> Ausgaben
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11(2023), 1 vom: März, Artikel-ID 11, Seite 1-32:
Determinants of the cost of financial intermediation evidence from emerging economies Mohammed Mizanur Rahman, Mahfuzur Rahman and Md. Abdul Kaium Masud
2023
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11(2023), 1 vom: März, Artikel-ID 32, Seite 1-14:
Efficiency of the Islamic banking sector evidence from two-stage DEA double frontiers analysis Xuan Thi Thanh Mai, Ha Thi Nhu Nguyen, Thanh Ngo, Tu D.Q. Le and Lien Phuong Nguyen
2023
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11(2023), 1 vom: März, Artikel-ID 35, Seite 1-15:
Nexus between macroeconomic factors and corporate investment empirical evidence from GCC markets Umar Farooq, Mosab I. Tabash, Basem Hamouri, Linda Nalini Daniel and Samir K. Safi
2023
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11(2023), 1 vom: März, Artikel-ID 12, Seite 1-39:
Fama-French-Carhart Factor-Based Premiums in the US REIT market a risk based explanation, and the impact of financial distress and liquidity crisis from 2001 to 2020 Mohammad Sharik Essa and Evangelos Giouvris
2023
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11(2023), 1 vom: März, Artikel-ID 18, Seite 1-39:
Nonprofits and C corporations performance comparison Robert Martin Hull
2023
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11(2023), 1 vom: März, Artikel-ID 20, Seite 1-14:
Pricing ability of Carhart Four-Factor and Fama-French Three-Factor models empirical evidence from Morocco Mimoun Benali, Karima Lahboub and Abdelhamid El Bouhadi
2023
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11(2023), 1 vom: März, Artikel-ID 19, Seite 1-11:
What makes farmers record farm financial transactions? empirical evidence from potato farmers in Indonesia Eliana Wulandari, Tuti Karyani, Ernah and Raden Trizaldi Prima Alamsyah
2023
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11(2023), 1 vom: März, Artikel-ID 21, Seite 1-35:
Uncertainty shocks and corporate borrowing constraints Ahmed Kamara and Niraj P. Koirala
2023
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11(2023), 1 vom: März, Artikel-ID 23, Seite 1-13:
Examining the effects of big data analytics capabilities on firm performance in the Malaysian banking sector Norzalita Abd Aziz, Fei Long and Wan Mohd Hirwani Wan Hussain
2023
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11(2023), 1 vom: März, Artikel-ID 25, Seite 1-17:
Increasing income generation the role of staff participation and awareness Amir Mahmud, Nurdian Susilowati, Indah Anisykurlillah and Puji Novita Sari
2023
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11(2023), 1 vom: März, Artikel-ID 27, Seite 1-20:
Maize productivity and household welfare impacts of mobile money usage in Tanzania happiness Kilombele, Shiferaw Feleke, Tahirou Abdoulaye, Steven Cole, Haruna Sekabira and Victor Manyong
2023
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11(2023), 1 vom: März, Artikel-ID 22, Seite 1-13:
Mean reversion lessens mean blur evidence from the S&P composite index Luigi Buzzacchi and Luca Ghezzi
2023
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11(2023), 1 vom: März, Artikel-ID 31, Seite 1-25:
Behavior of banks' stock market prices during long-term crises Nursel Selver Ruzgar and Clare Chua-Chow
2023
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11(2023), 1 vom: März, Artikel-ID 36, Seite 1-20:
Corporate governance effects on bank profits in Gulf cooperation council countries during the pandemic Hani El-Chaarani, Rebecca Abraham, Danielle Khalife and Madonna Salameh-Ayanian
2023
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11(2023), 2 vom: Juni, Artikel-ID 74, Seite 1-17:
Political uncertainty and initial public offerings a literature review Purvi Jhawar andJayanta Kumar Seal
2023
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11(2023), 2 vom: Juni, Artikel-ID 75, Seite 1-22:
The determinants of capital adequacy in the Jordanian banking sector an autoregressive distributed lag-bound testing approach Ahmad Mohammad Obeid Gharaibeh
2023
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11(2023), 2 vom: Juni, Artikel-ID 78, Seite 1-19:
An exploration of overconfidence and the disposition effect in the stock market Benomar Ikram, Ben El Haj Fouad and Chelh Sara
2023
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11(2023), 2 vom: Juni, Artikel-ID 79, Seite 1-15:
A bibliometric analysis of fintech trends an empirical investigation Girish Garg, Mohd Shamshad, Nikita Gauhar, Mosab I. Tabash, Basem Hamouri and Linda Nalini Daniel
2023
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11(2023), 2 vom: Juni, Artikel-ID 81, Seite 1-26:
Management’s discretionary assessments of goodwill impairments evidence from STOXX Europe 600 Frode Kjærland, Kristian Forbord, Are Oust and Håkon Stephani
2023
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11(2023), 1 vom: März, Artikel-ID 39, Seite 1-16:
The Role of liquidity creation in managing the COVID-19 banking crisis in selected MENA countries Hani El-Chaarani, Rebecca Abraham, and Georges Azzi
2023
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11(2023), 1 vom: März, Artikel-ID 40, Seite 1-17:
Cryptocurrencies and long-range trends Monica Alexiadou, Emmanouil Sofianos, Periklis Gogas and Theophilos Papadimitriou
2023
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11(2023), 1 vom: März, Artikel-ID 41, Seite 1-21:
Value relevance of board attributes the mediating role of key audit matter Romlah Jaffar, Nor Asyiqin Abu, Mohamat Sabri Hassan and Mohd Mohid Rahmat
2023
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11(2023), 1 vom: März, Artikel-ID 42, Seite 1-17:
Digital money options for the BRICS Mikhail Vyacheslavovich Zharikov
2023
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11(2023), 2 vom: Juni, Artikel-ID 70, Seite 1-16:
Modelling systemic risk in Morocco's banking system Ayoub Kyoud, Cherif El Msiyah and Jaouad Madkour
2023
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11(2023), 2 vom: Juni, Artikel-ID 62, Seite 1-20:
Durable consumption-based asset pricing model with foreign factors for the Korean stock market Cheol-Keun Cho and Bosung Jang
2023
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11(2023), 2 vom: Juni, Artikel-ID 63, Seite 1-16:
Restaurants' solvency in Portugal during COVID-19 Conceição Gomes, Filipa Campos, Cátia Malheiros and Luís Lima Santos
2023
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11(2023), 1 vom: März, Artikel-ID 50, Seite 1-17:
The impact of the COVID-19 pandemic on the volatility of cryptocurrencies Sofia Karagiannopoulou, Konstantina Ragazou, Ioannis Passas, Alexandros Garefalakis and Nikolaos Sariannidis
2023
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11(2023), 2 vom: Juni, Artikel-ID 55, Seite 1-24:
Valuing exchange options under an Ornstein-Uhlenbeck covariance model Enrique Villamor and Pablo Olivares
2023
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11(2023), 3 vom: Sept., Artikel-ID 115, Seite 1-25:
The impact of artificial intelligence disclosure on financial performance Fadi Shehab Shiyyab, Abdallah Bader Alzoubi, Qais Mohammad Obidat and Hashem Alshurafat
2023
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11(2023), 3 vom: Sept., Artikel-ID 114, Seite 1-19:
Green electronic auditing and accounting information reliability in the Jordanian social security corporation the mediating role of cloud computing Ali Mahmoud Alrabei
2023
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11(2023), 3 vom: Sept., Artikel-ID 113, Seite 1-30:
The dynamic return and volatility spillovers among size-based stock portfolios in the Saudi market and their portfolio management implications during different crises Nassar S. Al-Nassar
2023
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11(2023), 3 vom: Sept., Artikel-ID 112, Seite 1-21:
Unveiling market connectedness dynamic returns spillovers in Asian emerging stock markets Maaz Khan, Mrestyal Khan, Umar Nawaz Kayani, Khurrum Shahzad Mughal and Roohi Mumtaz
2023
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11(2023), 3 vom: Sept., Artikel-ID 111, Seite 1-27:
Market reaction to corporate releases and news articles evidence from Thailand’s Stock Market Likittanawong Supawat andLeemakdej Arnat
2023
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11(2023), 3 vom: Sept., Artikel-ID 110, Seite 1-17:
Enhancing financial fraud detection through addressing class imbalance using hybrid SMOTE-GAN techniques Patience Chew Yee Cheah, Yue Yang and Boon Giin Lee
2023
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11(2023), 3 vom: Sept., Artikel-ID 109, Seite 1-27:
Effects of contract governance on the relation of partnership critical success factors and the performance of Malaysia public-private partnership initiatives Azlan Shah Abdul Latif, Noor Azman Ali, Zahira Ishan, Nor Siah Jaharuddin, Rohail Hassan and Adibah Abdul Latif
2023
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11(2023), 3 vom: Sept., Artikel-ID 108, Seite 1-14:
A review of the implementation of financial technology (Fintech) in the Indonesian agricultural sector issues, access, and challenges Fathi Rufaidah, Tuti Karyani, Eliana Wulandari and Iwan Setiawan
2023
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11(2023), 3 vom: Sept., Artikel-ID 107, Seite 1-16:
Hidden ownership and firm performance evidence from Thailand’s initial public offering firms Natthawut Wangwan and Arnat Leemakdej
2023
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11(2023), 3 vom: Sept., Artikel-ID 106, Seite 1-16:
A systematic bibliometric analysis of the real estate bubble phenomenon a comprehensive review of the literature from 2007 to 2022 José-Francisco Vergara-Perucich
2023
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11(2023), 3 vom: Sept., Artikel-ID 105, Seite 1-20:
What influenced Hanoi's apartment price bubble between 2010 and 2021? Phuong Lan Le, Anh Tuan Do and Anh Ngoc Pham
2023
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11(2023), 3 vom: Sept., Artikel-ID 104, Seite 1-14:
Bibliometric review of participatory budgeting current status and future research agenda Miloš Milosavljević, Željko Spasenić and Jovan Krivokapić
2023
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11(2023), 3 vom: Sept., Artikel-ID 103, Seite 1-21:
Bibliometric review of blended finance and partial risk guarantee establishing needs and advantages Kamakshi Sharma, Tusharika Mahna, Sonali Jain, Sanjay Dhir, Neeta Rao, Achin Biyani, Himanshu Sikka, Rishit Yadav, Sidharth Dua and Archish Gupta
2023
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11(2023), 3 vom: Sept., Artikel-ID 102, Seite 1-16:
Nexus of financing constraints and supply chain finance evidence from listed SMEs in China Sin-Huei Ng, Yunze Yang, Chin-Chong Lee and Chui-Zi Ong
2023
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11(2023), 3 vom: Sept., Artikel-ID 101, Seite 1-16:
Sentiments extracted from news and stock market reactions in Vietnam Loan Thi Vu, Dong Ngoc Pham, Hang Thu Kieu and Thuy Thi Thanh Pham
2023
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11(2023), 3 vom: Sept., Artikel-ID 99, Seite 1-25:
Uncovering the effect of news signals on daily stock market performance an econometric analysis Shahid Raza, Sun Baiqing, Pwint Kay-Khine and Muhammad Ali Kemal
2023
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11(2023), 3 vom: Sept., Artikel-ID 98, Seite 1-15:
The changing landscape of financial credit risk models Tanja Verster and Erika Fourie
2023
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11(2023), 3 vom: Sept., Artikel-ID 100, Seite 1-20:
The effect of capital structure on firm value a study of companies listed on the Vietnamese stock market Thi Ngoc Bui, Xuan Hung Nguyen and Kieu Trang Pham
2023
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11(2023), 3 vom: Sept., Artikel-ID 97, Seite 1-17:
Impact of liquidity and investors sentiment on herd behavior in cryptocurrency market Siniša Bogdan, Natali Brmalj and Elvis Mujačević
2023
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11(2023), 3 vom: Sept., Artikel-ID 96, Seite 1-20:
Opening a new era with machine learning in financial services? forecasting corporate credit Ratings based on annual financial statements Mustafa Pamuk andMatthias Schumann
2023
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11(2023), 3 vom: Sept., Artikel-ID 95, Seite 1-16:
Do share repurchases crowd out internal investment in South Africa? Gretha Steenkamp and Nicolene Wesson
2023
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11(2023), 3 vom: Sept., Artikel-ID 94, Seite 1-22:
Forecasting stock market prices using machine learning and deep learning models a systematic review, performance analysis and discussion of implications Gaurang Sonkavde, Deepak Sudhakar Dharrao, Anupkumar M. Bongale, Sarika T. Deokate, Deepak Doreswamy and Subraya Krishna Bhat
2023
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11(2023), 3 vom: Sept., Artikel-ID 93, Seite 1-25:
The sustainability of investing in cryptocurrencies a bibliometric analysis of research trends Mohammad Alqudah, Luis Ferruz, Emilio Martín, Hanan Qudah and Firas Hamdan
2023
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11(2023), 3 vom: Sept., Artikel-ID 92, Seite 1-25:
Board compensation in financial sectors a systematic review of twenty-four years of research Saleh F. A. Khatib, Hamzeh Al Amosh and Husam Ananzeh
2023
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11(2023), 3 vom: Sept., Artikel-ID 91, Seite 1-19:
The market’s view on accounting classifications for asset securitizations Minkwan Ahn
2023
