International Review of Finance

Papers
(The median citation count of International Review of Finance is 0. 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 2020-10-01 to 2024-10-01.)
ArticleCitations
Does Twitter Happiness Sentiment predict cryptocurrency?38
Quantile price convergence and spillover effects among Bitcoin, Fintech, and artificial intelligence stocks31
Government economic policy uncertainty and corporate debt contracting27
Local green finance policies and corporate ESG performance26
Does corporate social responsibility affect shareholder value? Evidence from the COVID‐19 crisis26
COVID‐19 and ESG preferences: Corporate bonds versus equities16
Islamic equity markets versus their conventional counterparts in the COVID‐19 age: Reaction, resilience, and recovery15
Physical proximity, corporate social responsibility, and the impact of negative investor sentiment on stock returns: Evidence from COVID‐19 in China14
Firm's tax aggressiveness under mandatory CSR regime: Evidence after mandatory CSR regulation of India12
Environmental uncertainty and corporate cash holdings: The moderating role of CEO ability12
Trade dependence and stock market reaction to the Russia‐Ukraine war11
Chinese economic policy uncertainty and U.S. corporate investment7
The effect of stock liquidity on corporate cash holdings: The real investment motive7
Climate risks and U.S. stock‐market tail risks: A forecasting experiment using over a century of data6
Bank herding in loan markets: Evidence from geographical data in Japan5
The maturity‐lengthening role of national development banks5
Institutional investors' corporate site visits and corporate investment efficiency5
Economic growth and labor investment efficiency5
Firm‐level political risk and implied cost of equity capital5
Volatility and returns: Evidence from China4
The media and CEO dominance4
Does cross‐border acquisition reduce earnings management of emerging market acquirers? Evidence from India4
Economic policy responses to the COVID‐19 pandemic and growth of nonperforming loans4
Chasing dividends during the COVID‐19 pandemic4
Climate risks and forecastability of the weekly state‐level economic conditions of the United States4
Stock return predictability of the cumulative abnormal returns around the earnings announcement date: Evidence from China3
Stock market, credit market, and heterogeneous innovations3
Accumulating human capital: Corporate innovation and firm value3
Robust irreversible investment strategy with ambiguity to jump and diffusion risk3
Payout policies, government ownership, and financial constraints: Evidence from Vietnam3
Uncertainty due to infectious diseases and forecastability of the realized variance of United States real estate investment trusts: A note3
Does monetary policy uncertainty command a risk premium in the Chinese stock market?2
Can technical indicators predict the Chinese equity risk premium?2
Individualistic culture and firm default risk: Cross‐country evidence2
The contribution of macroprudential policies to banks' resilience: Lessons from the systemic crises and the COVID‐19 pandemic shock2
Impact of mortgage soft information in loan pricing on default prediction using machine learning2
Buy and buy again: The impact of unique reference points on (re)purchase decisions2
Influence of dividend tax policy tied to investment horizon on stock price stability: Evidence from the 2015 dividend tax reform in China2
Value of dividend signaling in uncertain times2
Overreaction‐based momentum in the real estate investment trust market2
An explosion time characterization of asset price bubbles2
An analysis of the evolution of global financial network of the coordinated portfolio investment survey2
Bank risk‐taking in a mixed duopoly: The role of the state‐owned bank2
The determinants of Asian banking crises—Application of the panel threshold logit model2
The COVID‐19 risk in the Chinese option market2
Levels versus changes: Information contents of textual information2
Corporate lobbying and the value of firms: The case of defense firms and the 9/11 terrorist attacks2
1
Political uncertainty and investments by private and state‐owned enterprises1
The effect of corporate annual report quality on the relationship between institutional blockholder monitoring and firm's information environment1
Does options improve the information absorption? Evidence from the introduction of weekly index options1
Are socially responsible exchange‐traded funds paying off in performance?1
Can macroprudential policies mitigate pressures from capital inflows on real exchange rates? Empirical evidence from emerging markets1
The role of tail network topological characteristic in portfolio selection: ATNA‐PMCmodel1
The real effects of local mutual funds: Evidence from corporate innovation1
Effects of customer horizontal merger on supplier capital structure decisions1
Co‐movement among oil, stock, bond, and housing markets: An analysis of U.S., Asian, and European economies1
Do academic directors matter? Evidence from Taiwan equity market1
1
Examining the effects of the quality of financial reports on SME trade credit: An innovative approach1
The impact of early withdrawal on superannuation balance at retirement: Evidence from Australia1
Political institutions and corporate risk‐taking: International evidence1
Social responsibility, moral hazard, and collateral requirement: Evidence from a quasi‐natural experiment in India1
Migrants and default: Evidence from China1
