3.0(top 10%)
2-year impact
3.0(top 10%)
3-year impact
3.0(top 10%)
5-year impact
3.4(top 10%)
10-year impact
3.3K(top 10%)
papers
119.1K(top 5%)
citations
150(top 2%)
h-index
3.1(top 10%)
extended IF
3.7K
all documents
121.9K
doc citations
235(top 2%)
g-index

Top Articles

#TitleJournalYearCitations
1Unit root tests for panel dataJournal of International Money and Finance20012,861
2Is the correlation in international equity returns constant: 1960–1990?Journal of International Money and Finance19951,412
3Home bias and high turnoverJournal of International Money and Finance1995906
4Foreign currency option valuesJournal of International Money and Finance1983773
5The use of technical analysis in the foreign exchange marketJournal of International Money and Finance1992769
6Dynamic correlation analysis of financial contagion: Evidence from Asian marketsJournal of International Money and Finance2007671
7Exchange rate exposure, hedging, and the use of foreign currency derivativesJournal of International Money and Finance2001664
8‘Some contagion, some interdependence’: More pitfalls in tests of financial contagionJournal of International Money and Finance2005582
9The Copula-GARCH model of conditional dependencies: An international stock market applicationJournal of International Money and Finance2006577
10The determinants of financing obstaclesJournal of International Money and Finance2006577
11Asymmetric volatility transmission in international stock marketsJournal of International Money and Finance1995548
12Volatility spillovers between oil prices and stock sector returns: Implications for portfolio managementJournal of International Money and Finance2011532
13Volatility spillover effects from Japan and the US to the Pacific–BasinJournal of International Money and Finance2000527
14Contagion and tradeJournal of International Money and Finance1999519
15Empirical exchange rate models of the nineties: Are any fit to survive?Journal of International Money and Finance2005503
16Exchange rate exposure and industry characteristics: evidence from Canada, Japan, and the USAJournal of International Money and Finance1993501
17A geographical model for the daily and weekly seasonal volatility in the foreign exchange marketJournal of International Money and Finance1993471
18Self-fulfilling crises in the Eurozone: An empirical testJournal of International Money and Finance2013451
19Towards a new early warning system of financial crisesJournal of International Money and Finance2006422
20Cointegration: how short is the long run?Journal of International Money and Finance1991420
21Oil prices and the rise and fall of the US real exchange rateJournal of International Money and Finance1998417
22Speculators, commodities and cross-market linkagesJournal of International Money and Finance2014416
23The determinants of bank interest rate margins: an international studyJournal of International Money and Finance2000408
24The pricing of sovereign risk and contagion during the European sovereign debt crisisJournal of International Money and Finance2013404
25International financial integration and economic growthJournal of International Money and Finance2002395
26Capital flows to emerging market economies: A brave new world?Journal of International Money and Finance2014375
27Currency traders and exchange rate dynamics: a survey of the US marketJournal of International Money and Finance2001368
28The significance of technical trading-rule profits in the foreign exchange market: a bootstrap approachJournal of International Money and Finance1993360
29Anomalies or illusions? Evidence from stock markets in eighteen countriesJournal of International Money and Finance1994358
30Nonlinear adjustment, long-run equilibrium and exchange rate fundamentalsJournal of International Money and Finance2000356
31Stock returns and volatility in emerging financial marketsJournal of International Money and Finance1997337
32Inflation thresholds and the finance–growth nexusJournal of International Money and Finance2002336
33Predicting currency crises:Journal of International Money and Finance1999334
34Transmission of the U.S. subprime crisis to emerging markets: Evidence on the decoupling–recoupling hypothesisJournal of International Money and Finance2009322
35Cross-country comparisons of competition and pricing power in European bankingJournal of International Money and Finance2009320
36Market efficiency and cointegration: an application to the sterling and deutschemark exchange marketsJournal of International Money and Finance1989313
37Central bank intervention and exchange rate volatilityJournal of International Money and Finance1998313
38Macro-prudential policies to mitigate financial system vulnerabilitiesJournal of International Money and Finance2013313
39The structure of interdependence in international stock marketsJournal of International Money and Finance2003308
40Debt and growth: New evidence for the euro areaJournal of International Money and Finance2013302
41Growth volatility and financial liberalizationJournal of International Money and Finance2006301
42Do capital controls and macroeconomic policies influence the volume and composition of capital flows? Evidence from the 1990sJournal of International Money and Finance1999300
43The impact of bank capital on profitability and risk in Asian bankingJournal of International Money and Finance2013300
44Stock prices and exchange rate dynamicsJournal of International Money and Finance2005290
45Hourly volatility spillovers between international equity marketsJournal of International Money and Finance1994288
46Current account balances, financial development and institutions: Assaying the world “saving glut”Journal of International Money and Finance2007288
47Exchange rate pass-through to domestic prices: Does the inflationary environment matter?Journal of International Money and Finance2006284
48Sovereign credit ratings and financial markets linkages: Application to European dataJournal of International Money and Finance2012278
49What triggers market jitters?Journal of International Money and Finance1999275
50Privatization, political risk and stock market development in emerging economiesJournal of International Money and Finance2001274