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Journal of Multinational Financial Management

Elsevier

AJG 2ABDC B
Abstract coveragesee Methodology
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PaperYearCitations
Does the capital market price climate transition risk? Evidence from China’s carbon emission trading system
Huan Zhu et al.
20260 citations
Editorial Board
Unknown
20260 citations
Navigating turbulence: How exchange rate volatility shapes emerging-market outward foreign direct investment?
Yuanyuan Yan et al.
20260 citations
Volatility spillovers and risk transmission in global real estate investment trust markets: Role of uncertainty and macroeconomic shocks
Elroi Hadad & Sun Yong Choi
20260 citations
The role of climate exposure and ESG in forward-looking default risk: A global perspective
Woraphon Wattanatorn
20260 citations
Do Qualified Foreign Institutional Investors (QFIIs) care about physical climate risk?
Tianyu Zhang & Jiachen Wang
20260 citations
Bridging markets: The impact of bond connect policy on liquidity in China’s bond market
Haijian Zeng et al.
20260 citations
Policy uncertainty and U.S. equity returns: A sector-level analysis of disaggregated international EPU
Arsene Oka
20260 citations
Event-driven changes in volatility connectedness in global forex markets
Peter Albrecht et al.
20259 citations
Is the relationship between financial globalization and financial stability heterogeneous? Evidence from emerging markets and developing economies
Sunny Kumar Singh & K Salva
20254 citations
When reputation hurts: ESG risk and the cost of equity capital around the world
Van Ha Nguyen et al.
20253 citations
Foreign bank entry and corporate emissions: Evidence from staggered deregulations in China
William Mbanyele et al.
20252 citations
Central bank swap arrangements, exchange rate volatility, and China’s exports
Zhuqing Liu & Junmei Zhang
20252 citations
ETF connectedness and its applications: Evidence from RCEP member countries
Zhenyang Li & Yuanying Jiang
20252 citations
How did banks react to SVB collapse?
Anis Samet et al.
20251 citations
Financial development and the nexus between inflation and wealth inequality
Dong‐Hyeon Kim et al.
20251 citations
Economic freedom and market resilience: Safeguarding liquidity in times of crisis
Hyun Joung Jin et al.
20251 citations
Temporal dynamics of uncertainty shocks on China's trade openness: A TVP-VAR estimation
Petros Golitsis & Kyriakos Emmanouilidis
20251 citations
Exploring the role of crude oil futures in portfolio diversification
Ching‐Chi Hsu & Wei‐Che Tsai
20251 citations
Reputational risk and corporate carbon emissions reduction around the world: The democratic advantage
Anh‐Tuan Le et al.
20251 citations

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