1.3(top 50%)
impact factor
715(top 20%)
papers
4.4K(top 20%)
citations
29(top 20%)
h-index
1.3(top 50%)
extended IF
775
all documents
5.3K
doc citations
42(top 20%)
g-index

Top Articles

#TitleJournalYearCitations
1GOLD AS AN INFLATION HEDGE?Studies in Economics and Finance2004185
2House price cycles in emerging economiesStudies in Economics and Finance2015178
3The impact of financial development on economic growthStudies in Economics and Finance201283
4Investment opportunities, corporate finance, and dividend payout policyStudies in Economics and Finance201081
5Ownership structure, corporate governance and capital structure decisions of firmsStudies in Economics and Finance200975
6Financial technology: a review of extant literatureStudies in Economics and Finance201971
7Macroeconomic development and capital structure decisions of firmsStudies in Economics and Finance200970
8Industry classification and the capital structure of Ghanaian SMEsStudies in Economics and Finance200764
9Corporate governance, economic turbulence and financial performance of UAE listed firmsStudies in Economics and Finance201362
10The effects of macroeconomic factors on stock returns: Istanbul Stock MarketStudies in Economics and Finance200959
11The use of discretionary loan loss provisions by Islamic banks and conventional banks in the Middle East regionStudies in Economics and Finance201455
12Financial development and economic growth: empirical evidence from IndiaStudies in Economics and Finance201545
13Dividend behaviour and smoothing new evidence from Jordanian panel dataStudies in Economics and Finance200944
14Determinants of stock market development: a review of the literatureStudies in Economics and Finance201743
15Bank ownership and productivity developments: evidence from TurkeyStudies in Economics and Finance200742
16Ownership structure, corporate governance and firm performanceStudies in Economics and Finance201241
17Predictable patterns in ETFs' return and tracking errorStudies in Economics and Finance201140
18Capital structure – does ownership structure matter? Theory and Indian evidenceStudies in Economics and Finance201340
19Are ESG stocks safe-haven during COVID-19?Studies in Economics and Finance202240
20Financial development, international migrant remittances and endogenous growth in GhanaStudies in Economics and Finance201139
21Stock market volatility and bank performance in ChinaStudies in Economics and Finance201239
22Mergers and acquisitions: a review. Part 1Studies in Economics and Finance201639
23Investors' behaviour in the Athens Stock Exchange (ASE)Studies in Economics and Finance200738
24DECOMPOSING TECHNICAL EFFICIENCY AND WINDOW ANALYSISStudies in Economics and Finance200437
25Does trade matter for stock market integration?Studies in Economics and Finance201037
26On the relationship between weather and stock market returnsStudies in Economics and Finance201137
27Impact of digital financial inclusion on ASEAN banking stability: implications for the post-Covid-19 eraStudies in Economics and Finance202137
28The golden target: analyzing the tracking performance of leveraged gold ETFsStudies in Economics and Finance201536
29Cointegration of Indian stock markets with other leading stock marketsStudies in Economics and Finance200935
30Investment deposits, risk‐taking and capital decisions in Islamic banksStudies in Economics and Finance201335
31The Eurozone crisis and its contagion effects on the European stock marketsStudies in Economics and Finance201435
32Corporate social responsibility and bankruptcyStudies in Economics and Finance201935
33BILATERAL AND MULTILATERAL COINTEGRATION PROPERTIES BETWEEN THE GERMAN AND CENTRAL EUROPEAN EQUITY MARKETSStudies in Economics and Finance200333
34Asymmetric effect of extreme changes in the exchange rate volatility on the US importsStudies in Economics and Finance202032
35COVID-19 pandemic and cryptocurrency markets: an empirical analysis from a linear and nonlinear causal relationshipStudies in Economics and Finance202132
36FORTUNE'S MOST ADMIRED FIRMS: AN INVESTOR'S PERSPECTIVEStudies in Economics and Finance199831
37A comparative analysis of oil as a risk factor in Australian industry stock returns, 1980‐2006Studies in Economics and Finance200831
38Credit rating agencies and global financial crisisStudies in Economics and Finance201031
39Do what insiders doStudies in Economics and Finance200630
40Neurofinance and investment behaviourStudies in Economics and Finance201230
41Revenue shifts and non‐bank financial institutions' productivityStudies in Economics and Finance200829
42The impact of economic and financial development on environmental degradationStudies in Economics and Finance201528
43Tests of weak form efficiency in the Middle East emerging marketsStudies in Economics and Finance200627
44Financial liberalization, financial development and growth linkages in Sub‐Saharan African countriesStudies in Economics and Finance201027
45Financial development, oil dependence and economic growthStudies in Economics and Finance201727
46Zarembka's Estimate of Best Functional Form Applied to a Money Demand EquationStudies in Economics and Finance197726
47Long memory in the Portuguese stock marketStudies in Economics and Finance200726
48Productivity growth of zakat institutions in MalaysiaStudies in Economics and Finance201226
49Arbitrage opportunities, efficiency, and the role of risk preferences in the Hong Kong property marketStudies in Economics and Finance201626
50Mergers and acquisitions: a review (part 2)Studies in Economics and Finance201626