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11(2023), 3 vom: Sept., Artikel-ID 90, Seite 1-18:
Building trust in fintech an analysis of ethical and privacy considerations in the intersection of big data, AI, and customer trust Hassan H. H. Aldboush and Marah Ferdous
2023
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11(2023), 3 vom: Sept., Artikel-ID 89, Seite 1-11:
The retained earnings effect on the firm’s market value evidence from Jordanh Firas N. Dahmash, Hashem Alshurafat, Raed Hendawi, Abdallah Bader Alzoubi and Hamzeh Al Amosh
2023
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11(2023), 3 vom: Sept., Artikel-ID 88, Seite 1-22:
Modeling supply chain firms' stock prices in the fertilizer industry through innovative cryptocurrency market big data Damianos P. Sakas, Nikolaos T. Giannakopoulos, Markos Margaritis and Nikos Kanellos
2023
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11(2023), 3 vom: Sept., Artikel-ID 87, Seite 1-15:
Can digital financial inclusion promote women’s labor force participation? microlevel evidence from Africa Imane Elouardighi and Kenza Oubejja
2023
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11(2023), 3 vom: Sept., Artikel-ID 86, Seite 1-15:
The role of social banking in the success and sustainable business continuity of SSMEs Eirini Stavropoulou, Konstantinos Spinthiropoulos, Alexandros Garefalakis, Konstantina Ragazou and Fragkiskos Gonidakis
2023
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11(2023), 3 vom: Sept., Artikel-ID 85, Seite 1-16:
The effects of internal governance factors on lending portfolio composition in Islamic banks Nizar Yousef Ahmed Naim and Nora Azureen Abdul Rahman
2023
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11(2023), 3 vom: Sept., Artikel-ID 84, Seite 1-15:
Assessing the effective use of state property accounting and analytical support and analysis methodology Elena A. Fedchenko, Andrey V. Nikiforov, Lyubov V. Gusarova, Lyudmila M. Tsareva and Alexey A. Maximov
2023
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11(2023), 3 vom: Sept., Artikel-ID 83, Seite 1-14:
Microfinance, an alternative for financing entrepreneurship implications and trends-bibliometric analysis Katherine Coronel-Pangol, Doménica Heras-Tigre, Jonnathan Jiménez Yumbla, Juan Aguirre Quezada and Pedro Mora
2023
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11(2023), 3 vom: Sept., Artikel-ID 82, Seite 1-12:
Disclosure of key audit matters European listed companies’ evidence on related parties transactions Lioara-Veronica Pasc and Camelia-Daniela Hategan
2023
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12(2024), 1 vom: März, Artikel-ID 5, Seite 1-23:
The impact of intangible capital on firm profitability in the technology and healthcare sectors Voicu D. Dragomir
2023
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12(2024), 1 vom: März, Artikel-ID 1, Seite 1-17:
Variable considerations in ASC 606, earnings management and business continuity during crisis Mohammed M. Yassin, Dea’a Al-Deen Al-Sraheen, Khaldoon Ahmad Al Daoud, Mohammad Alhadab and Farouq Altahtamouni
2023
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12(2024), 1 vom: März, Artikel-ID 18, Seite 1-24:
Impacts of investor attention and accounting information comparability on stock returns empirical evidence from Chinese listed companies Li Zhao, Nathee Naktnasukanjn, Ahmad Yahya Dawod and Bin Zhang
2023
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12(2024), 1 vom: März, Artikel-ID 25, Seite 1-35:
Quantifying impact, uncovering trends a comprehensive bibliometric analysis of shadow banking and financial contagion dynamics$hIonuț Nica, Camelia Delcea, Nora Chiriță and Ștefan Ionescu
2023
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12(2024), 1 vom: März, Artikel-ID 7, Seite 1-21:
Bank market power, firm performance, financing costs and capital structure Marisa Pessoa Gonçalves, Pedro M. Nogueira Reis and António Pedro Pinto
2023
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12(2024), 1 vom: März, Artikel-ID 13, Seite 1-17:
Board structure, CEO equity-based compensation, and financial performance evidence from MENA countries Abdullah A. Aljughaiman, Abdulateif A. Almulhim and Abdulaziz S. Al Naim
2023
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12(2024), 1 vom: März, Artikel-ID 20, Seite 1-18:
Assessing energy mutual funds performance, risks, and managerial skills Davinder Malhotra and Srinivas Nippani
2023
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12(2024), 1 vom: März, Artikel-ID 4, Seite 1-25:
The efficiency of alternative and conventional energy exchange-traded funds are clean energy exchange-traded funds a safer asset? Carla Oliveira Henriques, Maria Elisabete Neves and João Jorge Couceiro
2023
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12(2024), 1 vom: März, Artikel-ID 6, Seite 1-20:
The influence of Airbnb announcements on North American capital markets insights for stakeholders Tchai Tavor
2023
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12(2024), 1 vom: März, Artikel-ID 2, Seite 1-18:
Market shocks and stock volatility evidence from emerging and developed markets Mosab I. Tabash, Neenu Chalissery, T. Mohamed Nishad and Mujeeb Saif Mohsen Al-Absy
2023
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12(2024), 1 vom: März, Artikel-ID 8, Seite 1-19:
Is artificial intelligence really more accurate in predicting bankruptcy? Stanislav Letkovský, Sylvia Jeňcová and Petra Vašaničová
2023
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12(2024), 1 vom: März, Artikel-ID 9, Seite 1-15:
Firms’ investment level and (In)efficiency the role of accounting information system quality Cláudia Pereira, Beatriz Castro, Luís Gomes and Helena Canha
2023
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12(2024), 1 vom: März, Artikel-ID 10, Seite 1-16:
How local finance and enforcement shaped SME credit choices before and during the COVID crisis Francesco Fasano, Maurizio La Rocca, F. Javier Sánchez-Vidal, Maria Josephin Lio and Alfio Cariola
2023
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12(2024), 1 vom: März, Artikel-ID 14, Seite 1-18:
Impact of the COVID-19 market turmoil on investor behavior a panel VAR study of bank stocks in Borsa Istanbul Cumhur Ekinci and Oǧuz Ersan
2023
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12(2024), 1 vom: März, Artikel-ID 15, Seite 1-34:
Velocity of money and productivity growth explaining the 2% inflation target in the U.S. (1959-2007) † Christophe Faugere
2023
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12(2024), 1 vom: März, Artikel-ID 19, Seite 1-17:
Synthetic Central Bank digital currencies and systemic liquidity risks John E. Marthinsen and Steven R. Gordon
2023
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12(2024), 1 vom: März, Artikel-ID 21, Seite 1-17:
The use of economic indicators as early signals of stock market progress perspectives from market potential index$hTarek Eldomiaty, Islam Azzam, Mostafa Fouad and Yasmeen Said
2023
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12(2024), 1 vom: März, Artikel-ID 22, Seite 1-35:
Revisiting the effect of dividend policy on firm performance and value empirical evidence from the Korean market Okechukwu Enyeribe Njoku and Younghwan Lee
2023
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12(2024), 1 vom: März, Artikel-ID 28, Seite 1-15:
Revisiting the quiet-life hypothesis in the banking sector do CEOs’ personalities matter? Tu D. Q. Le, Dat T. Nguyen and Thanh Ngo
2023
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11(2023), 2 vom: Juni, Artikel-ID 76, Seite 1-29:
Islamic finance in the era of financial technology a bibliometric review of future trends Hanan Qudah, Sari Malahim, Rula Airout, Mohammad Alomari, Aiman Abu Hamour and Mohammad Alqudah
2023
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11(2023), 2 vom: Juni, Artikel-ID 77, Seite 1-19:
Impacts of U.S. stock market crash on South African top sector indices, volatility, and market linkages evidence of copula-based BEKK-GARCH models Benjamin Mudiangombe Mudiangombe and John Weirstrass Muteba Mwamba
2023
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12(2024), 1 vom: März, Artikel-ID 11, Seite 1-19:
Predicting operating income via a generalized operating-leverage model Sherwood Lane Lambert, Kevin Krieger and Nathan Mauck
2023
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12(2024), 1 vom: März, Artikel-ID 12, Seite 1-17:
Determinants of operating efficiency for the Jordanian banks a panel data econometric approach Rasha Istaiteyeh, Maysa’a Munir Milhem, Farah Najem and Ahmed Elsayed
2023
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12(2024), 1 vom: März, Artikel-ID 16, Seite 1-18:
Exploring the dynamics of profitability-liquidity relations in crisis, pre-crisis and post-crisis Piotr Ratajczak, Dawid Szutowski and Jarosław Nowicki
2023
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12(2024), 1 vom: März, Artikel-ID 17, Seite 1-15:
Board expertise background and firm performance Chiou-Yann Lee, Chun-Ru Wen and Binh Thi-Thanh-Nguyen
2023
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12(2024), 1 vom: März, Artikel-ID 23, Seite 1-21:
Predicting healthcare mutual fund performance using deep learning and linear regression Anuwat Boonprasope and Korrakot Yaibuathet Tippayawong
2023
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12(2024), 1 vom: März, Artikel-ID 24, Seite 1-15:
Decision rules for corporate investment Reinier de Adelhart Toorop, Dirk Schoenmaker and Willem Schramade
2023
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12(2024), 1 vom: März, Artikel-ID 26, Seite 1-16:
Dynamic capital structure adjustment an integrated analysis of firm-specific and macroeconomic factors in Korean firms SungSup Brian Choi, Kudzai Sauka and MiYoung Lee
2023
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12(2024), 1 vom: März, Artikel-ID 27, Seite 1-16:
Venture capital and dividend policy Yi Tan, Xiaoli Wang and Xiaoyu Fu
2023
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12(2024), 1 vom: März, Artikel-ID 29, Seite 1-29:
Unraveling the dynamics of intellectual capital, firm performance, and the influential moderators BIG4 auditors and group affiliation Swati Mohapatra and Jamini Kanta Pattanayak
2023
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11(2023), 4 vom: Dez., Artikel-ID 118, Seite 1-20:
Does family ownership moderate the relationship between board diversity and the financial performance of Saudi-Listed firms Ayman Hassan Bazhair and Hamid Ghazi H Sulimany
2023
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11(2023), 4 vom: Dez., Artikel-ID 119, Seite 1-23:
The impact of lending relationships on the lead arrangers’ retained share Alemu Tulu Chala
2023
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11(2023), 4 vom: Dez., Artikel-ID 121, Seite 1-17:
The impact of family ownership on capital structure and business performance Lenka Stryckova
2023
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11(2023), 4 vom: Dez., Artikel-ID 116, Seite 1-29:
Economic disruptions in repayment of peer loans David Maloney, Sung-Chul Hong and Barin Nag
2023
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11(2023), 4 vom: Dez., Artikel-ID 125, Seite 1-16:
Large-scale portfolio optimization using biogeography-based optimization Wendy Wijaya and Kuntjoro Adji Sidarto
2023
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11(2023), 4 vom: Dez., Artikel-ID 129, Seite 1-15:
Evaluation of factors contributing to the effectiveness of internal audit quality in Pakistani commercial banks Madiha Afzal
2023
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11(2023), 4 vom: Dez., Artikel-ID 130, Seite 1-27:
Extreme value theory modelling of the behaviour of Johannesburg stock exchange financial market data Maashele Kholofelo Metwane and Daniel Maposa
2023
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11(2023), 4 vom: Dez., Artikel-ID 131, Seite 1-10:
The Differential effects of internal control teams on investment decision making based on industry competition Hyunjung Choi
2023
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11(2023), 4 vom: Dez., Artikel-ID 133, Seite 1-18:
Machine learning to forecast financial bubbles in stock markets evidence from Vietnam Kim Long Tran, Hoang Anh Le, Cap Phu Lieu and Duc Trung Nguyen
2023
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11(2023), 4 vom: Dez., Artikel-ID 137, Seite 1-18:
Corporate digital transformation and M&A efficiency evidence based on Chinese listed companies Gui Ren, Zhenxian Huo, Jingjing Wang and Xihe Liu
2023
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11(2023), 4 vom: Dez., Artikel-ID 147, Seite 1-24:
Do MD&A risk disclosures reduce stock price crash risk? Evidence from China Fei Su, Lili Zhai and Jianmei Liu
2023
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11(2023), 4 vom: Dez., Artikel-ID 140, Seite 1-22:
Studying differing impacts of various monetary aggregates on the real economy Romeo Victor Ionescu, Costinela Fortea, Monica Laura Zlati and Valentin Marian Antohi
2023
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11(2023), 4 vom: Dez., Artikel-ID 122, Seite 1-13:
Blockholdings, dividend policy, stock returns and return volatility evidence from the UAE Umar Butt and Trevor William Chamberlain
2023
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11(2023), 4 vom: Dez., Artikel-ID 123, Seite 1-32:
A bibliometric analysis of the FinTech agility literature evolution and review Abdelkebir Sahid, Yassine Maleh, Shahram Atashi Asemanjerdi and Pedro Antonio Martín-Cervantes
2023
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11(2023), 4 vom: Dez., Artikel-ID 134, Seite 1-15:
