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July 2023, Volume 28, Issue 3
April 2023, Volume 28, Issue 2
- 1179-1200 Does the quality of country‐level governance have an impact on corporate environmental disclosure? Evidence from Gulf Cooperation Council countries
by Ali Meftah Gerged & Eshani S. Beddewela & Christopher J. Cowton
- 1201-1213 Jump volatility spillover network based measurement of systemic importance of Chinese financial institutions
by Xin Yang & Shan Chen & Hong Liu & Xiaoguang Yang & Chuangxia Huang
- 1214-1227 Financial innovation characteristics and banking performance: The mediating effect of risk management
by Rim Zouari‐Hadiji
- 1228-1241 A bargaining model for PLS entrepreneurial financing: A game theoretic model using agent‐based simulation
by Adil El Fakir & Richard Fairchild & Mohamed Tkiouat & Abderrahim Taamouti
- 1242-1249 Investigating the fluctuations of exchange rate based on monetary‐behaviour approach
by Saeid Tajdini & Mohsen Mehrara & Ali Taiebnia
- 1250-1260 Nexus between non‐performing loans and economic growth in emerging countries: Evidence from Turkey with wavelet coherence approach
by Mustafa Tevfik Kartal & Derviş Kirikkaleli & Fatih Ayhan
- 1261-1278 Analysis of default risk in microfinance institutions under the Basel III framework
by Maria Patricia Durango‐Gutiérrez & Juan Lara‐Rubio & Andrés Navarro‐Galera
- 1279-1289 Dynamic causality between PPI and CPI in China: A rolling window bootstrap approach
by Jing Sun & Jinhui Xu & Xin Cheng & Jichao Miao & Hairong Mu
- 1290-1307 Excessive focus on risk? Non‐performing loans and efficiency of microfinance institutions
by Stephen Zamore & Leif Atle Beisland & Roy Mersland
- 1308-1326 Long‐run co‐variability between oil prices and economic policy uncertainty
by Muhammad Shahbaz & Arshian Sharif & Fateh Belaid & Xuan Vinh Vo
- 1327-1337 The ex‐post impact of agricultural technology adoption on poverty: Evidence from north Shewa zone of Amhara region, Ethiopia
by Mesele Belay & Markew Mengiste
- 1338-1363 Can economic links explain lead–lag relations across firms?
by Kailin Zeng & Ebenezer Fiifi Emire Atta Mills
- 1364-1375 The impact of corruption on commercial banks' credit risk: Evidence from a panel quantile regression
by Hatice Jenkins & Ezuldeen Alshareef & Amer Mohamad
- 1376-1390 Investigating the efficiency of foreign exchange reserves using stochastic frontier analysis: Evidence across the globe
by Rachna Agrawal & Ashima Verma
- 1391-1403 Corporate social responsibility and supply chain: A study for evaluating corporate hypocrisy with special focus on stakeholders
by Mohit Tiwari & Tripti Tiwari & Samuel Sam Santhose & Lokanath Mishra & Rejeesh MR & Vinu Sundararaj
- 1404-1422 Covid‐19 outbreak and stocks return on the West African Economic and Monetary Union's stock market: An empirical analysis of the relationship through the event study approach
by Tibi Didier Zoungrana & Daouda Lawa tan Toé & Mamadou Toé
- 1423-1435 The determinants of bank profitability of GCC: The role of bank liquidity as moderating variable—Further analysis
by Ebrahim Mohammed Al‐Matari
- 1436-1449 Evaluation of risk adjusted performance of mutual funds in an emerging market
by Muhammad Asad Ali & Muhammad Aqil & Syed Hasnain Alam Kazmi & Syed Imran Zaman
- 1450-1469 Magnet effects of circuit breakers in electronic order‐driven markets: Evidence from China
by Cheng Xiang & Jing Lu
- 1470-1487 Effects of inflation uncertainty and exchange rate volatility on money demand in Pakistan: Bayesian econometric analysis
by Muhammad Akbar
- 1488-1496 Persistence and dependence in geopolitical risks in various developed and developing countries
by Sakiru Adebola Solarin & Luis A. Gil‐Alana & Maria Jesus Gonzalez‐Blanch
- 1497-1513 Analyzing airlines stock price volatility during COVID‐19 pandemic through internet search data
by Soudeep Deb
- 1514-1526 Impacts of financial openness on economic complexity: Cross‐country evidence
by Yuyuan Yu & Muhammad Qayyum
- 1527-1548 Study of linkages between productivity, export, and outward foreign direct investment: An empirical perspective of Indian manufacturing industries
