# | Title | Journal | Year | Citations |
---|
1 | Shock and volatility transmission in the oil, US and Gulf equity markets | International Review of Economics and Finance | 2007 | 301 |
2 | Bilateral donors' aid allocation decisions—a three-dimensional panel analysis | International Review of Economics and Finance | 2004 | 296 |
3 | Dynamic correlation analysis of financial contagion: Evidence from the Central and Eastern European markets | International Review of Economics and Finance | 2011 | 291 |
4 | Effects of financial developments and income on energy consumption | International Review of Economics and Finance | 2015 | 280 |
5 | Investor herding behaviour of Chinese stock market | International Review of Economics and Finance | 2014 | 235 |
6 | The foreign direct investment–economic growth nexus | International Review of Economics and Finance | 2016 | 234 |
7 | Volatility transmission between gold and oil futures under structural breaks | International Review of Economics and Finance | 2013 | 227 |
8 | Wavelet-based evidence of the impact of oil prices on stock returns | International Review of Economics and Finance | 2014 | 218 |
9 | Revisiting oil-stock nexus during COVID-19 pandemic: Some preliminary results | International Review of Economics and Finance | 2020 | 217 |
10 | The determinants of capital structure in transitional economies | International Review of Economics and Finance | 2007 | 216 |
11 | A vector error correction model of the Singapore stock market | International Review of Economics and Finance | 2000 | 212 |
12 | Dynamic optimization. The calculus of variations and optimal control in economics and management | International Review of Economics and Finance | 1994 | 201 |
13 | Dynamic linkages between exchange rates and stock prices: Evidence from East Asian markets | International Review of Economics and Finance | 2007 | 199 |
14 | Does boardroom gender diversity matter? Evidence from a transitional economy | International Review of Economics and Finance | 2015 | 197 |
15 | Do exchange rate changes improve the trade balance: An asymmetric nonlinear cointegration approach | International Review of Economics and Finance | 2017 | 196 |
16 | Financial development, real sector, and economic growth | International Review of Economics and Finance | 2015 | 184 |
17 | Two-dimensional fragmentation in East Asia: Conceptual framework and empirics | International Review of Economics and Finance | 2005 | 172 |
18 | The comovement between exchange rates and stock prices in the Asian emerging markets | International Review of Economics and Finance | 2012 | 172 |
19 | Who is financing corporate green innovation? | International Review of Economics and Finance | 2022 | 172 |
20 | Relationships among U.S. oil prices and oil industry equity indices | International Review of Economics and Finance | 2004 | 169 |
21 | How does economic policy uncertainty affect corporate Innovation?–Evidence from China listed companies | International Review of Economics and Finance | 2020 | 168 |
22 | Does institutional ownership influence firm performance? Evidence from China | International Review of Economics and Finance | 2017 | 167 |
23 | Precious metals–exchange rate volatility transmissions and hedging strategies | International Review of Economics and Finance | 2010 | 163 |
24 | What does evidence tell us about fragmentation and outsourcing? | International Review of Economics and Finance | 2005 | 160 |
25 | Modelling dynamic dependence between crude oil prices and Asia-Pacific stock market returns | International Review of Economics and Finance | 2014 | 158 |
26 | Global financial crisis and spillover effects among the U.S. and BRICS stock markets | International Review of Economics and Finance | 2016 | 157 |
27 | Does fintech innovation improve bank efficiency? Evidence from China’s banking industry | International Review of Economics and Finance | 2021 | 157 |
28 | Does the crude oil price influence the exchange rates of oil-importing and oil-exporting countries differently ? A wavelet coherence analysis | International Review of Economics and Finance | 2017 | 156 |
29 | Predicting failure in the U.S. banking sector: An extreme gradient boosting approach | International Review of Economics and Finance | 2019 | 155 |
30 | Board structure, ownership, and financial distress in banking firms | International Review of Economics and Finance | 1999 | 153 |
31 | Mean-semivariance behavior: Downside risk and capital asset pricing | International Review of Economics and Finance | 2007 | 152 |
32 | Markets contagion during financial crisis: A regime-switching approach | International Review of Economics and Finance | 2011 | 152 |
33 | A comparison of variance ratio tests of random walk: A case of Asian emerging stock markets | International Review of Economics and Finance | 2007 | 151 |
34 | The impact of clean energy consumption on economic growth in China: Is environmental regulation a curse or a blessing? | International Review of Economics and Finance | 2022 | 150 |
35 | The impact of oil price shocks on the large emerging countries' stock prices: Evidence from China, India and Russia | International Review of Economics and Finance | 2014 | 149 |
36 | Pandemic-related financial market volatility spillovers: Evidence from the Chinese COVID-19 epicentre | International Review of Economics and Finance | 2021 | 146 |
37 | Do financial stress and policy uncertainty have an impact on the energy and metals markets? A quantile regression approach | International Review of Economics and Finance | 2016 | 142 |
38 | Adjusting for risk: | International Review of Economics and Finance | 2000 | 137 |
39 | Growth and productivity: The role of government debt | International Review of Economics and Finance | 2013 | 136 |
40 | Nonlinear analysis among crude oil prices, stock markets' return and macroeconomic variables | International Review of Economics and Finance | 2013 | 133 |
41 | Human Capital efficiency and equity funds’ performance during the COVID-19 pandemic | International Review of Economics and Finance | 2021 | 131 |
42 | Event study on the reaction of the developed and emerging stock markets to the 2019-nCoV outbreak | International Review of Economics and Finance | 2021 | 127 |
43 | Terrorism and capital markets: The effects of the Madrid and London bomb attacks | International Review of Economics and Finance | 2011 | 126 |
44 | Bond risk premia, macroeconomic fundamentals and the exchange rate | International Review of Economics and Finance | 2012 | 126 |
45 | Spillover effects of the U.S. financial crisis on financial markets in emerging Asian countries | International Review of Economics and Finance | 2015 | 125 |
46 | Analyzing time–frequency co-movements across gold and oil prices with BRICS stock markets: A VaR based on wavelet approach | International Review of Economics and Finance | 2018 | 125 |
47 | Financial development, inequality, and poverty: Some international evidence | International Review of Economics and Finance | 2019 | 123 |
48 | Family firms and earnings management in Taiwan: Influence of corporate governance | International Review of Economics and Finance | 2015 | 118 |
49 | Does digital finance promote manufacturing servitization: Micro evidence from China | International Review of Economics and Finance | 2021 | 117 |
50 | Modeling the effect of macroeconomic factors on corporate default and credit rating transitions | International Review of Economics and Finance | 2012 | 116 |