| 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 |