by Prajukta Tripathy & Pragyanrani Behera & Bikash Ranjan Mishra
- 1549-1562 Financial crises, firm‐level shocks and large downturns: Evidence from Greece
by Stelios Giannoulakis & Plutarchos Sakellaris
- 1563-1581 Emerging and advanced economies markets behaviour during the COVID‐19 crisis era
by Fateh Belaid & Amine Ben Amar & Stéphane Goutte & Khaled Guesmi
- 1582-1601 Do Dow Jones Islamic equity indices undergo speculative pressure? New insights from a nonlinear and asymmetric analysis
by Mongi Arfaoui & Bechir Raggad
- 1602-1621 The environmental consequences of blockchain technology: A Bayesian quantile cointegration analysis for Bitcoin
by Michael L. Polemis & Mike G. Tsionas
- 1622-1637 Financial determinants of corporate credit ratings: An Indian evidence
by Rahul Gupta
- 1638-1652 The effects of the internal control system on the risk, profitability, and compliance of the U.S. banking sector: A quantitative approach
by Andreas G. Koutoupis & Theodore Malisiovas
- 1653-1666 Volatility dynamics of the Tunisian stock market before and during the COVID‐19 outbreak: Evidence from the GARCH family models
by Mohamed Fakhfekh & Ahmed Jeribi & Marwa Ben Salem
- 1667-1692 The dynamics of business cycle connectedness and the decoupling of Asia‐Pacific
by Victor Pontines & Davaajargal Luvsannyam & Khuslen Batmunkh & Tsolmon Otgonbat
- 1693-1712 Innovation and financial performance: An assessment of patenting strategies of Chinese listed firms
by Hong Li
- 1713-1728 Stock returns and interest rate differential in high and low interest rate environments
by Afees A. Salisu & Abdulsalam Abidemi Sikiru
- 1729-1740 Trade openness, financial development and economic growth in North African countries
by Imen Mohamed Sghaier
- 1741-1755 Dynamic asset allocation with multiple regime‐switching markets
by Jianmin Shi
- 1756-1771 Economic globalization and public debt in Sub‐Saharan Africa
by Hodabalo Bataka
- 1772-1786 Stabilizing instability‐suboptimality‐and‐chaos‐prone fluctuations at crisis junctures: Stochastic possibilities for crisis management
by Ahmet Kara
- 1787-1800 The impact of COVID‐19 pandemic on hospitality stock returns in China
by Chi‐Chuan Lee & Chien‐Chiang Lee & Yizhong Wu
- 1801-1825 The economic impact of legislative complexity and corruption: A cross‐country analysis
by Giuseppe Di Vita
- 1826-1844 Does market power explain margins in dual banking? Evidence from panel quantile regression
by Mudeer A. Khattak & Buerhan Saiti & Shabeer Khan
- 1845-1857 The role of oil and risk shocks in the high‐frequency movements of the term structure of interest rates: Evidence from the U.S. Treasury market
by Rangan Gupta & Syed Jawad Hussain Shahzad & Xin Sheng & Sowmya Subramaniam
- 1858-1871 Impact of intellectual capital efficiency on financial stability in banks: Insights from an emerging economy
by Atta Ullah & Chen Pinglu & Saif Ullah & Ningyu Qian & Mubasher Zaman
- 1872-1882 Hedging against risks associated with travel and tourism stocks during COVID‐19 pandemic: The role of gold
by Abdulsalam Abidemi Sikiru & Afees A. Salisu
- 1883-1898 Role of capital investment, investment risks, and globalization in economic growth
by Chunxia Sun & Hafiz Syed Mohsin Abbas & Xiaodong Xu & Samreen Gillani & Saif Ullah & Muhammad Ahsan Ali Raza
- 1899-1910 Institutional quality and social cost of intermediation in Africa: Does the level of financial market development matter?
by Nana Kwasi Karikari & Kwadwo Kwakye Gyan & Muhammad Ahad Hayat Khan & Baah Aye Kusi
- 1911-1917 Forecasting stock prices using a data mining method: Evidence from emerging market
by Saqib Farid & Rubeena Tashfeen & Tahseen Mohsan & Arsal Burhan
- 1918-1928 Dynamic spillover analysis of international and Turkish food prices
by Hasan Murat Ertuğrul & Ünal Seven
- 1929-1938 Gravity assessment of the impact of alliances on bilateral trade: A comparative analysis of ECOMOG and NATO
by Nnanna P. Azu & Ebenezer Fiifi Emire Atta Mills & Benedict N. Akanegbu
- 1939-1964 Is causality between globalization and energy consumption bidirectional or unidirectional in top and bottom globalized economies?