The impact of monetary policy on the U.S. stock market since the COVID-19 pandemic Willem Thorbecke
2023
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11(2023), 4 vom: Dez., Artikel-ID 135, Seite 1-23:
Implementing toll road infrastructure financing in Indonesia critical success factors from the perspective of toll road companies Muhammad Fauzan, Heri Kuswanto and Christiono Utomo
2023
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11(2023), 4 vom: Dez., Artikel-ID 139, Seite 1-15:
Entrepreneurship dynamics assessing the role of macroeconomic variables on new business density in Euro area Lenka Vyrostková and Jaroslava Kádárová
2023
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11(2023), 4 vom: Dez., Artikel-ID 138, Seite 1-22:
Audit expectation gap in the external audit of banks in Mozambique Osvaldo Massicame, Helena Coelho Inácio and Maria Anunciação Bastos
2023
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11(2023), 4 vom: Dez., Artikel-ID 146, Seite 1-14:
A component expected shortfall approach to systemic risk an application in the South African financial industry Mathias Mandla Manguzvane and Sibusiso Blessing Ngobese
2023
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11(2023), 4 vom: Dez., Artikel-ID 150, Seite 1-14:
Climate change risks disclosure do business strategy and management characteristics matter? Mahfod M. Aldoseri and Maged M. Albaz
2023
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11(2023), 4 vom: Dez., Artikel-ID 151, Seite 1-19:
Impact of motivational workshop on financial inclusion of rural people in Bangladesh evidence from randomized controlled trial Md Monzur Morshed and Keshav Lall Maharjan
2023
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11(2023), 4 vom: Dez., Artikel-ID 141, Seite 1-23:
The impact of professionalism theory constructs on the applicability of forensic accounting services evidence from Jordan Razan Nayef Almashaqbeh, Hashem Alshurafat and Hamzeh Al Amosh
2023
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11(2023), 4 vom: Dez., Artikel-ID 120, Seite 1-18:
Behavioral biases and investment decisions of SMEs managers empirical analysis within the Moroccan context Khaoula Benayad and Mohammed Rachid Aasri
2023
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11(2023), 4 vom: Dez., Artikel-ID 126, Seite 1-19:
Bond issuance as reputational signal debunking the negative perception of additional liability Dachen Sheng and Heather A. Montgomery
2023
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11(2023), 4 vom: Dez., Artikel-ID 127, Seite 1-21:
An empirical analysis of the dynamics influencing bank capital structure in Africa Ayodeji Michael Obadire, Vusani Moyo and Ntungufhadzeni Freddy Munzhelele
2023
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11(2023), 4 vom: Dez., Artikel-ID 142, Seite 1-16:
Influence of transparency and disclosures on the dividend distribution decisions in the firms do profitability and efficiency of firms matter? Shailesh Rastogi, Geetanjali Pinto, Amit Kumar Pathak, Satyendra Pratap Singh, Arpita Sharma, Souvik Banerjee, Jagjeevan Kanoujiya and Pracheta Tejasmayee
2023
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11(2023), 4 vom: Dez., Artikel-ID 144, Seite 1-31:
Factor sufficiency in asset pricing an application for the Brazilian Market Rafaela Dezidério dos Santos Rocha and Márcio Laurini
2023
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11(2023), 4 vom: Dez., Artikel-ID 117, Seite 1-18:
Information sources for investment decisions evidence from Japanese investors Sumeet Lal, Abdul-Salam Sulemana, Trinh Xuan Thi Nguyen, Mostafa Saidur Rahim Khan and Yoshihiko Kadoya
2023
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11(2023), 4 vom: Dez., Artikel-ID 124, Seite 1-12:
Digital credit and its determinants a global perspective Tu D. Q. Le, Thanh Ngo and Dat T. Nguyen
2023
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11(2023), 4 vom: Dez., Artikel-ID 128, Seite 1-22:
Does economic policy uncertainty explain exchange rate movements in the economic community of West African States (ECOWAS) a panel ARDL approach Maud Korley and Evangelos Giouvris
2023
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11(2023), 4 vom: Dez., Artikel-ID 132, Seite 1-20:
Cultural influence on corporate sustainability a board of directors perspective Diana Escandon-Barbosa, Jairo Salas-Paramo and José Luis Duque
2023
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11(2023), 4 vom: Dez., Artikel-ID 136, Seite 1-17:
Assessing the performance and risk-adjusted returns of financial mutual funds Davinder K. Malhotra, Tim Mooney, Raymond Poteau and Philip Russel
2023
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11(2023), 4 vom: Dez., Artikel-ID 148, Seite 1-21:
Unveiling the dynamics of financial institutions and markets in shaping economic prosperity in MENA Ali Shaddady
2023
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11(2023), 4 vom: Dez., Artikel-ID 149, Seite 1-15:
Dynamic stability of public debt evidence from the eurozone countries Epameinondas Katsikas, Nikiforos T. Laopodis and Konstantinos Spanos
2023
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11(2023), 4 vom: Dez., Artikel-ID 143, Seite 1-10:
Causal relationships between oil prices and key macroeconomic variables in India Kamal P. Upadhyaya, Raja Nag and Franklin G. Mixon, Jr
2023
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11(2023), 4 vom: Dez., Artikel-ID 145, Seite 1-27:
Research on pricing methods of convertible bonds based on deep learning GAN models Gui Ren and Tao Meng
2023
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11(2023), 1 vom: März, Artikel-ID 43, Seite 1-18:
Do technological innovation and financial development affect inequality? evidence from BRICS countries Mduduzi Biyase, Talent Zwane, Precious Mncayi and Mokgadi Maleka
2023
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11(2023), 1 vom: März, Artikel-ID 47, Seite 1-19:
The empirical explanatory power of CAPM and the fama and French three-five factor models in the Moroccan stock exchange Asmâa Alaoui Taib and Safae Benfeddoul
2023
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11(2023), 2 vom: Juni, Artikel-ID 61, Seite 1-17:
Factors influencing accounting outsourcing using the transaction cost economics model Ivana Tomašević, Sandra Ðurović, Nikola Abramović, Lidija Weis and Viktor Koval
2023
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11(2023), 1 vom: März, Artikel-ID 49, Seite 1-21:
Anomalies and investor sentiment international evidence and the impact of size factor Bayram Veli Salur and Cumhur Ekinci
2023
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11(2023), 1 vom: März, Artikel-ID 51, Seite 1-10:
Pricing multidimensional American options Elettra Agliardi and Rossella Agliardi
2023
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11(2023), 2 vom: Juni, Artikel-ID 54, Seite 1-21:
Pre- and Post-COVID-19 the impact of US, UK, and European stock markets on ASEAN-5 stock markets Izaan Jamil, Mori Kogid, Thien Sang Lim and Jaratin Lily
2023
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11(2023), 1 vom: März, Artikel-ID 44, Seite 1-21:
Information technology governance and bank performance a situational approach Basheer Ahmad Khamees
2023
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11(2023), 2 vom: Juni, Artikel-ID 58, Seite 1-12:
Overreaction in a frontier market evidence from the Ho Chi Minh Stock Exchange Loc Dong Truong, Giang Ngan Cao, H. Swint Friday and Nhien Tuyet Doan
2023
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11(2023), 2 vom: Juni, Artikel-ID 64, Seite 1-17:
Non-Performing loans and Net Interest Margin in the MENA region linear and non-linear analyses Khalil Alnabulsi, Emira Kozarević and Abdelaziz Hakimi
2023
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11(2023), 1 vom: März, Artikel-ID 48, Seite 1-16:
Does audit committee busyness impact audit report lag? Awatif Hodaed Alsheikh and Warda Hodaed Alsheikh
2023
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11(2023), 1 vom: März, Artikel-ID 52, Seite 1-15:
Do CEO attributes spur conservatism? Rawan Atwa, Safaa Alsmadi, Buthiena Kharabsheh and Ruwaidah Haddad
2023
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11(2023), 2 vom: Juni, Artikel-ID 53, Seite 1-20:
Portfolio optimization using minimum spanning tree model in the Moroccan stock exchange market Younes Berouaga, Cherif El Msiyah and Jaouad Madkour
2023
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11(2023), 1 vom: März, Artikel-ID 45, Seite 1-13:
Relationship between capital structure and firm profitability evidence from Vietnamese listed companies Soa La Nguyen, Cuong Duc Pham, Tu Van Truong, Trong Van Phi, Linh Thuy Le and Trang Thu Thi Vu
2023
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11(2023), 2 vom: Juni, Artikel-ID 56, Seite 1-15:
Multiple blockholders and firm value a simulation analysis Annalisa Russino
2023
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11(2023), 2 vom: Juni, Artikel-ID 57, Seite 1-48:
Equity-Market-Neutral strategy portfolio construction using LSTM-Based stock prediction and selection an application to S&P500 consumer staples stocks Abdellilah Nafia, Abdellah Yousfi and Abdellah Echaoui
2023
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11(2023), 2 vom: Juni, Artikel-ID 59, Seite 1-13:
Reaction of US and Chinese stock markets to COVID-19 news Hock-Ann Lee, Venus Khim-Sen Liew, Mohd Fahmi Ghazali and Samina Riaz
2023
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11(2023), 2 vom: Juni, Artikel-ID 69, Seite 1-23:
Negative interest rates and its impact on GDP, FDI and banks' financial performance the cases of Switzerland and Sweden Petr Wawrosz and Semen Traksel
2023
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11(2023), 2 vom: Juni, Artikel-ID 72, Seite 1-16:
Lines of credit and family firms the case of an emerging market Ghada Tayem and Mohammad Tayeh
2023
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11(2023), 2 vom: Juni, Artikel-ID 73, Seite 1-17:
Winner strategies in a simulated stock market Ali Taherizadeh and Shiva Zamani
2023
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11(2023), 1 vom: März, Artikel-ID 46, Seite 1-15:
A combined AHP-PROMETHEE approach for portfolio performance comparison Mirza Sikalo, Almira Arnaut-Berilo and Adela Delalic
2023
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11(2023), 2 vom: Juni, Artikel-ID 65, Seite 1-14:
Internal control managers' accounting experiences on audit quality focus on ESG Suyon Kim
2023
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11(2023), 2 vom: Juni, Artikel-ID 66, Seite 1-20:
The effect of female directors on ESG practice evidence from China Hongyu Peng and Tirapot Chandarasupsang
2023
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11(2023), 2 vom: Juni, Artikel-ID 67, Seite 1-12:
Qualitative analysis of IAS 2 capability for handling the financial information generated by cost techniques Amer Morshed and Abdulhadi Ramadan
2023
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11(2023), 2 vom: Juni, Artikel-ID 68, Seite 1-19:
The effect of financial policies implemented during COVID-19 on bank credit in the Central American region Daniel Ventosa-Santaulària, Arnoldo Marmolejo and Luis Alvarado
2023
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11(2023), 1 vom: März, Artikel-ID 13, Seite 1-11:
The Adaptive dynamics of the Halloween effect evidence from a 120-Year sample from a small European market Júlio Lobão and Ana C. Costa
2023
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11(2023), 1 vom: März, Artikel-ID 14, Seite 1-16:
Sustainability initiatives, knowledge-intensive innovators, and firms' performance an empirical examination Rajesh Kumar Bhaskaran
2023
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11(2023), 1 vom: März, Artikel-ID 16, Seite 1-20:
What triggers corporate site visits, and do investors care? a comparison of buy-side and sell-side analyst site visits in China Dachen Sheng and Heather Montgomery
2023
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11(2023), 1 vom: März, Artikel-ID 15, Seite 1-25:
Renminbi internationalization process a quantitative literature review Ramona Orăștean and Silvia Cristina Mărginean
2023
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11(2023), 1 vom: März, Artikel-ID 29, Seite 1-15:
Analyzing the relationship between the features of direct real estate assets and their corresponding Australian - REITs Xinyi Li, Yuhong Zhang, Xing Zhang and Runtang Gu
2023
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11(2023), 1 vom: März, Artikel-ID 30, Seite 1-19:
How do stock market development and competitiveness affect equity risk premium? implications from world economies Tarek Eldomiaty, Marina Apaydin, Mona Yusuf and Mohamed Rashwan
2023
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11(2023), 1 vom: März, Artikel-ID 24, Seite 1-23:
Retirement income and financial market participation in New Zealand Xiaobo Xu, Martin Young, Liping Zou and Jiali Fang
2023
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11(2023), 1 vom: März, Artikel-ID 26, Seite 1-17:
The symmetric and asymmetric effect of remittances on financial development evidence from South Africa Mduduzi Biyase and Yourishaa Naidoo
2023
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11(2023), 1 vom: März, Artikel-ID 28, Seite 1-19:
The efficiency of Indonesian pension funds a two-stage additive network DEA approach Paskalis Seran, Usil Sis Sucahyo, Apriani Dorkas Rambu Atahau and Supramono Supramono
2023
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11(2023), 1 vom: März, Artikel-ID 34, Seite 1-16:
Does the level of enforcement shape the complexity in accounting standards? Ana Isabel Morais and Inês Pinto
2023
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11(2023), 1 vom: März, Artikel-ID 37, Seite 1-12:
Financial market participation and retirement age of the UK population M. Carmen Boado-Penas, Juan M. Nave and David Toscano
2023
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11(2023), 1 vom: März, Artikel-ID 38, Seite 1-15:
GALSTM-FDP a time-series modeling approach using hybrid GA and LSTM for financial distress prediction Amal Al Ali, Ahmed M. Khedr, Magdi El Bannany and Sakeena Kanakkayil
2023
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11(2023), 1 vom: März, Artikel-ID 5, Seite 1-21:
Stock movement prediction using machine learning based on technical indicators and google trend searches in Thailand Kittipob Saetia and Jiraphat Yokrattanasak
2022
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11(2023), 1 vom: März, Artikel-ID 8, Seite 1-16:
Will gold prices persist post pandemic period? an econometric evidence Sumathi Kumaraswamy, Yomna Abdulla and Shrikant Krupasindhu Panigrahi
2022
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11(2023), 1 vom: März, Artikel-ID 4, Seite 1-22:
The Impact of sustainability practices on share performance with mediation of board members experience a study on Malaysian listed companies Uzair Bhatti and Noralfishah Sulaiman
2022
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11(2023), 1 vom: März, Artikel-ID 9, Seite 1-27:
Adoption factors of Fintech evidence from an emerging economy country-wide representative sample Khaled Mahmud, Md. Mahbubul Alam Joarder and Kazi Muheymin-Us-Sakib
2022
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10(2022), 3 vom: Sept., Artikel-ID 47, Seite 1-19:
Inward FDI, IFRS adoption and institutional quality insights from the MENA countries Andrzej Cieślik and Sarhad Hamza
2022
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10(2022), 3 vom: Sept., Artikel-ID 48, Seite 1-21:
Does managerial ability lead to different cost stickiness behavior? evidence from ASEAN countries Mitha Dwi Restuti, Lindawati Gani, Elvia R. Shauki and Lianny Leo
2022
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10(2022), 3 vom: Sept., Artikel-ID 52, Seite 1-19:
Corporate governance and performance of pension funds in Ghana a mixed-method study Isaac Akomea-Frimpong, Emmanuel Senior Tenakwah, Emmanuel Junior Tenakwah and Mary Amponsah
2022
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10(2022), 3 vom: Sept., Artikel-ID 53, Seite 1-14:
Gender diversity in leadership a bibliometric analysis and future research directions Elisabete Vieira, Mara Madaleno and Júlio Lobão
2022
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10(2022), 3 vom: Sept., Artikel-ID 57, Seite 1-22:
Basel III capital regulations and bank efficiency evidence from selected African countries Ayodeji Michael Obadire, Vusani Moyo and Ntungufhadzeni Freddy Munzhelele
2022
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10(2022), 3 vom: Sept., Artikel-ID 58, Seite 1-32:
Asymptotic dependence modelling of the BRICS stock markets Caston Sigauke, Rosinah Mukhodobwane, Wilbert Chagwiza and Winston Garira
2022
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10(2022), 3 vom: Sept., Artikel-ID 69, Seite 1-15:
The consequence of takeover methods schemes of arrangement vs. takeover offers Hala Alqobali and Daniel Li
2022
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10(2022), 3 vom: Sept., Artikel-ID 75, Seite 1-24:
Optimal portfolios of national currencies, commodities and fuel, agricultural commodities and cryptocurrencies during the Russian-Ukrainian conflict Nikolaos A. Kyriazis
2022
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10(2022), 3 vom: Sept., Artikel-ID 76, Seite 1-22:
Do rare earths and energy commodities drive volatility transmission in sustainable financial markets? evidence from China, Australia, and the US Inzamam UI Haq, Hira Nadeem, Apichit Maneengam, Saowanee Samantreeporn, Nhan Huynh, Thasporn Kettanom and Worakamol Wisetsri
2022
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10(2022), 3 vom: Sept., Artikel-ID 79, Seite 1-26:
From white collar to influencer marketing? how banks can reach young customers Nicole Walzhofer, Marcus Riekeberg and Florian Follert
2022
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10(2022), 2 vom: Juni, Artikel-ID 45, Seite 1-14:
Retirement preparedness of Generation X compared to other cohorts in the United States Jia Qi, Swarn Chatterjee and Yingyi Liu
2022
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10(2022), 2 vom: Juni, Artikel-ID 46, Seite 1-12:
Dynamic factor rotation strategy a business cycle approach Dohyoung Kwon
2022
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10(2022), 3 vom: Sept., Artikel-ID 50, Seite 1-20:
Towards financing system of integrated enterprise development in the time of COVID-19 outbreak Kateryna Boichenko, Ștefan Cristian Gherghina, António Abreu, Mário Nuno Mata and José Moleiro Martins
2022
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10(2022), 3 vom: Sept., Artikel-ID 51, Seite 1-22:
Cryptocurrencies intraday high-frequency volatility spillover effects using univariate and multivariate GARCH models Apostolos Ampountolas
2022
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10(2022), 3 vom: Sept., Artikel-ID 60, Seite 1-16:
The role of internal audit to reduce the effects of creative accounting on the reliability of financial statements in the Jordanian Islamic banks Baker Akram Falah Jarah, Mufleh Amin AL Jarrah, Murad Ali Ahmad Al-Zaqeba, Mefleh Faisal Mefleh Al-Jarrah
2022
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10(2022), 3 vom: Sept., Artikel-ID 67, Seite 1-24:
Capital preservation and current spending with sovereign wealth funds and endowment funds a simulation study Knut Anton Mork, Haakon Andreas Trønnes and Vegard Skonseng Bjerketvedt
2022
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10(2022), 3 vom: Sept., Artikel-ID 68, Seite 1-14:
The effects of new accounting standards on firm value the K-IFRS 1116 Lease Hae Jin Chung
2022
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10(2022), 3 vom: Sept., Artikel-ID 70, Seite 1-23:
Is platinum a real store of wealth? Marek Vochozka, Andrea Bláhová and Zuzana Rowland
2022
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10(2022), 3 vom: Sept., Artikel-ID 71, Seite 1-23:
The influential factors of internal audit effectiveness a conceptual model Ayman Abdelrahim and Husam-Aldin N. Al-Malkawi
2022
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10(2022), 3 vom: Sept., Artikel-ID 73, Seite 1-11:
Earnings management and annual report readability the moderating effect of female directors Elvia R. Shauki and Eva Oktavini
2022
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10(2022), 3 vom: Sept., Artikel-ID 78, Seite 1-16:
Recurring rural destination sport events a study on participants' direct spending Eugenia Tzoumaka, Stella Leivadi and Kyriaki (Kiki) Kaplanidou
2022
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10(2022), 3 vom: Sept., Artikel-ID 81, Seite 1-19:
The financial/accounting impact of ffp on participating in European competitions an analysis of the Spanish league Alberto Calahorro-López, Melinda Ratkai and Julio Vena-Oya
2022
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10(2022), 4 vom: Dez., Artikel-ID 84, Seite 1-17:
Risk awareness for Vietnamese's life insurance on financial protection the case study of Daklak province, Vietnam Tran Thi Lan
2022
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10(2022), 4 vom: Dez., Artikel-ID 85, Seite 1-19:
Does trade credit financing affect firm performance? Evidence from an emerging market Abdullah Al Mahmud, Muhammad Shahin Miah and Mohammad Rakib Uddin Bhuiyan
2022
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10(2022), 4 vom: Dez., Artikel-ID 87, Seite 1-23:
CSR disclosures, CSR awards and corporate governance as determinants of the cost of debt evidence from Malaysia Shyamala Dhoraisingam Samuel, Sakthi Mahenthiran and Ravindran Ramasamy
2022
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10(2022), 4 vom: Dez., Artikel-ID 88, Seite 1-18:
Management accounting practices in the hospitality industry the Portuguese background Filipa Campos, Conceição Gomes, Lucília Cardoso and Luís Lima Santos
2022
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10(2022), 4 vom: Dez., Artikel-ID 90, Seite 1-20:
Examining the factors affecting the adoption of blockchain technology in the banking sector an extended UTAUT model Rabindra Kumar Jena
2022
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10(2022), 4 vom: Dez., Artikel-ID 91, Seite 1-10:
The role of motivated financial institutions on community currencies loans Rodrigo de Oliveira Leite, Layla dos Santos Mendes, Roberto Tommasetti,Vinicius Mothe Maia and Rodrigo Soto Larrain
2022
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10(2022), 4 vom: Dez., Artikel-ID 92, Seite 1-19:
FinTech entrepreneurial ecosystems exploring the interplay between input and output Ekaterina Koroleva
2022
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10(2022), 4 vom: Dez., Artikel-ID 96, Seite 1-23:
Optimal stopping methods for investment decisions a literature review Zhenya Liu and Yuhao Mu
2022
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10(2022), 4 vom: Dez., Artikel-ID 97, Seite 1-26:
Market reaction to local attention around earnings announcements in China evidence from internet search activity Qian Chen, Xiang Gao, Jianming Mo and Zhouling Xu
2022
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10(2022), 4 vom: Dez., Artikel-ID 101, Seite 1-24:
Financial uncertainty from a dual shock at global level-insights from Kuwait Talal A.N.M.S. Alotaibi and Lucía Morales
2022
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10(2022), 4 vom: Dez., Artikel-ID 102, Seite 1-14:
The size anomaly in Islamic stock indices a stochastic dominance approach Osamah AlKhazali, Hooi Hooi Lean and Taisier Zoubi
2022
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10(2022), 4 vom: Dez., Artikel-ID 106, Seite 1-16:
Impact of carbon tax and environmental regulation on inbound cross-border mergers and acquisitions volume an evidence from India Chandrika Raghavendra, Mahesh Rampilla, Venkata Ramana Thanikella and Isha Gupta
2022
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10(2022), 4 vom: Dez., Artikel-ID 108, Seite 1-23:
Decentralized Finance (DeFi) Projects a study of key performance indicators in terms of DeFi Protocols' valuations Dominik Metelski and Janusz Sobieraj
2022
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10(2022), 4 vom: Dez., Artikel-ID 110, Seite 1-30:
Risk-oriented efficiency assessment within the level of capitalization for financial institutions evidence from Turkish securities firms Gokben Cevikcan and Oktay Tas
2022
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10(2022), 4 vom: Dez., Artikel-ID 111, Seite 1-12:
Accrual management and firm-specific risk Yuni Pristiwati Noer Widianingsih, Doddy Setiawan, Y. Anni Aryani and Evi Gantyowati
2022
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10(2022), 4 vom: Dez., Artikel-ID 114, Seite 1-17:
A structural time series analysis of the effect of quantitative easing on stock prices George B. Tawadros and Imad A. Moosa
2022
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10(2022), 4 vom: Dez., Artikel-ID 86, Seite 1-26:
CSR in professional football in times of crisis new ways in a challenging new normal Severin J. S. Oeckl and Stephen Morrow
2022
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10(2022), 4 vom: Dez., Artikel-ID 95, Seite 1-18:
Volatility spillover effects of the US, European and Chinese financial markets in the context of the Russia-Ukraine conflict Mohamed Beraich, Karim Amzile, Jaouad Laamire, Omar Zirari and Mohamed Amine Fadali
2022
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10(2022), 4 vom: Dez., Artikel-ID 104, Seite 1-22:
Conciseness, financial disclosure, and market reaction textual analysis of annual reports in listed Chinese companies Fahd Alduais, Nashat Ali Almasria, Abeer Samara and Ali Masadeh
2022
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10(2022), 4 vom: Dez., Artikel-ID 113, Seite 1-16:
Relationship between stock returns and trading volume at the Bourse Régionale des Valeurs Mobilières, West Africa Jean-Pierre Gueyie, Mouhamadou Saliou Diallo, and Mamadou Fadel Diallo
2022
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10(2022), 1 vom: März, Artikel-ID 3, Seite 1-12:
Expiration-day effects of index futures in a frontier market the case of Ho Chi Minh Stock Exchange Anh Thi Kim Nguyen, Loc Dong Truong and H. Swint Friday
2022
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10(2022), 1 vom: März, Artikel-ID 4, Seite 1-20:
Consequences of social and environmental corporate responsibility practices managers' perception in Mozambique Eulália Madime and Tiago Cruz Gonçalves
2022
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10(2022), 1 vom: März, Artikel-ID 5, Seite 1-21:
Moderating effects of financial cognitive abilities and considerations on the attitude-intentions nexus of stock market participation Tahmina Akhter and Mohammad Enamul Hoque
2022
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10(2022), 1 vom: März, Artikel-ID 6, Seite 1-28:
The COVID-19 outbreak and risk-return spillovers between main and SME stock markets in the Mena region Nassar S. Al-Nassar and Beljid Makram
2022
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10(2022), 1 vom: März, Artikel-ID 9, Seite 1-20:
Portfolio constraints an empirical analysis Guido Abate, Tommaso Bonafini and Pierpaolo Ferrari
