7.0(top 5%)
impact factor
2.4K(top 10%)
papers
53.6K(top 5%)
citations
93(top 5%)
h-index
7.1(top 5%)
impact factor
3.2K
all documents
63.5K
doc citations
145(top 5%)
g-index

Top Articles

#TitleJournalYearCitations
1COVID-19 pandemic, oil prices, stock market, geopolitical risk and policy uncertainty nexus in the US economy: Fresh evidence from the wavelet-based approachInternational Review of Financial Analysis2020901
2Cryptocurrencies as a financial asset: A systematic analysisInternational Review of Financial Analysis2019628
3Dynamic correlation between stock market and oil prices: The case of oil-importing and oil-exporting countriesInternational Review of Financial Analysis2011563
4Bitcoin is not the New Gold – A comparison of volatility, correlation, and portfolio performanceInternational Review of Financial Analysis2018559
5Hedges and safe havens: An examination of stocks, bonds, gold, oil and exchange ratesInternational Review of Financial Analysis2013515
6Is Bitcoin a better safe-haven investment than gold and commodities?International Review of Financial Analysis2019417
7Portfolio diversification with virtual currency: Evidence from bitcoinInternational Review of Financial Analysis2019411
8Searching for safe-haven assets during the COVID-19 pandemicInternational Review of Financial Analysis2020387
9Textual sentiment in finance: A survey of methods and modelsInternational Review of Financial Analysis2014379
10Dynamic connectedness and integration in cryptocurrency marketsInternational Review of Financial Analysis2019373
11Negative bubbles and shocks in cryptocurrency marketsInternational Review of Financial Analysis2016369
12Foreign direct investment and institutional quality: Some empirical evidenceInternational Review of Financial Analysis2012359
13Is Bitcoin a hedge or safe haven for currencies? An intraday analysisInternational Review of Financial Analysis2019332
14Return connectedness across asset classes around the COVID-19 outbreakInternational Review of Financial Analysis2021321
15Financial distress and bankruptcy prediction among listed companies using accounting, market and macroeconomic variablesInternational Review of Financial Analysis2013285
16Volatility connectedness in the cryptocurrency market: Is Bitcoin a dominant cryptocurrency?International Review of Financial Analysis2018283
17Volatility transmission between oil prices and equity sector returnsInternational Review of Financial Analysis2009275
18Global financial crisis and emerging stock market contagion: A multivariate FIAPARCH–DCC approachInternational Review of Financial Analysis2013271
19Corporate governance and risk reporting in South Africa: A study of corporate risk disclosures in the pre- and post-2007/2008 global financial crisis periodsInternational Review of Financial Analysis2013269
20The impact of banking regulations on banks' cost and profit efficiency: Cross-country evidenceInternational Review of Financial Analysis2009256
21Stock prices and geographic proximity of information: Evidence from the Ebola outbreakInternational Review of Financial Analysis2018237
22Retail investor attention and stock price crash risk: Evidence from ChinaInternational Review of Financial Analysis2019232
23The financial economics of gold — A surveyInternational Review of Financial Analysis2015224
24Does gold glitter in the long-run? Gold as a hedge and safe haven across time and investment horizonInternational Review of Financial Analysis2015217
25Female directors and earnings management: Evidence from UK companiesInternational Review of Financial Analysis2015209
26Can banks individually create money out of nothing? — The theories and the empirical evidenceInternational Review of Financial Analysis2014206
27Crude oil market and stock markets during the COVID-19 pandemic: Evidence from the US, Japan, and GermanyInternational Review of Financial Analysis2021204
28International Financial Reporting Standards and the quality of financial statement informationInternational Review of Financial Analysis2010199
29Is earnings management opportunistic or beneficial? An agency theory perspectiveInternational Review of Financial Analysis2008195
30Predicting stock returns in the presence of COVID-19 pandemic: The role of health newsInternational Review of Financial Analysis2020195
31Equity market integration in Central European emerging markets: A cointegration analysis with shifting regimesInternational Review of Financial Analysis2004188
32Does global economic uncertainty matter for the volatility and hedging effectiveness of Bitcoin?International Review of Financial Analysis2019187
33Intra- and inter-regional return and volatility spillovers across emerging and developed markets: Evidence from stock indices and stock index futuresInternational Review of Financial Analysis2016186
34Analysis of efficiency for Shenzhen stock market based on multifractal detrended fluctuation analysisInternational Review of Financial Analysis2009185
35Digitalization, competition strategy and corporate innovation: Evidence from Chinese manufacturing listed companiesInternational Review of Financial Analysis2022185
36Aggregated, voluntary, and mandatory risk disclosure incentives: Evidence from UK FTSE all-share companiesInternational Review of Financial Analysis2013184
37Dynamic spillovers between commodity and currency marketsInternational Review of Financial Analysis2015184
38Financial crisis and stock market efficiency: Empirical evidence from Asian countriesInternational Review of Financial Analysis2008181
39What do we know about oil prices and stock returns?International Review of Financial Analysis2018181
40Bank governance, regulation, supervision, and risk reporting: Evidence from operational risk disclosures in European banksInternational Review of Financial Analysis2013180
41Global financial crisis and rising connectedness in the international commodity marketsInternational Review of Financial Analysis2020179
42Stock return forecasting: Some new evidenceInternational Review of Financial Analysis2015178
43International equity market integration: Theory, evidence and implicationsInternational Review of Financial Analysis2004176
44The role of bitcoin in well diversified portfolios: A comparative global studyInternational Review of Financial Analysis2019176
45Google searches and stock returnsInternational Review of Financial Analysis2016174
46Ownership concentration and corporate performance from a dynamic perspective: Does national governance quality matter?International Review of Financial Analysis2015167
47To what extent do financing constraints affect Chinese firms' innovation activities?International Review of Financial Analysis2014165
48A lost century in economics: Three theories of banking and the conclusive evidenceInternational Review of Financial Analysis2016165
49Causality and cointegration of stock markets among the United States, Japan and the South China Growth TriangleInternational Review of Financial Analysis2000164
50ESG disclosure and financial performance: Moderating role of ESG investorsInternational Review of Financial Analysis2022164