by Muhammad Shahbaz & Mehmet Balcilar & Mantu Kumar Mahalik & Seyi Saint Akadiri
- 1965-1980 Controlling shareholders' influence on acquisition decisions and value creation: An empirical study from China
by Evans Opoku‐Mensah & Yuming Yin
- 1981-1993 Receptivity of capital structure with financial flexibility: A study on manufacturing firms
by Ajaya Kumar Panda & Swagatika Nanda & Apoorva Arunachal Hegde & Akhilesh Kumar Kamalakant Yadav
- 1994-2005 Co‐movement of foreign exchange rate returns and stock market returns in an emerging market: Evidence from the wavelet coherence approach
by Xingxing He & Korhan K. Gokmenoglu & Dervis Kirikkaleli & Syed Kumail Abbas Rizvi
- 2006-2036 Do foreign lenders' national cultures affect loan pricing?
by Kostas Pappas & Alice Liang Xu
- 2037-2055 The euro to dollar exchange rate in the Covid‐19 era: Evidence from spectral causality and Markov‐switching estimation
by Konstantinos N. Konstantakis & Ioannis G. Melissaropoulos & Theodoros Daglis & Panayotis G. Michaelides
- 2056-2073 Do extreme shocks help forecast oil price volatility? The augmented GARCH‐MIDAS approach
by Lu Wang & Feng Ma & Guoshan Liu & Qiaoqi Lang
- 2074-2087 Determinants and hedging effectiveness of China's sovereign credit default swaps
by Taurai Muvunza & Yong Jiang
- 2088-2108 Credit supply, house prices, and financial stability
by Feng Min & Fenghua Wen & Jiayu Xu & Nan Wu
- 2109-2123 Fintech and the economic capital of Chinese commercial bank's risk: Based on theory and evidence
by Ting Yao & Liangrong Song
- 2124-2147 The impact of external governance and regulatory settings on the profitability of Islamic banks: Evidence from Arab markets
by Seyed Alireza Athari & Mahboubeh Bahreini
- 2148-2177 The impact of foreign direct investment on the economic development of emerging countries of the European Union
by Adriana Burlea‐Schiopoiu & Simina Brostescu & Liviu Popescu
- 2178-2187 Do forward premium rates predict the spot rates? Comparison of developed and emerging economies
by Wajid Shakeel Ahmed & Shoaib Khattak & Ijlal Ahmed
- 2188-2201 Time‐frequency dynamics between fear connectedness of stocks and alternative assets
by Muhammad Abubakr Naeem & Mudassar Hasan & Abraham Agyemang & Md Iftekhar Hasan Chowdhury & Faruk Balli
- 2202-2225 Optimal fiscal management in an economy with resource revenue‐financed government‐linked companies
by King Yoong Lim & Shuonan Zhang
January 2023, Volume 28, Issue 1
- 5-8 Celebrating the 27th anniversary of International Journal of Finance and Economics and shaping the future
by Keith Pilbeam & Joscha Beckmann & Ioannis Kyriakou & Jia Liu
- 9-46 International journal of finance and economics: A bibliometric overview
by H. Kent Baker & Satish Kumar & Kirti Goyal & Prashant Gupta
- 47-57 Causal relationship among international crude oil, gold, exchange rate, and stock market: Fresh evidence from NARDL testing approach
by Suresh Kumar & Ankit Kumar & Gurcharan Singh
- 58-78 Is the cost of equity a mere function of leverage? The case of bond IPOs
by Jamal A. Al‐Khasawneh & Paul Dion & Naceur Essaddam & Tashfeen Hussain
- 79-92 Assessment of the effectiveness of foreign aid on the development of Africa
by Jiang Hongli & Prince Asare Vitenu‐Sackey
- 93-111 The effect of integration processes of the Common Market for Eastern and Southern Africa on the economic growth of the member states
by Liu Haiyun & Yassin Elshain Yahia & Md Ismail Hossain & Sayyed Sadaqat Hussain Shah
- 112-126 Emerging market debt and the COVID‐19 pandemic: A time–frequency analysis of spreads and total returns dynamics
by Mariya Gubareva & Zaghum Umar
- 127-143 How do bidirectional migration and multinational business networks affect Japanese international royalty and license revenues?
