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International Review of Financial Analysis
Title
Publication Date
Language
Citations
What do we know about oil prices and stock returns?
2018/05/01
English
174
Intra- and inter-regional return and volatility spillovers across emerging and developed markets: Evidence from stock indices and stock index futures
2016/01/01
English
174
ESG disclosure and financial performance: Moderating role of ESG investors
2022/10/01
English
171
Dynamic spillovers between commodity and currency markets
2015/10/01
English
168
Stock return forecasting: Some new evidence
2015/07/01
English
164
The role of bitcoin in well diversified portfolios: A comparative global study
2019/01/01
English
160
Global financial crisis and rising connectedness in the international commodity markets
2020/03/01
English
159
Women on corporate boards and corporate financial and non-financial performance: A systematic literature review and future research agenda
2020/10/01
English
157
Can banks individually create money out of nothing? — The theories and the empirical evidence
2014/12/01
English
153
Google searches and stock returns
2016/05/01
English
151
Can digital financial inclusion promote China's economic growth?
2021/11/01
English
149
To what extent do financing constraints affect Chinese firms' innovation activities?
2014/12/01
English
148
Ownership concentration and corporate performance from a dynamic perspective: Does national governance quality matter?
2015/10/01
English
144
Bank governance, regulation, supervision, and risk reporting: Evidence from operational risk disclosures in European banks
2013/12/01
English
144
Financial crisis and stock market efficiency: Empirical evidence from Asian countries
2008/06/01
English
143
Audit committee financial expertise, gender, and earnings management: Does gender of the financial expert matter?
2018/01/01
English
139
Risk transmission between Islamic and conventional stock markets: A return and volatility spillover analysis
2017/07/01
English
139
Relationship between gold and stock markets during the global financial crisis: Evidence from nonlinear causality tests
2015/10/01
English
139
Aggregated, voluntary, and mandatory risk disclosure incentives: Evidence from UK FTSE all-share companies
2013/12/01
English
139
Oil shocks and stock markets: Dynamic connectedness under the prism of recent geopolitical and economic unrest
2017/03/01
English
138
Equity market integration in Central European emerging markets: A cointegration analysis with shifting regimes
2004/01/01
English
137
International Financial Reporting Standards and the quality of financial statement information
2010/06/01
English
136
Green credit policy and corporate access to bank loans in China: The role of environmental disclosure and green innovation
2021/10/01
English
135
Do banks value the eco-friendliness of firms in their corporate lending decision? Some empirical evidence
2012/12/01
English
134
Contagion, decoupling and the spillover effects of the US financial crisis: Evidence from the BRIC markets
2014/05/01
English
133
Dynamic network of implied volatility transmission among US equities, strategic commodities, and BRICS equities
2018/05/01
English
133
Is earnings management opportunistic or beneficial? An agency theory perspective
2008/06/01
English
133
International equity market integration: Theory, evidence and implications
2004/01/01
English
131
Diversifying equity with cryptocurrencies during COVID-19
2021/07/01
English
129
Modelling dynamic dependence and risk spillover between all oil price shocks and stock market returns in the BRICS
2020/03/01
English
125
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