2022
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10(2022), 1 vom: März, Artikel-ID 1, Seite 1-13:
Effect of financial clusters on startup mergers and acquisitions Saurabh Ahluwalia and Sul Kassicieh
2022
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10(2022), 1 vom: März, Artikel-ID 2, Seite 1-17:
FinTech companies a bibliometric analysis Gencay Tepe, Umut Burak Geyikci and Fatih Mehmet Sancak
2022
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10(2022), 1 vom: März, Artikel-ID 8, Seite 1-15:
Effect of religiosity, perceived risk, and attitude on tax compliant intention moderated by e-filing Mekar Satria Utama, Umar Nimran, Kadarisman Hidayat and Arik Prasetya
2022
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10(2022), 1 vom: März, Artikel-ID 7, Seite 1-11:
Cannabis stocks returns the role of liquidity and investors' attention via google metrics Stephanos Papadamou, Alexandros Koulis, Constantinos Kyriakopoulos and Athanasios P. Fassas
2022
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10(2022), 1 vom: März, Artikel-ID 10, Seite 1-23:
Bootstrapping time-varying uncertainty intervals for extreme daily return periods Katleho Makatjane
2022
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10(2022), 2 vom: Juni, Artikel-ID 23, Seite 1-20:
Toxic asset subsidies and the early redemption of talf loans Linus Wilson
2022
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10(2022), 2 vom: Juni, Artikel-ID 26, Seite 1-17:
The moderating effects of host country governance and trade openness on the relationship between cultural distance and financial performance of foreign subsidiaries in Latin America Henrique Correa da Cunha, Nursel Selver Ruzgar and Vikkram Singh
2022
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10(2022), 2 vom: Juni, Artikel-ID 30, Seite 1-25:
Financial distress prediction of cooperative financial institutions evidence for Taiwan Credit Unions Chien-Min Kang, Ming-Chieh Wang and Lin Lin
2022
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10(2022), 2 vom: Juni, Artikel-ID 35, Seite 1-17:
Generational differences, risk tolerance, and ownership of financial securities evidence from the United States Johnson Antwi and Cephas B. Naanwaab
2022
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10(2022), 2 vom: Juni, Artikel-ID 38, Seite 1-26:
On the deterministic-shift extended CIR model in a negative interest rate framework Marco Di Francesco and Kevin Kamm
2022
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10(2022), 2 vom: Juni, Artikel-ID 39, Seite 1-27:
Exploring online payment system adoption factors in the age of COVID-19 evidence from the Turkish banking industry Melih Coskun, Ebru Saygili and Mehmet Oguz Karahan
2022
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10(2022), 2 vom: Juni, Artikel-ID 24, Seite 1-29:
Quantifying foreign exchange risk in the selected listed sectors of the Johannesburg Stock Exchange an SV-EVT pairwise copula approach Joel Hinaunye Eita and Charles Raoul Tchuinkam Djemo
2022
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10(2022), 2 vom: Juni, Artikel-ID 31, Seite 1-15:
The value of social capital for the success of SPAC IPOs Roszaini Haniffa, Mohammad Hudaib and Tasawar Nawaz
2022
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10(2022), 2 vom: Juni, Artikel-ID 33, Seite 1-27:
Market manipulation around seasoned equity offerings evidence prior to the global financial crisis of 2007-2009 Charlie Charoenwong, David K. Ding and Ping Wang
2022
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10(2022), 2 vom: Juni, Artikel-ID 37, Seite 1-14:
Factors affecting internal audit effectiveness empirical evidence from Vietnam Thu Trang Ta and Thanh Nga Doan
2022
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10(2022), 2 vom: Juni, Artikel-ID 25, Seite 1-24:
A textual analysis of logograms in Chinese IPO roadshows how agreement between investors and management relates to pricing and performance James C. Brau, James Cicon and Stephen R. Owen
2022
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10(2022), 2 vom: Juni, Artikel-ID 29, Seite 1-21:
The dynamic typology in the development process of credit union movements Chien-Min Kang, Ming-Chieh Wang and Lin Lin
2022
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10(2022), 2 vom: Juni, Artikel-ID 34, Seite 1-17:
Sentiment and style evidence from Republican managers Serkan Karadas, Jorida Papakroni and Minh Tam Tammy Schlosky
2022
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10(2022), 2 vom: Juni, Artikel-ID 40, Seite 1-20:
Corporate social responsibility risk and firm performance a network perspective Jiaqi Luo, Mingxiao Bi and Dandan Jia
2022
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10(2022), 2 vom: Juni, Artikel-ID 27, Seite 1-21:
Comovement across BRICS and the US stock markets a multitime scale wavelet analysis Musumba Batondo and Josine Uwilingiye
2022
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10(2022), 2 vom: Juni, Artikel-ID 28, Seite 1-16:
Markowitz mean-variance portfolio selection and optimization under a behavioral spectacle new empirical evidence Jules Clément Mba, Kofi Agyarko Ababio and Samuel Kwaku Agyei
2022
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10(2022), 2 vom: Juni, Artikel-ID 32, Seite 1-17:
Corporate governance, financial innovation and performance evidence from Taiwan's banking industry Lie-Huey Wang and Xin-Yuan Cao
2022
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10(2022), 2 vom: Juni, Artikel-ID 36, Seite 1-16:
A study of financial literacy of investors a bibliometric analysis Yasmeen Ansari, Mansour Saleh Albarrak, Noorjahan Sherfudeen and Arfia Aman
2022
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10(2022), 2 vom: Juni, Artikel-ID 41, Seite 1-21:
Politically connected independent commissioners and independent directors on the cost of debt Onong Junus, Iman Harymawan, Mohammad Nasih and Muslich Anshori
2022
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10(2022), 2 vom: Juni, Artikel-ID 42, Seite 1-14:
Innovation capabilities in the banking sector post-COVID-19 period the moderating role of corporate governance in an emerging country Cao Dinh Kien and Nguyen Huu That
2022
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10(2022), 3 vom: Sept., Artikel-ID 54, Seite 1-16:
A deep learning approach to dynamic interbank network link prediction Haici Zhang
2022
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10(2022), 3 vom: Sept., Artikel-ID 55, Seite 1-20:
Working capital behavior of firms during an economic downturn an analysis of the financial crisis era Erik Hofmann, Juuso Töyli and Tomi Solakivi
2022
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10(2022), 3 vom: Sept., Artikel-ID 62, Seite 1-27:
Zero-leverage puzzle revisited evidence from acquisition behaviors Chang Suk Bae and Hae Jin Chung
2022
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10(2022), 3 vom: Sept., Artikel-ID 74, Seite 1-18:
Key strategic decisions and their influences on the management and success of the Bank of America Chicago Marathon and the Marathon Valencia Trinidad Alfonso Juan L. Paramio-Salcines and Ramón Llopis-Goig
2022
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10(2022), 3 vom: Sept., Artikel-ID 77, Seite 1-18:
Unravelling factors influencing firm performance evidence from the SMEs in tourism industry Sarminah Samad
2022
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10(2022), 3 vom: Sept., Artikel-ID 82, Seite 1-15:
On the role of gender and age in the use of digital financial services in Zimbabwe Richard Chamboko
2022
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10(2022), 2 vom: Juni, Artikel-ID 43, Seite 1-21:
Determinants of time for publication annual reports empirical evidence from non-financial listed companies in Vietnam Anh Huu Nguyen, Hieu Thanh Nguyen, Chung Quang Tran and Lien Quynh Le
2022
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10(2022), 2 vom: Juni, Artikel-ID 44, Seite 1-15:
ICT as a key determinant of efficiency a bootstrap-censored quantile regression (BCQR) analysis for Vietnamese banks Tu D.Q. Le, Thanh Ngo, Tin H. Ho and Dat T. Nguyen
2022
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10(2022), 3 vom: Sept., Artikel-ID 49, Seite 1-14:
Dependence structure between Bitcoin and economic policy uncertainty evidence from time-frequency quantile-dependence methods Samia Nasreen, Aviral Kumar Tiwari, Zhuhua Jiang andSeong-Min Yoon
2022
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10(2022), 3 vom: Sept., Artikel-ID 59, Seite 1-18:
How does economic policy uncertainty affect momentum returns? evidence from China Peizhi Zhao and Yuyan Wang
2022
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10(2022), 3 vom: Sept., Artikel-ID 61, Seite 1-20:
Quality of Work Life (QWL) and its impact on the performance of the banking industry in Saudi Arabia Mohammad Ishfaq, Heitham Al-Hajieh and Majed Alharthi
2022
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10(2022), 3 vom: Sept., Artikel-ID 63, Seite 1-32:
Sustainability performance and the cost of capital Tiago Cruz Gonçalves, João Dias and Victor Barros
2022
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10(2022), 3 vom: Sept., Artikel-ID 64, Seite 1-19:
Markowitz mean-variance portfolio optimization with predictive stock selection using machine learning Apichat Chaweewanchon and Rujira Chaysiri
2022
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10(2022), 3 vom: Sept., Artikel-ID 65, Seite 1-21:
Taxing the digital economy through consumption taxes (VAT) in African countries possibilities, constraints and implications Favourate Y. Mpofu
2022
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10(2022), 3 vom: Sept., Artikel-ID 72, Seite 1-30:
Dynamic asymmetric effect of currency risk pricing of exchange rate on equity markets a regime-switching based C-Vine copulas method Benjamin Mudiangombe Mudiangombe and John Weirstrass Muteba Mwamba
2022
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10(2022), 4 vom: Dez., Artikel-ID 115, Seite 1-14:
Do customers want to communicate with insurers on social media? An investigation of the Swiss market Carlo Pugnetti, Johannes Becker and Cristian Zani
2022
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10(2022), 1 vom: März, Artikel-ID 12, Seite 1-18:
Towards money market in general equilibrium framework Truong Hong Trinh
2022
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10(2022), 1 vom: März, Artikel-ID 16, Seite 1-23:
Equity carve-outs, dual directors, and internal labor markets Pengda Fan
2022
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10(2022), 1 vom: März, Artikel-ID 17, Seite 1-19:
What do the consequences of environmental, social and governance failures tell us about the motivations for corporate social responsibility? Richard Walton
2022
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10(2022), 1 vom: März, Artikel-ID 20, Seite 1-15:
Efficient asset allocation application of game theory-based model for superior performance Mirza Sikalo, Almira Arnaut-Berilo and Azra Zaimovic
2022
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10(2022), 1 vom: März, Artikel-ID 21, Seite 1-16:
Examining risk absorption capacity as a mediating factor in the relationship between cognition and neuroplasticity in investors in investment decision making Yadav Devi Prasad Behera, Sudhansu Sekhar Nanda, Shibani Sharma and Tushar Ranjan Sahoo
2022
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10(2022), 1 vom: März, Artikel-ID 13, Seite 1-16:
Intraday patterns of liquidity on the Warsaw stock exchange before and after the outbreak of the COVID-19 pandemic Jakub Kubiczek and Marcin Tuszkiewicz
2022
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10(2022), 1 vom: März, Artikel-ID 14, Seite 1-10:
Do ADR firms have different dividend policies than U.S. firms? a comparative study Shenghui Tong, James Murtagh and Richard Proctor
2022
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10(2022), 1 vom: März, Artikel-ID 19, Seite 1-23:
Real earnings management, firm value, and corporate governance evidence from the Korean market Ana Belén Tulcanaza-Prieto and Younghwan Lee
2022
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10(2022), 4 vom: Dez., Artikel-ID 83, Seite 1-34:
Busy boards, entrenched directors and corporate innovation Brian Bolton and Jing Zhao
2022
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10(2022), 4 vom: Dez., Artikel-ID 93, Seite 1-18:
Impact of bank efficiency on the profitability of the banks in India an empirical analysis using panel data approach Suzan Dsouza, Mustafa Raza Rabbani, Iqbal Thonse Hawaldar and Ajay Kumar Jain
2022
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10(2022), 4 vom: Dez., Artikel-ID 94, Seite 1-14:
Being naked et quo hinc? : developing a "skin-in-the-game" solution for credit default swaps Shanuka Senarath, Pelma Rajapakse, Jan Job de Vries Robbé, Naveen Wickremeratne and Maduka Subasinghage
2022
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10(2022), 4 vom: Dez., Artikel-ID 99, Seite 1-15:
Improving returns on strategy decisions through integration of neural networks for the valuation of asset pricing the case of Taiwanese stock Yi-Chang Chen, Shih-Ming Kuo, Yonglin Liu, Zeqiong Wu and Fang Zhang
2022
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10(2022), 4 vom: Dez., Artikel-ID 103, Seite 1-10:
Holiday effect and stock returns evidence from stock exchanges of gulf cooperation council Prakash Pinto, Shakila Bolar, Iqbal Thonse Hawaldar, Aleyamma George and Abdelrhman Meero
2022
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10(2022), 4 vom: Dez., Artikel-ID 105, Seite 1-25:
