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International Review of Financial Analysis
Title
Publication Date
Language
Citations
Macroeconomic determinants of credit risk: Recent evidence from a cross country study
2010/06/01
English
63
Financial literacy and over-indebtedness in low-income households
2016/12/01
English
63
Corporate life cycle research in accounting, finance and corporate governance: A survey, and directions for future research
2019/01/01
English
63
The impact of the 2008 and 2010 financial crises on the Hurst exponents of international stock markets: Implications for efficiency and contagion
2014/10/01
English
63
Oil price and stock market co-movement: What can we learn from time-scale approaches?
2016/07/01
English
63
Trump vs. Paris: The impact of climate policy on U.S. listed oil and gas firm returns and volatility
2021/07/01
English
62
The value of stock analysts' recommendations: Evidence from emerging markets
2009/03/01
English
62
Accounting disclosure and firms' financial attributes: Evidence from the UK stock market
2008/01/01
English
62
Herd behavior and equity market liquidity: Evidence from major markets
2016/12/01
English
61
Covid-19 pandemic and spillover effects in stock markets: A financial network approach
2022/03/01
English
61
Small fish in big ponds: Connections of green finance assets to commodity and sectoral stock markets
2022/10/01
English
61
Trade the tweet: Social media text mining and sparse matrix factorization for stock market prediction
2016/12/01
English
61
Wavelet multiresolution analysis of high-frequency Asian FX rates, Summer 1997
2005/01/01
English
60
Quality of bank capital and bank lending behavior during the global financial crisis
2015/01/01
English
59
The causes and consequences of household financial strain: A systematic review
2019/03/01
English
59
Assessing the extreme risk spillovers of international commodities on maritime markets: A GARCH-Copula-CoVaR approach
2020/03/01
English
59
The CAPM and value at risk at different time-scales
2006/01/01
English
59
The dynamics of economic growth, oil prices, stock market depth, and other macroeconomic variables: Evidence from the G-20 countries
2015/05/01
English
59
Diamonds vs. precious metals: What shines brightest in your investment portfolio?
2016/01/01
English
58
The impact of SME’s pre-bankruptcy financial distress on earnings management tools
2015/12/01
English
58
Investor sentiment and feedback trading: Evidence from the exchange-traded fund markets
2011/10/01
English
58
Is U.S. economic policy uncertainty priced in China's A-shares market? Evidence from market, industry, and individual stocks
2018/05/01
English
58
Spillovers and connectedness between major precious metals and major currency markets: The role of frequency factor
2021/03/01
English
58
Time-frequency spillovers among carbon, fossil energy and clean energy markets: The effects of attention to climate change
2022/10/01
English
58
The effects of the European debt crisis on earnings quality
2013/12/01
English
58
Measuring financial risks with copulas
2004/03/01
English
57
Earnings management and firm financial motives: A financial investigation of UK listed firms
2009/09/01
English
57
Is forward-looking financial disclosure really informative? Evidence from UK narrative statements
2015/10/01
English
57
Economic consequences of key performance indicators' disclosure quality
2015/05/01
English
57
Investor attention in cryptocurrency markets
2022/01/01
English
57
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