# | Title | Journal | Year | Citations |
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1 | COVID-19 pandemic, oil prices, stock market, geopolitical risk and policy uncertainty nexus in the US economy: Fresh evidence from the wavelet-based approach | International Review of Financial Analysis | 2020 | 901 |
2 | Cryptocurrencies as a financial asset: A systematic analysis | International Review of Financial Analysis | 2019 | 628 |
3 | Dynamic correlation between stock market and oil prices: The case of oil-importing and oil-exporting countries | International Review of Financial Analysis | 2011 | 563 |
4 | Bitcoin is not the New Gold – A comparison of volatility, correlation, and portfolio performance | International Review of Financial Analysis | 2018 | 559 |
5 | Hedges and safe havens: An examination of stocks, bonds, gold, oil and exchange rates | International Review of Financial Analysis | 2013 | 515 |
6 | Is Bitcoin a better safe-haven investment than gold and commodities? | International Review of Financial Analysis | 2019 | 417 |
7 | Portfolio diversification with virtual currency: Evidence from bitcoin | International Review of Financial Analysis | 2019 | 411 |
8 | Searching for safe-haven assets during the COVID-19 pandemic | International Review of Financial Analysis | 2020 | 387 |
9 | Textual sentiment in finance: A survey of methods and models | International Review of Financial Analysis | 2014 | 379 |
10 | Dynamic connectedness and integration in cryptocurrency markets | International Review of Financial Analysis | 2019 | 373 |
11 | Negative bubbles and shocks in cryptocurrency markets | International Review of Financial Analysis | 2016 | 369 |
12 | Foreign direct investment and institutional quality: Some empirical evidence | International Review of Financial Analysis | 2012 | 359 |
13 | Is Bitcoin a hedge or safe haven for currencies? An intraday analysis | International Review of Financial Analysis | 2019 | 332 |
14 | Return connectedness across asset classes around the COVID-19 outbreak | International Review of Financial Analysis | 2021 | 321 |
15 | Financial distress and bankruptcy prediction among listed companies using accounting, market and macroeconomic variables | International Review of Financial Analysis | 2013 | 285 |
16 | Volatility connectedness in the cryptocurrency market: Is Bitcoin a dominant cryptocurrency? | International Review of Financial Analysis | 2018 | 283 |
17 | Volatility transmission between oil prices and equity sector returns | International Review of Financial Analysis | 2009 | 275 |
18 | Global financial crisis and emerging stock market contagion: A multivariate FIAPARCH–DCC approach | International Review of Financial Analysis | 2013 | 271 |
19 | Corporate governance and risk reporting in South Africa: A study of corporate risk disclosures in the pre- and post-2007/2008 global financial crisis periods | International Review of Financial Analysis | 2013 | 269 |
20 | The impact of banking regulations on banks' cost and profit efficiency: Cross-country evidence | International Review of Financial Analysis | 2009 | 256 |
21 | Stock prices and geographic proximity of information: Evidence from the Ebola outbreak | International Review of Financial Analysis | 2018 | 237 |
22 | Retail investor attention and stock price crash risk: Evidence from China | International Review of Financial Analysis | 2019 | 232 |
23 | The financial economics of gold — A survey | International Review of Financial Analysis | 2015 | 224 |
24 | Does gold glitter in the long-run? Gold as a hedge and safe haven across time and investment horizon | International Review of Financial Analysis | 2015 | 217 |
25 | Female directors and earnings management: Evidence from UK companies | International Review of Financial Analysis | 2015 | 209 |
26 | Can banks individually create money out of nothing? — The theories and the empirical evidence | International Review of Financial Analysis | 2014 | 206 |
27 | Crude oil market and stock markets during the COVID-19 pandemic: Evidence from the US, Japan, and Germany | International Review of Financial Analysis | 2021 | 204 |
28 | International Financial Reporting Standards and the quality of financial statement information | International Review of Financial Analysis | 2010 | 199 |
29 | Is earnings management opportunistic or beneficial? An agency theory perspective | International Review of Financial Analysis | 2008 | 195 |
30 | Predicting stock returns in the presence of COVID-19 pandemic: The role of health news | International Review of Financial Analysis | 2020 | 195 |
31 | Equity market integration in Central European emerging markets: A cointegration analysis with shifting regimes | International Review of Financial Analysis | 2004 | 188 |
32 | Does global economic uncertainty matter for the volatility and hedging effectiveness of Bitcoin? | International Review of Financial Analysis | 2019 | 187 |
33 | Intra- and inter-regional return and volatility spillovers across emerging and developed markets: Evidence from stock indices and stock index futures | International Review of Financial Analysis | 2016 | 186 |
34 | Analysis of efficiency for Shenzhen stock market based on multifractal detrended fluctuation analysis | International Review of Financial Analysis | 2009 | 185 |
35 | Digitalization, competition strategy and corporate innovation: Evidence from Chinese manufacturing listed companies | International Review of Financial Analysis | 2022 | 185 |
36 | Aggregated, voluntary, and mandatory risk disclosure incentives: Evidence from UK FTSE all-share companies | International Review of Financial Analysis | 2013 | 184 |
37 | Dynamic spillovers between commodity and currency markets | International Review of Financial Analysis | 2015 | 184 |
38 | Financial crisis and stock market efficiency: Empirical evidence from Asian countries | International Review of Financial Analysis | 2008 | 181 |
39 | What do we know about oil prices and stock returns? | International Review of Financial Analysis | 2018 | 181 |
40 | Bank governance, regulation, supervision, and risk reporting: Evidence from operational risk disclosures in European banks | International Review of Financial Analysis | 2013 | 180 |
41 | Global financial crisis and rising connectedness in the international commodity markets | International Review of Financial Analysis | 2020 | 179 |
42 | Stock return forecasting: Some new evidence | International Review of Financial Analysis | 2015 | 178 |
43 | International equity market integration: Theory, evidence and implications | International Review of Financial Analysis | 2004 | 176 |
44 | The role of bitcoin in well diversified portfolios: A comparative global study | International Review of Financial Analysis | 2019 | 176 |
45 | Google searches and stock returns | International Review of Financial Analysis | 2016 | 174 |
46 | Ownership concentration and corporate performance from a dynamic perspective: Does national governance quality matter? | International Review of Financial Analysis | 2015 | 167 |
47 | To what extent do financing constraints affect Chinese firms' innovation activities? | International Review of Financial Analysis | 2014 | 165 |
48 | A lost century in economics: Three theories of banking and the conclusive evidence | International Review of Financial Analysis | 2016 | 165 |
49 | Causality and cointegration of stock markets among the United States, Japan and the South China Growth Triangle | International Review of Financial Analysis | 2000 | 164 |
50 | ESG disclosure and financial performance: Moderating role of ESG investors | International Review of Financial Analysis | 2022 | 164 |