board structure and corporate risk taking in the UK financial sector
2017/03/01
English
81
An empirical analysis of zero-leverage firms: New evidence from the UK
2013/12/01
English
80
Which popular predictor is more useful to forecast international stock markets during the coronavirus pandemic: VIX vs EPU?
2020/11/01
English
80
Which sentiment index is more informative to forecast stock market volatility? Evidence from China
2020/10/01
English
79
Does economic policy uncertainty drive CDS spreads?
2015/12/01
English
79
International variations in ESG disclosure – Do cross-listed companies care more?
2021/05/01
English
79
Properties of range-based volatility estimators
2012/06/01
English
79
Assessing the safe haven property of the gold market during COVID-19 pandemic
2021/03/01
English
78
Immunizing markets against the pandemic: COVID-19 vaccinations and stock volatility around the world
2021/10/01
English
78
Shock transmission in the cryptocurrency market. Is Bitcoin the most influential?
2019/07/01
English
78
International monetary policy spillovers: Evidence from a time-varying parameter vector autoregression
2019/10/01
English
78
The impact of COVID-19 pandemic on transmission of monetary policy to financial markets
2021/03/01
English
77
Climate change, risk factors and stock returns: A review of the literature
2022/01/01
English
76
When the Japanese stock market meets COVID-19: Impact of ownership, China and US exposure, and ESG channels
2021/03/01
English
76
Managerial ability and corporate investment opportunity
2018/05/01
English
76
Bank efficiency in the new European Union member states: Is there convergence?
2008/12/01
English
76
Market concentration, risk-taking, and bank performance: Evidence from emerging economies
2013/12/01
English
76
The real effects of financial stress in the Eurozone
2013/12/01
English
75
Spillover of fear: Evidence from the stock markets of five developed countries
2014/05/01
English
75
Executive political connections and firm performance: Comparative evidence from privately-controlled and state-owned enterprises
2014/12/01
English
74
Why do institutional investors buy green bonds: Evidence from a survey of European asset managers
2021/05/01
English
73
A tale of two tails among carbon prices, green and non-green cryptocurrencies
2022/07/01
English
73
Corporate investment efficiency: The role of financial development in firms with financing constraints and agency issues in OECD non-financial firms
2019/03/01
English
72
Deflation, bank credit growth, and non-performing loans: Evidence from Japan
2016/05/01
English
71
Tail dependence between Bitcoin and financial assets: Evidence from a quantile cross-spectral approach
2020/10/01
English
71
Impact of the federal open market committee's meetings and scheduled macroeconomic news on stock market uncertainty
2004/03/01
English
71
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