Corporate cash holdings and exposure to macroeconomic conditions YoungHa Ki and Ramesh Adhikari
2022
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10(2022), 4 vom: Dez., Artikel-ID 107, Seite 1-18:
The determinants and impact of key audit matters disclosure in the auditor's report Hidaya Al Lawati and Khaled Hussainey
2022
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10(2022), 4 vom: Dez., Artikel-ID 98, Seite 1-29:
How do banking characteristics influence companies' debt features and performance during COVID-19? a study of Portuguese firms Pedro Manuel Nogueira Reis and António Pedro Soares Pinto
2022
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10(2022), 4 vom: Dez., Artikel-ID 100, Seite 1-15:
Inappropriate corporate strategies Latin American companies that increase their value by short-term liabilities Jorge Feregrino, Juan Felipe Espinosa-Cristia, Nelson Lay and Luis Leyton
2022
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10(2022), 4 vom: Dez., Artikel-ID 109, Seite 1-13:
The global pandemic, laboratory of the cashless economy? Jeremy Srouji and Dominique Torre
2022
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10(2022), 4 vom: Dez., Artikel-ID 112, Seite 1-19:
ASEAN-5 stock price index valuation after COVID-19 outbreak through GBM-MCS and VaR-SDPP methods Hersugondo Hersugondo, Endang Tri Widyarti, Di Asih I Maruddani and Trimono Trimono
2022
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10(2022), 1 vom: März, Artikel-ID 15, Seite 1-16:
Gender diversity on the board and firms' corporate social responsibility Cristina Gaio and Tiago Cruz Gonçalves
2022
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10(2022), 1 vom: März, Artikel-ID 18, Seite 1-19:
South African banks' cross-border systemic risk exposure an application of the gas copula marginal expected shortfall Mathias Mandla Manguzvane and John Weirstrass Muteba Mwamba
2022
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11(2023), 1 vom: März, Artikel-ID 1, Seite 1-12:
Solving constrained mean-variance portfolio optimization problems using spiral optimization algorithm Werry Febrianti, Kuntjoro Adji Sidarto and Novriana Sumarti
2022
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11(2023), 1 vom: März, Artikel-ID 3, Seite 1-18:
The other side of the "League of Stars" analysis of the financial situation of Spanish football Rudemarlyn Urdaneta-Camacho, Juan Carlos Guevara-Pérez, Emilio Martín Vallespín and Néstor Le Clech
2022
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11(2023), 1 vom: März, Artikel-ID 2, Seite 1-18:
The impact of financial derivatives on the enterprise value of Chinese listed companies moderating effects of managerial characteristics Ao Yang, Wenqi Li, Brian Sheng Xian Teo and Jaizah Othman
2022
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11(2023), 1 vom: März, Artikel-ID 10, Seite 1-16:
Using deep reinforcement learning with hierarchical risk parity for portfolio optimization Adrian Millea and Abbas Edalat
2022
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9(2021), 4 vom: Dez., Artikel-ID 56, Seite 1-20:
The effect of quantitative easing through google metrics on US stock indices Nikoletta Poutachidou and Stephanos Papadamou
2021
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9(2021), 3 vom: Sept., Artikel-ID 51, Seite 1-24:
Prosperity or real estate bubble? exuberance probability index of real housing prices in Chile Byron J. Idrovo-Aguirre, Francisco J. Lozano and Javier E. Contreras-Reyes
2021
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9(2021), 3 vom: Sept., Artikel-ID 52, Seite 1-22:
Do deposit insurance systems promote banking stability? Nafis Alam, Ganesh Sivarajah and Muhammad Ishaq Bhatti
2021
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9(2021), 4 vom: Dez., Artikel-ID 55, Seite 1-21:
Buy now and pay (dearly) later unraveling consumer financial spinning Olivier Mesly
2021
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9(2021), 4 vom: Dez., Artikel-ID 54, Seite 1-17:
Corporate social practices and firm financial performance empirical evidence from France Sonia Boukattaya and Abdelwahed Omri
2021
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9(2021), 3 vom: Sept., Artikel-ID 50, Seite 1-17:
The predictive ability of quarterly financial statements Hui Zhou, Worapree Ole Maneesoonthorn and Xiangjin Bruce Chen
2021
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9(2021), 2 vom: Juni, Artikel-ID 28, Seite 1-7:
#Bitcoin, #COVID-19 Twitter-based uncertainty and Bitcoin before and during the pandemic Joseph J. French
2021
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9(2021), 2 vom: Juni, Artikel-ID 29, Seite 1-17:
Modeling system risk in the South African insurance sector a dynamic mixture copula approach John Weirstrass Muteba Mwamba and Ehounou Serge Eloge Florentin Angaman
2021
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9(2021), 4 vom: Dez., Artikel-ID 72, Seite 1-20:
Bibliometric analysis for working capital identifying gaps, co-authorships and insights from a literature survey Vítor João Pereira Domingues Martinho
2021
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9(2021), 2 vom: Juni, Artikel-ID 30, Seite 1-22:
Assessing market risk in BRICS and oil markets an application of Markov switching and vine copula John Weirstrass Muteba Mwamba and Sutene Mwambetania Mwambi
2021
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9(2021), 2 vom: Juni, Artikel-ID 31, Seite 1-18:
Innovation and competitive intelligence in business a bibliometric analysis Carlos de las Heras-Rosas and Juan Herrera
2021
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9(2021), 3 vom: Sept., Artikel-ID 33, Seite 1-36:
Are cryptocurrencies a backstop for the stock market in a COVID-19-led financial crisis? evidence from the NARDL approach Ahmed Jeribi, Sangram Keshari Jena and Amine Lahiani
2021
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9(2021), 3 vom: Sept., Artikel-ID 36, Seite 1-10:
Seasoned equity offerings and differences in share-price impact by firm categories Saeed Md. Abdullah and Simon Zaby
2021
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9(2021), 4 vom: Dez., Artikel-ID 74, Seite 1-15:
The role of ownership structure and board characteristics in stock market liquidity Wajih Abbassi, Ahmed Imran Hunjra, Suha Mahmoud Alawi and Rashid Mehmood
2021
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9(2021), 2 vom: Juni, Artikel-ID 26, Seite 1-19:
The interactions between COVID-19 cases in the USA, the VIX index and major stock markets Simon Grima, Letife Özdemir, Ercan Özen and Inna Romānova
2021
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9(2021), 2 vom: Juni, Artikel-ID 27, Seite 1-14:
Accounting comparability and cash holdings in Vietnam Liem Thanh Nguyen and Khuong Vinh Nguyen
2021
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9(2021), 2 vom: Juni, Artikel-ID 32, Seite 1-24:
Relativistic option pricing Vitor H. Carvalho and Raquel M. Gaspar
2021
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9(2021), 3 vom: Sept., Artikel-ID 34, Seite 1-22:
CEO turnovers transparency of announcements and the outperformance puzzle Paul Farah and Hui Li
2021
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9(2021), 4 vom: Dez., Artikel-ID 73, Seite 1-17:
Adverse selection in P2P lending does peer screening work efficiently? : empirical evidence from a P2P platform Yao Wang and Zdenek Drabek
2021
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9(2021), 4 vom: Dez., Artikel-ID 57, Seite 1-18:
Did financial consumers benefit from the digital transformation? an empirical investigation Soojin Park, Prida Erni Kesuma and Man Cho
2021
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9(2021), 4 vom: Dez., Artikel-ID 62, Seite 1-21:
Do CEO duality and ownership concentration impact dividend policy in emerging markets? the moderating effect of crises period Anis El Ammari
2021
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9(2021), 4 vom: Dez., Artikel-ID 68, Seite 1-21:
The effect of corporate social responsibility on earnings management bibliometric review José Manuel Santos-Jaén, Ana León-Gómez and José Serrano-Madrid
2021
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9(2021), 1/2 vom: März, Seite 1-23:
The effects of government bonds on liquidity risk and bank profitability in Cape Verde José Carlos Teixeira, Carlos Vieira and Paulo Ferreira
2021
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9(2021), 1/9 vom: März, Seite 1-16:
The moderating role of perceived risks in the relationship between financial knowledge and the intention to invest in the Saudi Arabian stock market Saleh M. Shehata, Alaa M. Abdeljawad, Loqman A. Mazouz, Lamia Yousif Khalaf Aldossary, Maryam Y. Alsaeed and Mohamed Noureldin Sayed
2021
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9(2021), 1/6 vom: März, Seite 1-13:
Leading in Switzerland and Poland a case study of leadership practices in financial services Marc Steinmann and Carlo Pugnetti
2021
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9(2021), 1/7 vom: März, Seite 1-11:
Analysis of volatility volume and open interest for Nifty Index futures using GARCH analysis and VAR model Parizad Phiroze Dungore and Sarosh Hosi Patel
2021
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9(2021), 1/10 vom: März, Seite 1-12:
The role of betting on digital credit repayment, coping mechanisms and welfare outcomes evidence from Kenya Richard Chamboko and Sevias Guvuriro
2021
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9(2021), 1/1 vom: März, Seite 1-15:
Determinants of intercorporate investments an empirical investigation of Indian firms Vedika Saxena and Seshadev Sahoo
2021
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9(2021), 1/5 vom: März, Seite 1-19:
Intraday volatility spillovers among European financial markets during COVID-19 Faheem Aslam, Paulo Ferreira, Khurrum Shahzad Mughal and Beenish Bashir
2021
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9(2021), 3 vom: Sept., Artikel-ID 38, Seite 1-12:
The impact of higher education expansion on the educational wage premium in Taiwan 1985 to 2015 Chien-Liang Chen and Lin-Chuan Chen
2021
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9(2021), 3 vom: Sept., Artikel-ID 47, Seite 1-8:
Sell winners and buy losers? the impact of familiarity on individual investors' decision-making : experimental results Vladislav Zhdanov and Artem Simonov
2021
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9(2021), 4 vom: Dez., Artikel-ID 63, Seite 1-22:
Validation of corporate probability of default models considering alternative use cases Michael Jacobs, Jr
2021
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9(2021), 4 vom: Dez., Artikel-ID 65, Seite 1-33:
Reliability and accuracy of alternative default prediction models evidence from Slovakia Daniela Rybárová, Helena Majdúchová, Peter Štetka and Darina Luščíková
2021
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9(2021), 4 vom: Dez., Artikel-ID 67, Seite 1-16:
Consequences of COVID-19 on banking sector index artificial neural network model Hamzeh F. Assous and Dania Al-Najjar
2021
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9(2021), 4 vom: Dez., Artikel-ID 70, Seite 1-16:
A transmission of beta herding during subprime crisis in Taiwan's market DCC-MIDAS approach Yi-Chang Chen, Hung-Che Wu, Yuanyuan Zhang and Shih-Ming Kuo
2021
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9(2021), 1/11 vom: März, Seite 1-17:
A note on universal bilinear portfolios Alex Garivaltis
2021
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9(2021), 4 vom: Dez., Artikel-ID 64, Seite 1-21:
Board gender diversity and cash holdings empirical evidence from the European sport and leisure sector Panagiotis E. Dimitropoulos and Konstantinos Koronios
2021
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9(2021), 1 vom: März, Artikel-ID 16, Seite 1-20:
Why the par value of share matters to investors Tadeusz Dudycz and Bogumiła Brycz
2021
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9(2021), 2 vom: Juni, Artikel-ID 20, Seite 1-15:
Exploring investment behavior of women entrepreneur some future directions Umair Baig, Batool Muhammad Hussain, Vida Davidaviciene and Ieva Meidute-Kavaliauskiene
2021
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9(2021), 2 vom: Juni, Artikel-ID 21, Seite 1-8:
Revisiting banking stability using a new panel cointegration test Hassan B. Ghassan, Zakaria Boulanouar and Kabir M. Hassan
2021
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9(2021), 2 vom: Juni, Artikel-ID 17, Seite 1-24:
Earnings management of insolvent firms and the prediction of corporate defaults via discretionary accruals Sam Bock Park, Sung-Kyoo Kim and Sangryul Lee
2021
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9(2021), 2 vom: Juni, Artikel-ID 22, Seite 1-16:
Short-selling and financial performance of SMEs in China the mediating role of CSR performance Wenzhen Mai and Nik Intan Norhan binti Abdul Hamid
2021
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9(2021), 2 vom: Juni, Artikel-ID 23, Seite 1-12:
Common factors in the term structure of credit spreads and predicting the macroeconomy in Japan Takeshi Kobayashi
2021
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9(2021), 2 vom: Juni, Artikel-ID 24, Seite 1-13:
Does trading volume drive systemic banks' stock return volatility? lessons from the Greek banking system Athanasios Tsagkanos, Konstantinos Gkillas, Christoforos Konstantatos and Christos Floros
2021
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9(2021), 2 vom: Juni, Artikel-ID 19, Seite 1-13:
Tick size and price reversal after order imbalance Espen Sirnes and Minh Thi Hong Dinh
2021
