3.9(top 10%)
2-year impact
4.2(top 5%)
3-year impact
3.7(top 10%)
5-year impact
3.2(top 10%)
10-year impact
2.1K(top 10%)
papers
28.2K(top 10%)
citations
66(top 10%)
h-index
3.9(top 10%)
extended IF
2.4K
all documents
29.4K
doc citations
94(top 10%)
g-index

Top Articles

#TitleJournalYearCitations
1Regionalism in the nineties: what effect on trade?North American Journal of Economics and Finance2001350
2Predicting the direction of stock market prices using tree-based classifiersNorth American Journal of Economics and Finance2019235
3Fragmentation in simple trade modelsNorth American Journal of Economics and Finance2001222
4Oil price shocks, geopolitical risks, and green bond market dynamicsNorth American Journal of Economics and Finance2021220
5Globalization and the open economyNorth American Journal of Economics and Finance1997208
6Production fragmentation and trade integration: East Asia in a global contextNorth American Journal of Economics and Finance2006195
7Leverage and firm performance: New evidence on the role of firm sizeNorth American Journal of Economics and Finance2018182
8Gold as an inflation hedge in a time-varying coefficient frameworkNorth American Journal of Economics and Finance2013177
9Fragmentation and vertical intra-industry trade in East AsiaNorth American Journal of Economics and Finance2006167
10Conditional correlations and volatility spillovers between crude oil and stock index returnsNorth American Journal of Economics and Finance2013167
11Do the emerging stock markets react to international economic policy uncertainty, geopolitical risk and financial stress alike?North American Journal of Economics and Finance2019166
12Islamic equity market integration and volatility spillover between emerging and US stock marketsNorth American Journal of Economics and Finance2014148
13Network connectedness and net spillover between financial and commodity marketsNorth American Journal of Economics and Finance2019143
14Fragmentation and parts and components trade: Comparison between East Asia and EuropeNorth American Journal of Economics and Finance2007134
15Is corruption bad for economic growth? Evidence from Asia-Pacific countriesNorth American Journal of Economics and Finance2016123
16Factors influencing bank risk in Europe: Evidence from the financial crisisNorth American Journal of Economics and Finance2015118
17Short-run and long-run industry-level estimates of U.S. Armington elasticitiesNorth American Journal of Economics and Finance2003116
18Forecasting stock index price using the CEEMDAN-LSTM modelNorth American Journal of Economics and Finance2021113
19Non-interest income, profitability, and risk in banking industry: A cross-country analysisNorth American Journal of Economics and Finance2014110
20Causality and volatility spillovers among petroleum prices of WTI, gasoline and heating oil in different locationsNorth American Journal of Economics and Finance2003104
21Bank interest margins in OECD countriesNorth American Journal of Economics and Finance2008103
22Are regional trading agreements beneficial?North American Journal of Economics and Finance200999
23The relationship between oil prices, the stock market and the exchange rate: Evidence from MexicoNorth American Journal of Economics and Finance201899
24Can uncertainty indices predict Bitcoin prices? A revisited analysis using partial and multivariate wavelet approachesNorth American Journal of Economics and Finance201999
25Investor trading behavior, investor sentiment and asset pricesNorth American Journal of Economics and Finance201598
26Estimating equilibrium real interest rates in real timeNorth American Journal of Economics and Finance200596
27International fragmentation and the new economic geographyNorth American Journal of Economics and Finance200595
28Housing wealth, financial wealth, money demand and policy rule: Evidence from the euro areaNorth American Journal of Economics and Finance201090
29Herding behavior, market sentiment and volatility: Will the bubble resume?North American Journal of Economics and Finance201789
30The causality direction of the corporate social responsibility – Corporate financial performance Nexus: Application of Panel Vector Autoregression approachNorth American Journal of Economics and Finance201989
31How does news sentiment impact asset volatility? Evidence from long memory and regime-switching approachesNorth American Journal of Economics and Finance201388
32Downside risk management and VaR-based optimal portfolios for precious metals, oil and stocksNorth American Journal of Economics and Finance201386
33High-frequency asymmetric volatility connectedness between Bitcoin and major precious metals marketsNorth American Journal of Economics and Finance201986
34“Small things matter most”: The spillover effects in the cryptocurrency market and gold as a silver bulletNorth American Journal of Economics and Finance202086
35Can crude oil drive the co-movement in the international stock market? Evidence from partial wavelet coherence analysisNorth American Journal of Economics and Finance202086
36Why cryptocurrency markets are inefficient: The impact of liquidity and volatilityNorth American Journal of Economics and Finance202086
37Understanding stock market volatility: What is the role of U.S. uncertainty?North American Journal of Economics and Finance201985
38Connectedness and systemic risk spillovers analysis of Chinese sectors based on tail risk networkNorth American Journal of Economics and Finance202085
39What drives herding in oil-rich, developing stock markets? Relative roles of own volatility and global factorsNorth American Journal of Economics and Finance201484
40Asymmetric volatility spillovers between international economic policy uncertainty and the U.S. stock marketNorth American Journal of Economics and Finance202084
41Measuring extreme risk spillovers across international stock markets: A quantile variance decomposition analysisNorth American Journal of Economics and Finance202084
42Risk spillover and network connectedness analysis of China’s green bond and financial markets: Evidence from financial events of 2015–2020North American Journal of Economics and Finance202184
43Do financial constraints matter when firms engage in CSR?North American Journal of Economics and Finance201783
44International outsourcing and productivity: evidence from the Irish electronics industryNorth American Journal of Economics and Finance200581
45Impact of COVID-19 pandemic on stock markets: Conventional vs. Islamic indices using wavelet-based multi-timescales analysisNorth American Journal of Economics and Finance202180
46Temporal causality between house prices and output in the US: A bootstrap rolling-window approachNorth American Journal of Economics and Finance201579
47The impact of China’s one belt one road initiative on international trade in the ASEAN regionNorth American Journal of Economics and Finance202079
48Understanding the flattening Phillips curveNorth American Journal of Economics and Finance201077
49On economic uncertainty, stock market predictability and nonlinear spillover effectsNorth American Journal of Economics and Finance201677
50Risk spillovers and portfolio management between developed and BRICS stock marketsNorth American Journal of Economics and Finance201776