Global Finance Journal

Papers
(The H4-Index of Global Finance Journal is 33. The table below lists those papers that are above that threshold based on CrossRef citation counts [max. 250 papers]. The publications cover those that have been published in the past four years, i.e., from 2022-05-01 to 2026-05-01.)
ArticleCitations
The diminishing lustre: Gold's market volatility and the fading safe haven effect250
Profitability and low-risk anomalies reexamined163
How does foreign economic policy uncertainty affect domestic analyst earnings forecasts?109
The regulatory environment and financial constraints of private firms in the European Union71
Fiduciary or loyalty? Evidence from top management counsel and stock liquidity67
Liquidity spillovers in the global stock markets: Lessons for risk management66
The digital economy, market integration and environmental gains64
Watchdogs of greenwashing: The role of long-term institutional cross-ownership62
Balancing the books: The role of energy-related uncertainty in corporate leverage59
Public sector unions and municipal debt58
How do voting powers matter in equity finance? Evidence from chinese private placements57
Does social capital matter in underwriter's fees?56
Supply chain contagion effects of negative CSR events: A stock market reaction perspective55
Under the microscope: Trade initiation activities around earnings and takeover announcements in a market with continuous disclosure53
Foreword to 2021 New Zealand Finance Meeting52
The stock market effects of committing and setting GHG targets: evidence from the science-based targets initiative51
Deferring real options with solar renewable energy certificates50
Culture and exit mechanisms: International evidence49
Does bank capital reduce liquidity creation?48
Data breaches (hacking) and trade credit47
The impact of reporting changes on hidden liquidity: Evidence from the Chicago stock exchange47
ESG activities and firm cash flow46
Does news related to digital economy and central bank digital currency affect digital economy ETFs? Evidence from TVP-VAR connectedness and wavelet local multiple correlation analyses44
Weather risk and financial markets: Credit risk, stock returns, and corporate fundamentals44
Equity misvaluation and debt markets42
Busy board and corporate debt maturity structure41
The impact of capital on bank profitability during the COVID-19 pandemic41
Research on safe-haven currencies under global uncertainty —A new perception based on the East Asian market41
Money talks, green walks: Does financial inclusion promote green sustainability in Africa?38
Greasing the wheels of irreversible investment: International evidence on the economic effects of corruption36
Do large-cap exchange-traded funds perform better than their small-cap counterparts in extreme market conditions?34
Global perspectives on corporate social responsibility, political institutions, and the political economy34
Stabilizing global foreign exchange markets in the time of COVID-19: The role of vaccinations34
Equity market response to natural disasters: Does firm's corporate social responsibility make difference?33
Impact of Fintech on labor allocation efficiency in firms: Empirical evidence from China33
Erratum regarding missing Declaration of Competing Interest statements in previously published articles33
Information content of the limit order book: A cross-sectional analysis in Borsa Istanbul33
Tail risk transmission in technology-driven markets33
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