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9(2021), 2 vom: Juni, Artikel-ID 25, Seite 1-25:
Improving audit reports a consensus between auditors and users Estibaliz Goicoechea, Fernando Gómez-Bezares and José Vicente Ugarte
2021
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9(2021), 2 vom: Juni, Artikel-ID 18, Seite 1-18:
Predicting extreme daily regime shifts in financial time series exchange/Johannesburg stock exchange all share index Katleho Makatjane and Ntebogang Moroke
2021
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9(2021), 3 vom: Sept., Artikel-ID 48, Seite 1-27:
The impact of ESG management on investment decision institutional investors' perceptions of country-specific ESG criteria So Ra Park and Jae Young Jang
2021
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9(2021), 4 vom: Dez., Artikel-ID 53, Seite 1-18:
Uncovering real earnings management pay attention to risk-taking behavior Samar Alharbi, Md Al Mamun and Nader Atawnah
2021
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9(2021), 3 vom: Sept., Artikel-ID 49, Seite 1-28:
The influence of government shareholding on dividend policy in Malaysia Philip Sinnadurai, Ravichandran Subramaniam and Susela Devi
2021
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9(2021), 1/13 vom: März, Seite 1-43:
Nonprofits and pass-throughs performance comparison Robert Hull and Shane Van Dalsem
2021
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9(2021), 1/15 vom: März, Seite 1-19:
Determinants of financial performance in China's intelligent manufacturing industry innovation and liquidity Guanghong Zhang and Yune Lee
2021
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9(2021), 1/12 vom: März, Seite 1-11:
Transmission of trading orders through communication line with relativistic delay Peter B. Lerner
2021
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9(2021), 3 vom: Sept., Artikel-ID 39, Seite 1-16:
Financial inclusion in emerging economies the application of machine learning and artificial intelligence in credit risk assessment David Mhlanga
2021
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9(2021), 3 vom: Sept., Artikel-ID 40, Seite 1-18:
Do green bonds act as a hedge or a safe haven against economic policy uncertainty? evidence from the USA and China Inzamam Ul Haq, Supat Chupradit and Chunhui Huo
2021
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9(2021), 3 vom: Sept., Artikel-ID 37, Seite 1-16:
Moderating effects of founders' role on the influence of internationalization on IPO performance of listed companies in Thailand Tharitsaya Kongkaew, Supa Tongkong and Sungworn Ngudgratoke
2021
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9(2021), 3 vom: Sept., Artikel-ID 41, Seite 1-15:
Efficiency in Vietnamese banking a meta-regression analysis approach Tin H. Ho, Dat T. Nguyen, Thanh Ngo and Tu D.Q. Le
2021
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9(2021), 3 vom: Sept., Artikel-ID 42, Seite 1-16:
The influence of corporate networks on the competitive advantage of high technology enterprises in China the mediating effects of dynamic capacities and ambidextrous combination Huayun Wang and Zhuoran Zhang
2021
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9(2021), 3 vom: Sept., Artikel-ID 45, Seite 1-14:
Corporate social responsibility proposals and firm valuation Pyung Kun Chu
2021
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9(2021), 4 vom: Dez., Artikel-ID 58, Seite 1-42:
Artificial intelligence approach to momentum risk-taking Ivan Cherednik
2021
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9(2021), 4 vom: Dez., Artikel-ID 59, Seite 1-17:
Supply chain finance cost-benefit differentials under reverse factoring with extended payment terms Hans-Martin Beyer and Bodo Herzog
2021
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9(2021), 4 vom: Dez., Artikel-ID 60, Seite 1-13:
The relation between intraday limit order book depth and spread Alexandre Aidov and Olesya Lobanova
2021
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9(2021), 4 vom: Dez., Artikel-ID 61, Seite 1-20:
CEO compensation in Korea is it different than in the US? : a comparison between Korean non-life insurance firms and US property-liability insurance firms Sangyong Han and Hyejeong Mun
2021
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9(2021), 4 vom: Dez., Artikel-ID 66, Seite 1-29:
Information disclosure in China's rising securitization market Xueer Chen and Chao Wang
2021
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9(2021), 4 vom: Dez., Artikel-ID 69, Seite 1-18:
Impact of MiFID II on Romanian stock market liquidity comparative analysis with a developed stock market Marius Cristian Miloș, Laura Raisa Miloș, Flavia Barna and Claudiu Boțoc
2021
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9(2021), 4 vom: Dez., Artikel-ID 71, Seite 1-15:
Has the EU-ETS financed the energy transition of the Italian power system? Massimiliano Caporin, Fulvio Fontini and Samuele Segato
2021
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9(2021), 3 vom: Sept., Artikel-ID 43, Seite 1-14:
The impact of the introduction of index futures on the daily returns anomaly in the Ho Chi Minh stock exchange Loc Dong Truong and H. Swint Friday
2021
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9(2021), 3 vom: Sept., Artikel-ID 44, Seite 1-16:
Fintech credit and bank efficiency international evidence Tu D.Q. Le, Tin H. Ho, Dat T. Nguyen and Thanh Ngo
2021
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9(2021), 3 vom: Sept., Artikel-ID 46, Seite 1-12:
The effects of business model on bank's stability Thuy Thu Nguyen, Hai Hong Ho, Duy Van Nguyen, Anh Cam Pham and Trang Thu Nguyen
2021
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8(2020), 4/59 vom: Okt., Seite 1-15:
Candlestick - the main mistake of economy research in high frequency markets Michał Dominik Stasiak
2020
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8(2020), 4/61 vom: Okt., Seite 1-10:
Dealing with carbon risk and the cost of debt evidence from the European market Fabio Pizzutilo, Massimo Mariani, Alessandra Caragnano and Marianna Zito
2020
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8(2020), 4/62 vom: Okt., Seite 1-10:
A quasi-closed-form solution for the valuation of American put options by Cristina Viegas and José Azevedo-Pereira
2020
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8(2020), 4/64 vom: Okt., Seite 1-13:
Compensations of top executives and M&A behaviors an empirical study of listed companies Jiao Xue, Heng Fan and Zhanxun Dong
2020
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8(2020), 4/66 vom: Okt., Seite 1-14:
Generalized hyperbolic distribution and portfolio efficiency in energy and stock markets of BRIC countries José Antonio Núñez-Mora and Eduardo Sánchez-Ruenes
2020
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8(2020), 4/72 vom: Nov., Seite 1-22:
Corporate social responsibility and firm value protection Daniel Ogachi and Zeman Zoltan
2020
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8(2020), 4/67 vom: Okt., Seite 1-18:
Population, income, and farmland pricing in an open economy Huijian Dong and Xiaomin Guo
2020
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8(2020), 4/69 vom: Okt., Seite 1-21:
A comprehensive approach for calculating banking sector risks Carmelo Salleo, Alberto Grassi and Constantinos Kyriakopoulos
2020
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8(2020), 1/9 vom: März, Seite 1-24:
The Bayesian approach to capital allocation at operational risk a combination of statistical data and expert opinion Mohamed Habachi and Saâd Benbachir
2020
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8(2020), 1/8 vom: März, Seite 1-13:
Determinants of indebtedness influence of behavioral and demographic factors Mahfuzur Rahman, Nurul Azma, Md Abdul Kaium Masud and Yusof Ismail
2020
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8(2020), 4/74 vom: Nov., Seite 1-14:
Correlation between the DJSI Chile and the financial indices of Chilean companies Karime Chahuán-Jiménez
2020
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8(2020), 4/70 vom: Nov., Seite 1-19:
A study on the pass-through rate of the exchange rate on the Liquid Natural Gas (LNG) import price in China Chaofeng Tang and Kentaka Aruga
2020
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8(2020), 4/76 vom: Nov., Seite 1-17:
Corporate social responsibility motives and financial performance by Muhannad Atmeh, Mohammad Shaban and Malek Alsharairi
2020
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8(2020), 4/77 vom: Nov., Seite 1-13:
The fractional step method versus the radial basis functions for option pricing with correlated stochastic processes Yusho Kagraoka
2020
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8(2020), 4/60 vom: Okt., Seite 1-24:
Do analysts' cash flow forecasts improve firm value? Hyun Min Oh, Sam Bock Park, and Jong Hyun Kim
2020
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8(2020), 4/63 vom: Okt., Seite 1-24:
Does regulation influence microfinance institutions to be more client-responsive? Zakir Morshed, Mohshin Habib and Christine Jubb
2020
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8(2020), 4/65 vom: Okt., Seite 1-28:
Internal vs. external corporate social responsibility at U.S. banks Brian Bolton
2020
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8(2020), 4/71 vom: Nov., Seite 1-16:
Monetary policy rule and taylor principle in Mongolia GMM and DSGE approaches Hiroyuki Taguchi and Ganbayar Gunbileg
2020
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8(2020), 4/73 vom: Nov., Seite 1-25:
The impact of financial statement comparability on earnings management evidence from frontier markets Wil Martens, Prem W. S. Yapa and Maryam Safari
2020
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8(2020), 4/75 vom: Nov., Seite 1-12:
The role of corporate culture in performance measurement and management systems Michaela Kotkova Striteska and David Zapletal
2020
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8(2020), 1/5 vom: März, Seite 1-18:
Key audit matters for production-to-order industry and conservatism Chang-yeol In, Taeheung Kim and Sambock Park
2020
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8(2020), 1/10 vom: März, Seite 1-9:
Market orientation and marketing innovation activities in the Czech manufacturing sector Marek Vokoun and Romana Píchová
2020
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8(2020), 1/7 vom: März, Seite 1-17:
Global economy new risks and leadership problems Viacheslav M. Shavshukov and Natalia A. Zhuravleva
2020
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8(2020), 1/11 vom: März, Seite 1-9:
The impact of education on household income in rural Vietnam Hung Van Vu
2020
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8(2020), 1/6 vom: März, Seite 1-16:
Comparative advantages of free trade port construction in shanghai under the belt and road initiative Hao Hu, Shufang Wang and Jin-liao He
2020
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8(2020), 1/2 vom: März, Seite 1-15:
Research on audit supervision of internet finance Hua Liu and Sheng Ge
2020
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8(2020), 1/1 vom: März, Seite 1-17:
Are corporate bond defaults contagious across sectors? Colin Ellis
2020
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8(2020), 4/79 vom: Dez., Seite 1-16:
The business sector, firm age, and performance the mediating role of foreign ownership and financial leverage Edmund Mallinguh, Christopher Wasike and Zeman Zoltan
2020
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8(2020), 3/45 vom: Sept., Seite 1-14:
Industry 4.0 in finance the impact of Artificial Intelligence (AI) on digital financial inclusion David Mhlanga
2020
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8(2020), 3/47 vom: Sept., Seite 1-27:
Debt origin and investment efficiency from Korea Heung Joo Jeon and Hyun Min Oh
2020
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8(2020), 3/52 vom: Sept., Seite 1-17:
Spillovers from the slowdown in China on financial and energy markets an application of VAR-VECH-TARCH models Caner Özdurak and Veysel Ulusoy
2020
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8(2020), 3/55 vom: Sept., Seite 1-14:
Evaluation of the reverse mortgage option in Korea a long straddle perspective Kyung Jin Choi, Byungkwon Lim and Jaehwan Park
2020
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8(2020), 1/13 vom: März, Seite 1-24:
State-dependent stock liquidity premium the case of the Warsaw stock exchange Szymon Stereńczak
2020
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8(2020), 2/26 vom: Juni, Seite 1-22:
Stock market contagion during the global financial crises evidence from the Chilean stock market Sakthi Mahenthiran, Tom Gjerde and Berta Silva
2020
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8(2020), 3/54 vom: Sept., Seite 1-17:
Robust optimization-based commodity portfolio performance Ramesh Adhikari, Kyle J. Putnam and Humnath Panta
2020
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8(2020), 3/56 vom: Sept., Seite 1-30:
Twenty years of mortgage banking in Slovakia Eva Horvatova
2020
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8(2020), 1/14 vom: März, Seite 1-20:
Portfolio choice for a resource-based sovereign wealth fund an analysis of cash flows Knut Anton Mork, Hanna Marisela Eap and Magnus Eskedal Haraldsen
2020
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8(2020), 1/15 vom: März, Seite 1-20:
Does geographical discrimination exist in online lending in China an empirical study based on Chinese loan platform Renren Tianlei Pi, Yaosen Liu and Jiahui Song
2020