Return and volatility connectedness and net directional patterns in spillover transmissions: East and Southeast Asian equity markets1
Know your competitors: Customer identity disclosure by competitors and a firm's production efficiency1
Financial investments and commodity prices1
Impact of professor‐directors on Chinese firms' environmental performance1
Financial crises, banking regulations, and corporate financing patterns around the world1
Bank diversification and performance: Empirical evidence from Japan1
Topic tones of analyst reports and stock returns: A deep learning approach1
COVID‐19 and hedge fund equity ownership1
Does the kitchen‐sink model work forecasting the equity premium?1
Insider trading and the algorithmic trading environment1
The impacts of RMB internationalization on onshore and offshore RMB markets1
0
Rare disaster, economic growth, and disaster risk management with preferences for liquidity0
The price of the slow lane: Traffic congestion and stock block trading premium0
0
Average skewness in global equity markets0
The cross‐predictability of industry returns in international financial markets0
Unpacking the black box of investor sentiment: Structured sentiment and unstructured sentiment0
0
Marketization and corporate cash holdings: Role of financial constraint alleviation0
Risk‐taking in pension and crashes: Firm‐level evidence0
Does size matter? Examining the probability of firm emergence from bankruptcy0
Issue Information0
0
The impact of democracy on liquidity and information asymmetry for NYSE cross‐listed stocks0
0
Institutional investors and cross‐border mergers and acquisitions: The 2000–2018 period0
Why do managers announce the intention to sell large assets?0
Trust in the retirement system and investment decisions of property investors0
Impact of operational fragility on stock returns: Lessons from COVID‐19 crisis0
Foreign institutional ownership and corporate labor investment0
Issue Information0
The trend premium around the world: Evidence from the stock market0
Do non‐controlling blockholders with common ownership monitor controlling shareholders effectively? Evidence from China0
Political protection: The case of large‐scale oil spills and the stock prices of energy firms0
0
Issue Information0
Issue Information0
0
Seasonal variation in risk and return trade‐off0
Estimation and test of a simple model of robust capital asset pricing: An info‐metrics approach0
Issue Information0
Environmental protection tax and trade credit: Evidence from China0
Taking a long view: Investor trading horizon and earnings management strategy0
Issue Information0
International evidence on global economic uncertainty and cross‐sectional stock returns0
Do passive investors influence corporate social responsibility? A risk‐management perspective0
0
Reversal evidence from investor sentiment in international stock markets0
In family we trust—In good and bad times0
A new unique impulse response function in linear vector autoregressive models0
The real effect of CDS trading: Evidence from corporate employment0
Issue Information0
The impact of country level investor protection on economic policy uncertainty and corporate investment link0
The information effect versus governance effect of comment letters: Evidence from the cost of equity capital0
Issue Information0
Economic policy uncertainty, ownership structure, and R&D investment: Evidence from Japan0
Analyzing time‐varying tail dependence between leveraged loan and debt markets in the U.S. economy0
Financial transaction tax and market quality: Evidence from France0
Climate change, tax avoidance, and shareholder value: Evidence from the Paris Agreement0
Information of employee decisions and stock returns in the Korean stock market0
Issue Information0
Is the asymmetric impact of aggregate revenue and aggregate earnings on the stock index in accordance with the prospect theory?0
Yield curve inversions: A study of country‐level and firm‐level stock reactions0
Equity analysts' recommendation revisions and corporate bond price reactions0
The role of diversification in stabilizing bank credit over the business cycle0
Issue Information0
0
Which dimensions of culture matter for central bank independence? International evidence0
Dynamic impact of climate risks on financial systemic risk: Evidence from China0
0
Issue Information0
0
Information intensity and pricing of systematic earnings announcement risk0
Shedding light on the dynamics of the secured overnight financing rate (SOFR)0
Issue Information0
Economic policy uncertainty and fund flow performance sensitivity: Evidence from New Zealand0
Issue Information0
Environmental performance and employee welfare: Evidence from health benefit costs0
Cognition ability, financial advice seeking, and investment performance: New evidence from China0
0
The bright side of cross ownership: Evidence from the corporate resilience to COVID‐19 crisis in China0
Aggregate uncertainty, information acquisition, and analyst stock recommendations0
Issue Information0
Issue Information0
The mean–variance (in)efficiency of duration‐based immunization0
0
A novel approach to portfolio selection using news volume and sentiment0
How does the volatility‐timing strategy perform in mutual funds portfolios0
Different demands for almost the same assets? Demographic structure's different effect on direct and indirect equity purchase0
Does culture matter in corporate cash holdings?0
0
Issue Information0
0.17349219322205