3.9(top 10%)
impact factor
3.4K(top 10%)
papers
42.3K(top 10%)
citations
77(top 10%)
h-index
4.0(top 10%)
extended IF
3.7K
all documents
49.7K
doc citations
112(top 10%)
g-index

Top Articles

#TitleJournalYearCitations
1Shock and volatility transmission in the oil, US and Gulf equity marketsInternational Review of Economics and Finance2007301
2Bilateral donors' aid allocation decisions—a three-dimensional panel analysisInternational Review of Economics and Finance2004296
3Dynamic correlation analysis of financial contagion: Evidence from the Central and Eastern European marketsInternational Review of Economics and Finance2011291
4Effects of financial developments and income on energy consumptionInternational Review of Economics and Finance2015280
5Investor herding behaviour of Chinese stock marketInternational Review of Economics and Finance2014235
6The foreign direct investment–economic growth nexusInternational Review of Economics and Finance2016234
7Volatility transmission between gold and oil futures under structural breaksInternational Review of Economics and Finance2013227
8Wavelet-based evidence of the impact of oil prices on stock returnsInternational Review of Economics and Finance2014218
9Revisiting oil-stock nexus during COVID-19 pandemic: Some preliminary resultsInternational Review of Economics and Finance2020217
10The determinants of capital structure in transitional economiesInternational Review of Economics and Finance2007216
11A vector error correction model of the Singapore stock marketInternational Review of Economics and Finance2000212
12Dynamic optimization. The calculus of variations and optimal control in economics and managementInternational Review of Economics and Finance1994201
13Dynamic linkages between exchange rates and stock prices: Evidence from East Asian marketsInternational Review of Economics and Finance2007199
14Does boardroom gender diversity matter? Evidence from a transitional economyInternational Review of Economics and Finance2015197
15Do exchange rate changes improve the trade balance: An asymmetric nonlinear cointegration approachInternational Review of Economics and Finance2017196
16Financial development, real sector, and economic growthInternational Review of Economics and Finance2015184
17Two-dimensional fragmentation in East Asia: Conceptual framework and empiricsInternational Review of Economics and Finance2005172
18The comovement between exchange rates and stock prices in the Asian emerging marketsInternational Review of Economics and Finance2012172
19Who is financing corporate green innovation?International Review of Economics and Finance2022172
20Relationships among U.S. oil prices and oil industry equity indicesInternational Review of Economics and Finance2004169
21How does economic policy uncertainty affect corporate Innovation?–Evidence from China listed companiesInternational Review of Economics and Finance2020168
22Does institutional ownership influence firm performance? Evidence from ChinaInternational Review of Economics and Finance2017167
23Precious metals–exchange rate volatility transmissions and hedging strategiesInternational Review of Economics and Finance2010163
24What does evidence tell us about fragmentation and outsourcing?International Review of Economics and Finance2005160
25Modelling dynamic dependence between crude oil prices and Asia-Pacific stock market returnsInternational Review of Economics and Finance2014158
26Global financial crisis and spillover effects among the U.S. and BRICS stock marketsInternational Review of Economics and Finance2016157
27Does fintech innovation improve bank efficiency? Evidence from China’s banking industryInternational Review of Economics and Finance2021157
28Does the crude oil price influence the exchange rates of oil-importing and oil-exporting countries differently ? A wavelet coherence analysisInternational Review of Economics and Finance2017156
29Predicting failure in the U.S. banking sector: An extreme gradient boosting approachInternational Review of Economics and Finance2019155
30Board structure, ownership, and financial distress in banking firmsInternational Review of Economics and Finance1999153
31Mean-semivariance behavior: Downside risk and capital asset pricingInternational Review of Economics and Finance2007152
32Markets contagion during financial crisis: A regime-switching approachInternational Review of Economics and Finance2011152
33A comparison of variance ratio tests of random walk: A case of Asian emerging stock marketsInternational Review of Economics and Finance2007151
34The impact of clean energy consumption on economic growth in China: Is environmental regulation a curse or a blessing?International Review of Economics and Finance2022150
35The impact of oil price shocks on the large emerging countries' stock prices: Evidence from China, India and RussiaInternational Review of Economics and Finance2014149
36Pandemic-related financial market volatility spillovers: Evidence from the Chinese COVID-19 epicentreInternational Review of Economics and Finance2021146
37Do financial stress and policy uncertainty have an impact on the energy and metals markets? A quantile regression approachInternational Review of Economics and Finance2016142
38Adjusting for risk:International Review of Economics and Finance2000137
39Growth and productivity: The role of government debtInternational Review of Economics and Finance2013136
40Nonlinear analysis among crude oil prices, stock markets' return and macroeconomic variablesInternational Review of Economics and Finance2013133
41Human Capital efficiency and equity funds’ performance during the COVID-19 pandemicInternational Review of Economics and Finance2021131
42Event study on the reaction of the developed and emerging stock markets to the 2019-nCoV outbreakInternational Review of Economics and Finance2021127
43Terrorism and capital markets: The effects of the Madrid and London bomb attacksInternational Review of Economics and Finance2011126
44Bond risk premia, macroeconomic fundamentals and the exchange rateInternational Review of Economics and Finance2012126
45Spillover effects of the U.S. financial crisis on financial markets in emerging Asian countriesInternational Review of Economics and Finance2015125
46Analyzing time–frequency co-movements across gold and oil prices with BRICS stock markets: A VaR based on wavelet approachInternational Review of Economics and Finance2018125
47Financial development, inequality, and poverty: Some international evidenceInternational Review of Economics and Finance2019123
48Family firms and earnings management in Taiwan: Influence of corporate governanceInternational Review of Economics and Finance2015118
49Does digital finance promote manufacturing servitization: Micro evidence from ChinaInternational Review of Economics and Finance2021117
50Modeling the effect of macroeconomic factors on corporate default and credit rating transitionsInternational Review of Economics and Finance2012116