5.7(top 5%)
impact factor
312(top 50%)
papers
2.8K(top 50%)
citations
23(top 20%)
h-index
5.8(top 5%)
extended IF
343
all documents
3.2K
doc citations
34(top 50%)
g-index

Top Articles

#TitleJournalYearCitations
1Does green finance matter for sustainable entrepreneurship and environmental corporate social responsibility during COVID-19?China Finance Review International202297
2Energy financing in COVID-19: how public supports can benefit?China Finance Review International202293
3An index of cryptocurrency environmental attention (ICEA)China Finance Review International202268
4FinTech and household finance: a review of the empirical literatureChina Finance Review International202065
5Role of green financing and corporate social responsibility (CSR) in technological innovation and corporate environmental performance: a COVID-19 perspectiveChina Finance Review International202257
6Geopolitical risk, economic policy uncertainty and asset returns in Chinese financial marketsChina Finance Review International202154
7Economic policy uncertainty and firms' labor investment decisionChina Finance Review International202052
8The impact of green finance, economic growth and energy usage on CO2 emission in Vietnam – a multivariate time series analysisChina Finance Review International202243
9The impact of green finance and Covid-19 on economic development: capital formation and educational expenditure of ASEAN economiesChina Finance Review International202238
10Determinants of bank’s profitability: role of poor asset quality in AsiaChina Finance Review International201836
11Can we-media information disclosure drive listed companies' innovation?—From the perspective of financing constraintsChina Finance Review International202235
12Energy efficiency financing and the role of green bond: policies for post-Covid periodChina Finance Review International202235
13Impact of COVID‐19 pandemic on risk transmission between googling investor’s sentiment, the Chinese stock and bond marketsChina Finance Review International202134
14Government governance, executive networks and corporate investment efficiencyChina Finance Review International201832
15Pay gap, inventor promotion and corporate technology innovationChina Finance Review International201932
16Empirical relationship between foreign direct investment and economic growthChina Finance Review International201331
17Does macroeconomic uncertainty really matter in predicting stock market behavior? A comparative study on China and USAChina Finance Review International202031
18Modeling non-normality using multivariate t: implications for asset pricingChina Finance Review International201730
19Is Baidu index really powerful to predict the Chinese stock market volatility? New evidence from the internet informationChina Finance Review International202330
20Shareholder protection, creditor rights and bank dividend policiesChina Finance Review International201529
21Political connections and stock price crash riskChina Finance Review International201828
22Minority shareholder participation and earnings managementChina Finance Review International201928
23Consumer finance/household finance: the definition and scopeChina Finance Review International202028
24The green bond market and its use for energy efficiency finance in AfricaChina Finance Review International202228
25Environmental, social and governance (ESG) - augmented investments in innovation and firms' value: a fixed-effects panel regression of Asian economiesChina Finance Review International202427
26Volatility risk and stock return predictability on global financial crisesChina Finance Review International201726
27The impact of cash flow volatility on firm leverage and debt maturity structure: evidence from ChinaChina Finance Review International201826
28Managerial overconfidence, firm transparency, and stock price crash riskChina Finance Review International201926
29Stock price synchronicity and stock price crash riskChina Finance Review International201625
30Analysis of capital structure stability of listed firms in ChinaChina Finance Review International201925
31China’s anti-corruption campaign, political connections and private firms’ debt financingChina Finance Review International201925
32Asymmetric information, firm investment and stock pricesChina Finance Review International201024
33Do investor’s Big Five personality traits influence the association between information acquisition and stock trading behavior?China Finance Review International201724
34What do we know about cryptocurrency? Past, present, futureChina Finance Review International202123
35Management geographical proximity and stock price crash riskChina Finance Review International202223
36Market or government: who plays a decisive role in R&D resource allocation?China Finance Review International201922
37Financial risk, uncertainty and expected returns: evidence from Chinese equity marketsChina Finance Review International201922
38The impact of CEO pay and its disclosure on stock price crash risk: evidence from ChinaChina Finance Review International201922
39Ex-ante risk management and financial stability during the COVID-19 pandemic: a study of Vietnamese firmsChina Finance Review International202122
40The impact of macroeconomic uncertainty on international commodity pricesChina Finance Review International201721
41Does opening high-speed railways affect the cost of debt financing? A quasi-natural experimentChina Finance Review International202021
42Accounting conservatism, ultimate ownership and investment efficiencyChina Finance Review International201220
43Spillover effect in Asian financial markets: A VAR-structural GARCH analysisChina Finance Review International201620
44Textual analysis for China’s financial markets: a review and discussionChina Finance Review International201920
45Ownership identity and corporate donations: evidence from a natural experiment in ChinaChina Finance Review International201920
46Government support for SMEs in response to COVID-19: theoretical model using Wang transformChina Finance Review International202120
47Are corporate social responsibility reports informative? Evidence from textual analysis of banks in ChinaChina Finance Review International202220
48Does governance quality matter in the nexus of inclusive finance and stability?China Finance Review International202320
49The COVID-19 pandemic and sovereign credit riskChina Finance Review International202119
50Cryptocurrency as a safe haven for investment portfolios amid COVID-19 panic cases of Bitcoin, Ethereum and LitecoinChina Finance Review International202219