by Akinori Tomohara
- 144-168 A span of continuous trades and liquidity dynamics in foreign exchange markets
by Chih‐Chung Chien & Shikuan Chen & Ming‐Jen Chang
- 169-176 More pay more gain?—Empirical research on fund management corporation visiting listed company and its fund performance
by Sishi Yue & Dayong Dong & Fengyun Wu & Zuoping Xiao
- 177-186 Investigating the role of ranking household expenditures to reform the subsidies payment system as an economic policy for Iran
by Hamidreza Izadi & Mojtaba Mohammadnejadi Moodi & Morteza Sayareh
- 187-192 Testing to extreme: An application of reverse stress testing engineering on mortgages of commercial banks in China
by Chang Liu & Lin Tang & Dongtao Lin & Jiayi Guo
- 193-207 The profitability of pair trading strategy in stock markets: Evidence from Toronto stock exchange
by GholamReza Keshavarz Haddad & Hassan Talebi
- 208-224 The impact of exchange rate and exchange rate volatility on Mauritius foreign direct investment: A sector‐wise analysis
by Warren Moraghen & Boopen Seetanah & Noor Ul Haq Sookia
- 225-235 A new market risk management approach for commercial banks' fixed‐income securities trading accounts
by Chang Liu & Dongtao Lin & Yifeng Wang & Shuai Qi
- 236-256 Multinational working capital management a study on Toyota Motor Corporation
by Suranjan Bhattacheryay
- 257-283 Banks' holdings of and trading in government bonds
by Michele Manna & Stefano Nobili
- 284-294 The role of corporate governance in attracting foreign investment: An empirical investigation of Saudi‐listed firms in light of vision 2030
by Hend Alregab
- 295-306 Stock exchange volatility forecasting under market stress with MIDAS regression
by Murat Körs & Mehmet Baha Karan
- 307-315 Uncovered equity returns parity in non‐euro Central European EU member countries
by Lucjan Orlowski & Carolyne Soper & Monika Sywak
- 316-354 The mitigating effect of governance quality on the finance‐renewable energy‐growth nexus: Some international evidence
by Diby Francois Kassi & Yao Li & Zhankui Dong
- 355-371 International trade and economic growth: The role of institutional factors and ethnic diversity in sub‐Saharan Africa
by Romaric Gninlgonakan Coulibaly
- 372-391 A credit scoring model for SMEs using AHP and TOPSIS
by Pranith K. Roy & Krishnendu Shaw
- 392-404 Simulation of interactive contagion between depositors' panic and banking risk
by Shuwen Gong & Huiwen Zou
- 405-420 Household choices on investing in financial risky assets: Do national institutional factors have their own merit?
by Nicholas Apergis & Christos Bouras
- 421-429 Can we learn lessons from the past? COVID‐19 crisis and corporate governance responses
by Khalil Jebran & Shihua Chen
- 430-447 Whether rising tide has lifted all the boats? Effect of inter‐governmental transfers on household income inequality in Pakistan
by Qurat ul Ain & Yan Jie & Larisa Ivașcu & Syed Ghulam Meran Shah & Tahir Yousaf
- 448-471 The relationship between excessive lending, risk premium and risk‐taking: Evidence from European banks
by Thaer Alhalabi & Vitor Castro & Justine Wood
- 472-492 Liquidity risk and expected cryptocurrency returns
by Wei Zhang & Yi Li
- 493-509 Inflation, inflation volatility and terrorism in Africa
by Kazeem Bello Ajide & Olorunfemi Yasiru Alimi
- 510-527 Does corporate tax planning mitigate financial constraints? Evidence from China
by Jie Sun & Lewis Makosa & Jinkun Yang & Fangyuan Yin & Lovemore Sitsha
- 528-543 The impact of COVID‐19 on unemployment rate: An intelligent based unemployment rate prediction in selected countries of Europe
by Muneeb Ahmad & Yousaf Ali Khan & Chonghui Jiang & Syed Jawad Haider Kazmi & Syed Zaheer Abbas
- 544-561 Day‐of‐the‐week effect and market liquidity: A comparative study from emerging stock markets of Asia†
by Badal Khan & Muhammad Aqil & Syed Hasnain Alam Kazmi & Syed Imran Zaman
- 562-574 Reconciling the irreconcilable (talfeeq): The case of currency salam
by Muhammad Zahid Siddique & Muhammad Abubakar Siddique
- 575-588 FDI inflows spillover effect implications on the Asian‐Pacific labour productivity
by Elsadig Musa Ahmed & Rahim Kialashaki
- 589-605 Understand funding liquidity and market liquidity in a regime‐switching model
by Louisa Chen & Liya Shen & Zhiping Zhou
- 606-625 Order book price impact in the Chinese soybean futures market
by Muzhao Jin & Fearghal Kearney & Youwei Li & Yung Chiang Yang
- 626-643 Foreign direct investment, real sector growth and financial development
by Michael Effah Asamoah & Imhotep Paul Alagidede
- 644-650 Endogenous discounting, investment and asset pricing
by Yingjie Niu & Siqi Zhao & Zhentao Zou
- 651-667 The crypto‐trade volume, GDP, energy use, and environmental degradation sustainability: An analysis of the top 20 crypto‐trader countries
by Muhammad Mohsin & Sobia Naseem & Muhammad Zia‐ur‐Rehman & Sajjad Ahmad Baig & Shazia Salamat
- 668-680 Investor sentiment and volatility of exchange‐traded funds: Evidence from China
by Chunpeng Yang & Jun Chi
- 681-698 Stochastic dominance algorithms with application to mutual fund performance evaluation
by Sree Vinutha Venkataraman & S. V. D. Nageswara Rao
- 699-717 Financial savings structure—Eurozone and Visegrad Group
by Agnieszka Zawadzka & Małgorzata Grzywińska‐Rąpca
- 718-732 Should stock returns predictability be ‘hooked on’ long‐horizon regressions?
