International Review Of Financial Analysis

International Review Of Financial Analysis

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高引用文章

文章名称 引用次数
Cryptocurrencies as a financial asset: A systematic analysis 97
Bitcoin is not the New Gold - A comparison of volatility, correlation, and portfolio performance 73
Portfolio diversification with virtual currency: Evidence from bitcoin 61
Is Bitcoin a better safe-haven investment than gold and commodities? 55
Dynamic connectedness and integration in cryptocurrency markets 45
Is Bitcoin a hedge or safe haven for currencies? An intraday analysis 41
Does global economic uncertainty matter for the volatility and hedging effectiveness of Bitcoin? 37
Volatility connectedness in the cryptocurrency market: Is Bitcoin a dominant cryptocurrency? 36
Retail investor attention and stock price crash risk: Evidence from China 33
What do we know about oil prices and stock returns? 29
Dynamic network of implied volatility transmission among US equities, strategic commodities, and BRICS equities 27
The role of bitcoin in well diversified portfolios: A comparative global study 24
The effects of markets, uncertainty and search intensity on bitcoin returns 18
Stock prices and geographic proximity of information: Evidence from the Ebola outbreak 18
Audit committee financial expertise, gender, and earnings management: Does gender of the financial expert matter? 17
The effects of uncertainty measures on the price of gold 16
Does institutional quality condition the effect of bank regulations and supervision on bank stability? Evidence from emerging and developing economies 13
Economic constraints and stock return predictability: A new approach 12
Innovation and SME finance: Evidence from developing countries 12
Is US economic policy uncertainty priced in China's A-shares market? Evidence from market, industry, and individual stocks 12
Age diversity, directors' personal values, and bank performance 10
The adaptive market hypothesis in the high frequency cryptocurrency market 10
Unconventional monetary policy effects on output and inflation: A meta-analysis 9
Cash holdings and earnings quality: evidence from the Main and Alternative UK markets 9
Pre-merger management in developing markets: The role of earnings glamor 9
Dependence structure between the BRICS foreign exchange and stock markets using the dependence-switching copula approach 8
The influence of terrorism risk on stock market integration: Evidence from eight OECD countries 8
The drivers of Bitcoin demand: A short and long-run analysis 8
Time varying volatility indices and their determinants: Evidence from developed and emerging stock markets 8
The causes and consequences of household financial strain: A systematic review 8
The changing network of financial market linkages: The Asian experience 8
Why are older investors less willing to take financial risks? 8
Bank dividends, agency costs and shareholder and creditor rights 7
Modelling time varying volatility spillovers and conditional correlations across commodity metal futures 7
Can government intervention be both a curse and a blessing? Evidence from China's finance sector 7
The contagion effect in European sovereign debt markets: A regime-switching vine copula approach 7
On the study of conditional dependence structure between oil, gold and USD exchange rates 7
Determinants of dependence structures of sovereign credit default swap spreads between G7 and BRICS countries 7
Financial stability, competitiveness and banks' innovation capacity: Evidence from the Global Financial Crisis 6
Future directions in international financial integration research - A crowdsourced perspective 6
Examination of real and accrual earnings management: A cross-country analysis of legal origin under IFRS 6
International monetary policy spillovers: Evidence from a time-varying parameter vector autoregression 6
Entrenchment through corporate social responsibility: Evidence from CEO network centrality 6
Market sentiment and firm investment decision-making 6
Is gold a Sometime Safe Haven or an Always Hedge for equity investors? A Markov-Switching CAPM approach for US and UK stock indices 6
Gender diversity on the board of directors and corporate risk: A behavioural agency theory perspective 6
Social capital and trade credit 6
Business cycle synchronisation and currency unions: A review of the econometric evidence using meta-analysis 6
Managerial ability and corporate investment opportunity 6
When does the tone of earnings press releases matter? 6