European Journal of Finance

Papers
(The H4-Index of European Journal of Finance is 17. The table below lists those papers that are above that threshold based on CrossRef citation counts [max. 250 papers]. The publications cover those that have been published in the past four years, i.e., from 2022-06-01 to 2026-06-01.)
ArticleCitations
Female venture capitalists on boards and firm innovation in China167
Model scan and optimal portfolio choice in European stock returns87
Can social capital and reputation mitigate political and market competition risk?80
Portfolio management using time-varying vine copula: an application on the G7 equity market indices70
Corruption-related disclosure in the banking industry: evidence from GIPSI countries38
Do risk disclosures enhance the efficacy of regulatory and supervisory frameworks in restricting banks’ risk-taking?38
The effects of bundling strategy on bank interest margins: theoretical and empirical evidence27
Predicting firm bankruptcy using macroeconomic and uncertainty variables: an ensemble machine learning study of the French market24
Assessing systemic risk spillovers from FinTech to China’s financial system22
Poor performance and CEO turnover in community banks: the role of gender in managerial successions22
Preface21
Branch network overlap and bank cost efficiency21
Bank market power and interest rate setting: why consolidated banking data matter20
Weathering the storm: extreme weather's impact on international financial markets19
The stress contagion among financial markets and its determinants18
Cryptocurrency research: future directions17
Banks’ liability structure and monetary policy transmission: evidence from a quasi-natural experiment in China17
Labor unions and debt covenant violations*17
The bright side of relationship lending: cooperative banks and corporate loans17
Improving financial volatility nowcasts*17
Global volatility connectedness and the determinants: evidence from multilayer networks17
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