by Theologos Dergiades & Panos K. Pouliasis
- 733-750 The stability and downside risk to contrarian profits: Evidence from the S&P 500
by William Forbes & Egor Kiselev & Len Skerratt
- 751-765 Debt financing and technology investment Kuznets curve: Evidence from China
by Umeair Shahzad & Fukai Luo & Jing Liu
- 766-791 On the nexus of innovation, trade openness, financial development and economic growth in European countries: New perspective from a GMM panel VAR approach
by Kais Mtar & Walid Belazreg
- 792-820 Bank distress in the European Union 2008–2015: A closer look at capital, size and revenue diversification
by Stelios Markoulis & Panagiotis Ioannou & Spiros Martzoukos
- 821-838 What matters for financial inclusions? Evidence from emerging economy
by Anum Khan & Muhammad Shujaat Mubarik & Navaz Naghavi
- 839-857 The effect of Confucian culture on household risky asset holdings: Using categorical principal component analysis
by Yongbo Ge & Xiaoran Kong & Geilegeilao Dadilabang & Kung‐Cheng Ho
- 858-875 Equilibrating ripple effect, disturbing information cascade effect and regional disparity – A perspective from China's tiered housing markets
by Qin Xiao
- 876-885 Factors influencing the ability to honour debt repayment obligations by Governments in Africa
by Anselm K. Abotsi
- 886-901 Bank lending margins in a negative interest rate environment
by Whelsy Boungou & Charles Mawusi
- 902-928 The impact of IFRS complexity on analyst forecast properties: The moderating role of high quality audit
by Muhammad Shahin Miah & Haiyan Jiang & Asheq Rahman & Warwick Stent
- 929-961 The role of shareholders and creditors' rights in affecting cash holdings and firm value: A recent evidence from ASEAN
by Tahir Akhtar & Mohammad Ali Tareq & Kashif Rashid
- 962-980 Has the current account broken up with its fundamentals in Central and Eastern Europe?
by Simeon Coleman & Juan Carlos Cuestas
- 981-995 Bayesian non‐linear quantile effects on modelling realized kernels
by Manh Cuong Dong & Cathy W. S. Chen & Manabu Asai
- 996-1005 A survey on the amount of unnecessary brain and spine magnetic resonance imaging and reasons to affect it in Tehran, Iran
by Sara Akhavan Rezayat & Sara Emam Gholi Pour & Afsaneh AliKhassi & Zohreh Habibi & Batoul Ahmadi
- 1006-1024 Asymmetric effect of macroeconomic variables on the emerging stock indices: A quantile ARDL approach
by Shabir Mohsin Hashmi & Bisharat Hussain Chang
- 1025-1062 Impact of bank regulation on risk of Islamic and conventional banks
by Hafiz Hoque & Heng Liu
- 1063-1080 Sentiment indices and stock returns: Evidence from China
by Yongan Xu & Jianqiong Wang & Zhonglu Chen & Chao Liang
- 1081-1091 Functional income distribution in Pakistan: Co‐integration and vector error correction model analysis
by Abdul Aziz & Javed Ahmed Memon & Aleem Ahmed Qader
- 1092-1115 Board diversity and corporate innovation: Evidence from Chinese listed firms
by Yan‐xi Li & Chao He
- 1116-1136 Economic and demographic determinants of premium reserve in Western Balkan countries during and after the crisis
by Milijana Novovic Buric & Ljiljana Kascelan & Vladimir Kascelan
- 1137-1155 Another look at contagion across United States and European financial markets: Evidence from the credit default swaps markets
by Mike G. Tsionas & Nicholas Apergis
- 1156-1174 The effect of International Monetary Fund programs on corporate default risk
by Thanh Truc Nguyen
October 2022, Volume 27, Issue 4
July 2022, Volume 27, Issue 3