International Review of Finance

Papers
(The median citation count of International Review of Finance is 1. 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
Climate risks and U.S. stock‐market tail risks: A forecasting experiment using over a century of data87
Trust in the retirement system and investment decisions of property investors83
The information effect versus governance effect of comment letters: Evidence from the cost of equity capital25
Displacement of labor by capital: Its implication on stock liquidity20
Information of employee decisions and stock returns in the Korean stock market18
The effect of corporate governance on the relationship between performance and competition15
Issue Information15
Information intensity and pricing of systematic earnings announcement risk14
Environmental protection tax and trade credit: Evidence from China11
Institutional investors' corporate site visits and corporate investment efficiency11
Insider trading footprints: An empirical look at detected cases in Australia10
A novel approach to portfolio selection using news volume and sentiment10
The impact of country level investor protection on economic policy uncertainty and corporate investment link10
The impact of credit constraints and risk tolerance on self‐employment: Accounting for the hidden majority9
Bond defaults in China: Using machine learning to make predictions8
Does culture matter in corporate cash holdings?8
Stock market, credit market, and heterogeneous innovations8
Geographical proximity and information advantage evidence from the Chinese seasoned equity offering market7
The informational role of cross‐border trading: Evidence from the intraday price discovery in China7
Population Aging and the Nexus Between Financial Development and Wealth Inequality6
Inflation Uncertainty, Macroprudential Regulations, and Bank Stability: Some Evidence From Emerging Economies6
The Influence of Economic and Political Positions of the United States on Sovereign Credit Ratings6
Issue Information6
Bank diversification and performance: Empirical evidence from Japan5
5
Shareholding arrangement within controlling family and ESG performance: Insights from succession planning in C 5
Regret aversion and asset pricing anomalies in the Chinese stock market5
Do passive investors influence corporate social responsibility? A risk‐management perspective5
Issue Information5
Stock Market Liberalization, Foreign Investors, and Firm Labor Investment: Evidence From China5
The Price of Trust: How CEO Behavioral Integrity Shapes the Cost of Equity Capital5
Life‐cycle planning model with stochastic volatility and recursive preferences5
Wage Differentials, Firm Investment, and Stock Returns4
Rare disaster, economic growth, and disaster risk management with preferences for liquidity4
Topic tones of analyst reports and stock returns: A deep learning approach4
4
Marketization and corporate cash holdings: Role of financial constraint alleviation4
Political institutions and corporate risk‐taking: International evidence4
Aftermarket performance of emerging growth companies: The long‐term effects of the JOBS act and the role of institutional investors4
State ownership and green innovation in family firms4
Do stock markets care about climate change: A public media perspective4
Does carbon market add investment value in multi‐asset portfolios? Evidence from hedge, safe haven, and portfolio performance4
Optimal design of deferred compensation for bank executives under agency conflicts3
3
The Echo Effect of Momentum and Investor Trading Behavior3
Issue Information3
Enterprise characteristics and incentive effect of environmental regulation3
Cross‐Channel Tone Volatility and Stock Returns in the Chinese Market3
3
Testing and forecasting price jumps with return moments3
Co‐movement among oil, stock, bond, and housing markets: An analysis of U.S., Asian, and European economies3
Public trust and bank branching regulation on personal loan grants and default risk: Evidence from regional commercial banks in China3
3
Issue Information3
Trade dependence and stock market reaction to the Russia‐Ukraine war3
Economic growth and labor investment efficiency2
Cash, Risk, and Return: Decoding Precautionary Motives2
The real effect of CDS trading: Evidence from corporate employment2
Issue Information2
A simple model of managerial incentives with monitoring2
Shedding light on the dynamics of the secured overnight financing rate (SOFR)2
Institutional investors and cross‐border mergers and acquisitions: The 2000–2018 period2
Effects of Corporate Governance Code on Corporate Governance Practices and Firm Performance in Vietnam2
Individualistic culture and firm default risk: Cross‐country evidence2
Independent Director Diligence and the Cost of Equity Capital—Evidence From the Performance Reports of Independent Directors2
The mean–variance (in)efficiency of duration‐based immunization2
Dialect Diversity, Uncertainty and Corporate Investment Efficiency2
2
The real effects of local mutual funds: Evidence from corporate innovation2
Average skewness in global equity markets2
Dynamic impact of climate risks on financial systemic risk: Evidence from China1
Monetary policy, stock market and inflation amid economic uncertainty: Fresh evidence from an emerging market (the Indian case)1
The power of spirit: CEOs ' university mottos and corporate innovation1
The role of diversification in stabilizing bank credit over the business cycle1
Influence of dividend tax policy tied to investment horizon on stock price stability: Evidence from the 2015 dividend tax reform in China1
Seasonal variation in risk and return trade‐off1
Climate change, tax avoidance, and shareholder value: Evidence from the Paris Agreement1
The trend premium around the world: Evidence from the stock market1
Economic policy uncertainty, ownership structure, and R&D investment: Evidence from Japan1
Quote Limits Rule and Stock Market Efficiency: Evidence From a Regression Discontinuity Design1
1
Firm‐level political risk and implied cost of equity capital1
CSR Assurance and Employee Overtime: Evidence From China1
Cultural values and cross‐country differences in responsible investing sectors1
An analysis of the evolution of global financial network of the coordinated portfolio investment survey1
Issue Information1
Greenness in the Eye of Bond Short Sellers1
International evidence on global economic uncertainty and cross‐sectional stock returns1
Foreign institutional ownership and corporate labor investment1
1
The bright side of cross ownership: Evidence from the corporate resilience to COVID‐19 crisis in China1
Synergizing domain knowledge and machine learning: Intelligent early fraud detection enhanced by earnings management analysis1
1
Unpacking the black box of investor sentiment: Structured sentiment and unstructured sentiment1
Impact of professor‐directors on Chinese firms' environmental performance1
Are socially responsible exchange‐traded funds paying off in performance?1
1
The impact of early withdrawal on superannuation balance at retirement: Evidence from Australia1
Mandatory Information Disclosure Regulation and Corporate Cash Holdings: Evidence From a Quasi‐Natural Experiment1
Bond market structure and volatility1
Why do managers announce the intention to sell large assets?1
Do retail investors gamble more during lockdown?1
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