# | Title | Journal | Year | Citations |
---|
1 | Stock markets’ reaction to COVID-19: Cases or fatalities? | Research in International Business and Finance | 2020 | 745 |
2 | Factors influencing the profitability of domestic and foreign commercial banks in the European Union | Research in International Business and Finance | 2007 | 562 |
3 | Are cryptocurrencies a safe haven for equity markets? An international perspective from the COVID-19 pandemic | Research in International Business and Finance | 2020 | 354 |
4 | Financial inclusion and economic growth in OIC countries | Research in International Business and Finance | 2018 | 322 |
5 | A power GARCH examination of the gold market | Research in International Business and Finance | 2007 | 292 |
6 | Stock markets, banks, and economic growth: Empirical evidence from the MENA region | Research in International Business and Finance | 2007 | 250 |
7 | The impact of working capital management on firm profitability in different business cycles: Evidence from Finland | Research in International Business and Finance | 2014 | 229 |
8 | Greenwashing in environmental, social and governance disclosures | Research in International Business and Finance | 2020 | 222 |
9 | Effects of the geopolitical risks on Bitcoin returns and volatility | Research in International Business and Finance | 2019 | 221 |
10 | Price dynamics and speculative trading in bitcoin | Research in International Business and Finance | 2017 | 211 |
11 | Determinants of bank efficiency during unstable macroeconomic environment: Empirical evidence from Malaysia | Research in International Business and Finance | 2009 | 204 |
12 | Credit risk determinants: Evidence from a cross-country study | Research in International Business and Finance | 2015 | 193 |
13 | Persistence in the cryptocurrency market | Research in International Business and Finance | 2018 | 192 |
14 | Estimating the technical and scale efficiency of Greek commercial banks: The impact of credit risk, off-balance sheet activities, and international operations | Research in International Business and Finance | 2008 | 189 |
15 | Corporate governance, capital structure and firm performance: Evidence from Thailand | Research in International Business and Finance | 2017 | 178 |
16 | On the dynamic dependence and investment performance of crude oil and clean energy stocks | Research in International Business and Finance | 2017 | 176 |
17 | Dynamic relationship between exchange rate and stock price: Evidence from China | Research in International Business and Finance | 2010 | 175 |
18 | Exchange rate movements and stock market returns in a regime-switching environment: Evidence for BRICS countries | Research in International Business and Finance | 2014 | 174 |
19 | Revisiting the finance-inequality nexus in a panel of African countries | Research in International Business and Finance | 2018 | 169 |
20 | Capital structure in an emerging stock market: The case of India | Research in International Business and Finance | 2010 | 164 |
21 | Foreign direct investment and environmental sustainability in Africa: The role of institutions and governance | Research in International Business and Finance | 2017 | 161 |
22 | Innovation as recovery strategy for SMEs in emerging economies during the COVID-19 pandemic | Research in International Business and Finance | 2021 | 154 |
23 | The effect of board composition on the informativeness and quality of annual earnings: Empirical evidence from Greece | Research in International Business and Finance | 2010 | 148 |
24 | Can fintech improve the efficiency of commercial banks? —An analysis based on big data | Research in International Business and Finance | 2021 | 148 |
25 | Cryptocurrencies and stock market indices. Are they related? | Research in International Business and Finance | 2020 | 143 |
26 | The economic value of Bitcoin: A portfolio analysis of currencies, gold, oil and stocks | Research in International Business and Finance | 2019 | 141 |
27 | Capital structure and firm performance: Empirical evidence from a small transition country | Research in International Business and Finance | 2017 | 140 |
28 | Effects of national culture on bank risk-taking behavior | Research in International Business and Finance | 2016 | 131 |
29 | Co-movement of Asia-Pacific with European and US stock market returns: A cross-time-frequency analysis | Research in International Business and Finance | 2013 | 130 |
30 | Behavior of GCC stock markets and impacts of US oil and financial markets | Research in International Business and Finance | 2006 | 128 |
31 | Islamic versus conventional banks in the GCC countries: A comparative study using classification techniques | Research in International Business and Finance | 2015 | 128 |
32 | The impact of corporate governance on financial performance of Indian and GCC listed firms: An empirical investigation | Research in International Business and Finance | 2020 | 128 |
33 | COVID-19, government policy responses, and stock market liquidity around the world: A note | Research in International Business and Finance | 2021 | 128 |
34 | Financing climate policies through climate bonds – A three stage model and empirics | Research in International Business and Finance | 2017 | 123 |
35 | A bibliometric analysis of bitcoin scientific production | Research in International Business and Finance | 2019 | 123 |
36 | On the determinants of SME capital structure in Central and Eastern Europe: A dynamic panel analysis | Research in International Business and Finance | 2013 | 122 |
37 | Dynamic correlations and hedging effectiveness between gold and stock markets: Evidence for BRICS countries | Research in International Business and Finance | 2016 | 122 |
38 | Investigating volatility transmission and hedging properties between Bitcoin and Ethereum | Research in International Business and Finance | 2019 | 120 |
39 | Foreign direct investment, exports and economic growth: ADRL and causality analysis for South Africa | Research in International Business and Finance | 2017 | 119 |
40 | On the relationship between corporate governance and firm performance: Evidence from GCC countries | Research in International Business and Finance | 2018 | 117 |
41 | Determinants of corporate dividend policy in emerging markets: Evidence from MENA stock markets | Research in International Business and Finance | 2016 | 116 |
42 | The environmental effects of economic growth and globalization in Sub-Saharan Africa: A panel general method of moments approach | Research in International Business and Finance | 2017 | 116 |
43 | Linkages between financial development, financial instability, financial liberalisation and economic growth in Africa | Research in International Business and Finance | 2018 | 116 |
44 | Spillover effects between exchange rates and stock prices: Evidence from BRICS around the recent global financial crisis | Research in International Business and Finance | 2016 | 113 |
45 | Seasonality in stock returns and volatility: The Ramadan effect | Research in International Business and Finance | 2005 | 112 |
46 | The 2008 financial crisis: Stock market contagion and its determinants | Research in International Business and Finance | 2015 | 112 |
47 | The significance of working capital management in determining firm profitability: Evidence from developing economies in Africa | Research in International Business and Finance | 2014 | 111 |
48 | Investor sentiment and calendar anomaly effects: A case study of the impact of Ramadan on Islamic Middle Eastern markets | Research in International Business and Finance | 2011 | 110 |
49 | Modelling volatility of cryptocurrencies using Markov-Switching GARCH models | Research in International Business and Finance | 2019 | 109 |
50 | Nonlinearities in financial development–economic growth nexus: Evidence from sub-Saharan Africa | Research in International Business and Finance | 2018 | 107 |