Editor-in-Chief: Georgios Chortareas; Editor: Luu Duc Toan Huynh
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Articles
International monetary spillovers to frontier financial markets: Evidence from Bangladesh
-  81-100
-  4 March 2024
Exploring the impact of oil security attention on oil volatility: A new perspective
-  61-80
-  9 January 2024
Capital inflows to emerging countries and their sensitivity to the global financial cycle
-  17-34
-  28 November 2023
What is the optimal capital ratio implying a stable European banking system?
-  324-343
-  9 October 2023
Determinants of market‐assessed sovereign default risk: Macroeconomic fundamentals or global shocks?
-  35-60
-  5 October 2023
The following is a list of the most cited articles based on citations published in the last three years, according to CrossRef.
The influence of monetary policy on bank profitability
-  48-63
-  19 May 2017
Economic Policy Uncertainty and Exchange Rate Volatility
-  241-256
-  16 September 2014
Is Business Cycle Volatility Costly? Evidence from Surveys of Subjective Well‐Being
-  1-26
-  17 June 2003
The impact of Sino–US trade friction on the performance of China's textile and apparel industry
-  151-166
-  1 June 2022
International Finance is a macroeconomics and finance journal publishing policy-relevant articles backed by rigorous theory and empirical analysis. The journal welcomes contributions focused on exchange rates, monetary policy, the political economy, financial markets, and corporate finance. Articles extend beyond academia into national treasuries and corporate treasuries, central banks and investment banks, and major international economic organizations.