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8(2020), 2/19 vom: Juni, Seite 1-18:
Jump driven risk model performance in cryptocurrency market Ramzi Nekhili and Jahangir Sultan
2020
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8(2020), 2/34 vom: Juni, Seite 1-14:
Investor sentiment and herding behavior in the Korean stock market Ki-Hong Choi and Seong-Min Yoon
2020
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8(2020), 3/39 vom: Sept., Seite 1-13:
Audit of museum marketing communication in the modern management context Václav Kupec, Michal Lukáč, Peter Štarchoň and Gabriela Pajtinková Bartáková
2020
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8(2020), 3/46 vom: Sept., Seite 1-32:
Pass-through and C corp outputs under TCJA Robert Hull
2020
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8(2020), 3/49 vom: Sept., Seite 1-15:
Forecasting credit ratings of EU banks Vasilios Plakandaras, Periklis Gogas, Theophilos Papadimitriou, Efterpi Doumpa and Maria Stefanidou
2020
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8(2020), 3/50 vom: Sept., Seite 1-24:
Conformity of annual reports to an integrated reporting framework ASE listed companies Ghada A. Altarawneh, and Asma’a Omar Al-Halalmeh
2020
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8(2020), 1/12 vom: März, Seite 1-14:
Dividend policy and institutional holdings evidence from Australia Thao Nguyen and Hui Li
2020
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8(2020), 2/36 vom: Juni, Seite 1-38:
Blockchain-enabled corporate governance and regulation Dulani Jayasuriya Daluwathumullagamage and Alexandra Sims
2020
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8(2020), 1/16 vom: März, Seite 1-15:
The role of "digitalization" in German sustainability bank reporting Florian Diener and Miroslav Špaček
2020
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8(2020), 2/21 vom: Juni, Seite 1-13:
Impact of capital regulation and market discipline on capital ratio selection a cross country study Ahmed Imran Hunjra, Qasim Zureigat and Rashid Mehmood
2020
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8(2020), 2/22 vom: Juni, Seite 1-13:
Corporate governance and stock price synchronicity empirical evidence from Vietnam Anh Huu Nguyen, Thu Minh Thi Vu and Quynh Truc Thi Doan
2020
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8(2020), 2/27 vom: Juni, Seite 1-36:
A holistic model validation framework for Current Expected Credit Loss (CECL) model development and implementation Michael Jacobs, Jr
2020
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8(2020), 2/28 vom: Juni, Seite 1-13:
Financial inclusion in Ethiopia is it on the right track? Tekeste Berhanu Lakew and Hossein Azadi
2020
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8(2020), 2/29 vom: Juni, Seite 1-10:
Towards improving households' investment choices in Tanzania does financial literacy really matter? Josephat Lotto
2020
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8(2020), 2/35 vom: Juni, Seite 1-17:
Does monetary policy influence the profitability of banks in New Zealand? Vijay Kumar, Sanjeev Acharya and Ly T.H. Ho
2020
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8(2020), 3/38 vom: Sept., Seite 1-13:
The determinants of the U.S. consumer sentiment linear and nonlinear models Marwane El Alaoui, Elie Bouri, and Nehme Azoury
2020
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8(2020), 3/40 vom: Sept., Seite 1-19:
Quality determination of the Saudi retail banking system and the challenges of Vision 2030 Mohammad Ishfaq, Heitham Al Hajieh and Majed Alharthi
2020
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8(2020), 3/43 vom: Sept., Seite 1-10:
The impacts of international political and economic events on Japanese financial markets Mirzosaid Sultonov
2020
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8(2020), 3/48 vom: Sept., Seite 1-20:
Financial and economic assessment of tidal stream energy a case study Stocker Klaus
2020
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8(2020), 3/53 vom: Sept., Seite 1-12:
The driving factors of EMU government bond yields the role of debt, liquidity and fiscal councils Anastasios Pappas and Ioannis Kostakis
2020
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8(2020), 3/57 vom: Sept., Seite 1-16:
Incomplete share repurchase programs in Vietnam completion rates and short-term returns Kien Cao, Thuy Nguyen, Hong Nguyen and Hien Bui
2020
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8(2020), 3/58 vom: Sept., Seite 1-21:
Stock-market behavior on ex-dates new insights from German stocks with tax-free dividend Felix Kreidl
2020
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8(2020), 2/37 vom: Juni, Seite 1-13:
The intersection of Islamic microfinance and women's empowerment a case study of Baitul Maal Wat Tamwil in Indonesia Ninik Sri Rahayu
2020
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8(2020), 1/18 vom: März, Seite 1-14:
Towards extending dividend puzzle debate what motivates distribution of corporate earnings in Tanzania? Josephat Lotto
2020
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8(2020), 2/24 vom: Juni, Seite 1-18:
Data envelopment analysis and multifactor asset pricing models Pablo Solórzano-Taborga, Ana Belén Alonso-Conde and Javier Rojo-Suárez
2020
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8(2020), 2/25 vom: Juni, Seite 1-9:
Efficiency of the Brazilian Bitcoin a DFA approach Derick Quintino, Jessica Campoli, Heloisa Burnquist and Paulo Ferreira
2020
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8(2020), 2/31 vom: Juni, Seite 1-13:
Evidence of intraday multifractality in European stock markets during the recent coronavirus (covid-19) outbreak Faheem Aslam, Wahbeeah Mohti and Paulo Ferreira
2020
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7(2019), 4/68, Seite 1-12:
Reverse engineering of option pricing an AI application Bodo Herzog and Sufyan Osamah
2019
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7(2019), 4/66, Seite 1-27:
Financial variables, market transactions, and expectations as functions of risk Victor Olkhov
2019
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7(2019), 4/58, Seite 1-8:
Stock price forecast accuracy and recommendation profitability of financial magazines Victor Tiberius and Laura Lisiecki
2019
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7(2019), 4/56, Seite 1-23:
The laws of motion of the broker call rate in the United States Alex Garivaltis
2019
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7(2019), 3/47, Seite 1-15:
Why so serious about foreign capital? Ashish Kumar Sedai
2019
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7(2019), 4/69, Seite 1-17:
Ownership of assets in Chinese shipping funds Hai Jin and Orestis Schinas
2019
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7(2019), 4/65, Seite 1-11:
Islamic finance and herding behavior theory a sectoral analysis for Gulf Islamic stock market Imed Medhioub and Mustapha Chaffai
2019
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7(2019), 1/17 vom: März, Seite 1-20:
Understanding cash sharing a sustainability model Leire San-Jose, Ana Beraza and Jose Luis Retolaza
2019
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7(2019), 2/33 vom: Juni, Seite 1-14:
Heavy metals might as well jump by Neil A. Wilmot
2019
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7(2019), 2/25 vom: Juni, Seite 1-14:
SME steeplechase when obtaining money is harder than innovating M. Belén Guercio, Lisana B. Martinez and Aurelio F. Bariviera
2019
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7(2019), 3/43 vom: Sept., Seite 1-31:
The determinants of FDI in Sub-Saharan economies a study of data from 1990-2017 Prince Jaiblai and Vijay Shenai
2019
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7(2019), 4/63, Seite 1-14:
The impact of macroeconomic news on Chinese futures Ruobing Liu, Jianhui Yang and Chuan-Yang Ruan
2019
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7(2019), 3/51, Seite 1-12:
Long-range behaviour and correlation in DFA and DCCA analysis of cryptocurrencies Natália Costa, César Silva and Paulo Ferreira
2019
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7(2019), 3/52, Seite 1-17:
Currency market efficiency revisited evidence from Korea Min-woo Kang
2019
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7(2019), 3/54, Seite 1-20:
The assessment of financial literacy new evidence from Europe Gianni Nicolini and Marlene Haupt
2019
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7(2019), 4/59, Seite 1-30:
Time varying spillovers between the online search volume and stock returns case of CESEE markets Tihana Škrinjarić
2019
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7(2019), 4/57, Seite 1-19:
The turn of the month effect on cee stock markets Peter Arendas and Jana Kotlebova
2019
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7(2019), 3/44, Seite 1-17:
Risk management of pension fund a model for salary evolution Guglielmo D'Amico, Ada Lika and Filippo Petroni
2019
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7(2019), 1/9 vom: März, Seite 1-30:
The effects of quantitative easing announcements on the mortgage market an event study approach Gang Wang
2019
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7(2019), 1/10 vom: März, Seite 1-10:
The role of canceled warrants in the LME market Jaehwan Park
2019
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7(2019), 1/15 vom: März, Seite 1-31:
Hedge fund performance during and after the crisis a comparative analysis of strategies 2007-2017 Nicola Metzger and Vijay Shenai
2019
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7(2019), 2/32 vom: Juni, Seite 1-9:
Effect of speculators' position changes on the LME futures market Jaehwan Park
2019
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7(2019), 2/21 vom: Juni, Seite 1-20:
Cross-border lending, government capital injection, and bank performance Jyh-Horng Lin, Pei-Chi Lii, Fu-Wei Huang and Shi Chen
2019
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7(2019), 3/41 vom: Sept., Seite 1-13:
A comprehensive study of project risks in road transportation networks under CPEC Sajjad Alam, Zhijun Yin, Ahmad Ali, Sikander Ali, Abdul Noor and Nadeem Jan
2019
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7(2019), 3/37 vom: Sept., Seite 1-11:
Empowering women through microcredit in bangladesh an empirical study Dalia Debnath, Md. Sadique Rahman, Debasish Chandra Acharjee, Waqas Umar Latif and Linping Wang
2019
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7(2019), 2/30 vom: Juni, Seite 1-19:
Investor attention and stock market activities new evidence from panel data Chaiyuth Padungsaksawasdi, Sirimon Treepongkaruna and Robert Brooks
2019
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7(2019), 2/27 vom: Juni, Seite 1-11:
Testing market efficiency with nonlinear methods evidence from Borsa Istanbul Fuzuli Aliyev
2019
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7(2019), 1/11 vom: März, Seite 1-17:
Howzat? the financial health of English cricket : not out, yet by Daniel Plumley, Rob Wilson, Robbie Millar and Simon Shibli
2019
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7(2019), 1/13 vom: März, Seite 1-11:
Performance bonuses and effort evidence from fight night awards in mixed martial arts Paul Gift
2019
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7(2019), 2/31 vom: Juni, Seite 1-14:
Two investment options for bearish ETF investors inverse ETF and shorting ETF Božena Chovancová, Michaela Dorocáková and Dagmar Linnertová
2019
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7(2019), 2/24 vom: Juni, Seite 1-11:
Country of origin effects on the average annual values of NHL player contracts Aju J. Fenn, Lucas Gerdes and Samuel Rothstein
2019
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7(2019), 2/23 vom: Juni, Seite 1-20:
Estimation of effects of recent macroprudential policies in a sample of advanced open economies Ragnar Nymoen, Kari Pedersen and Jon Ivar Sjåberg
2019
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7(2019), 2/22 vom: Juni, Seite 1-16:
Flobsion flexible option with benefit sharing Nikolay Khabarov, Ruben Lubowski, Andrey Krasovskii and Michael Obersteiner
2019
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7(2019), 2/18 vom: Juni, Seite 1-13:
The impact of macroeconomic factors on the German stock market evidence for the crisis, pre- and post-crisis periods Kaan Celebi and Michaela Hönig
2019
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7(2019), 2/29 vom: Juni, Seite 1-15:
Impacts of financial market shock on bank asset allocation from the perspective of financial characteristics of banks Kun Huang, Qiuge Yao and Chong Li
2019
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7(2019), 2/28 vom: Juni, Seite 1-13:
On unbalanced sampling in bankruptcy prediction Marek Gruszczyński
2019
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7(2019), 2/26 vom: Juni, Seite 1-22:
Stock market analysis a review and taxonomy of prediction techniques Dev Shah, Haruna Isah and Farhana Zulkernine
2019
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7(2019), 1/14 vom: März, Seite 1-18:
The impact of financial leverage on the variance of stock returns David Yechiam Aharon and Yossi Yagil
2019
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7(2019), 2/34 vom: Juni, Seite 1-12:
The predictive power of the user cost spread for economic recession in China and the US Dongfeng Chang, Ryan S. Mattson and Biyan Tang
2019
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7(2019), 2/19 vom: Juni, Seite 1-23:
The impact of college athletic success on donations and applicant quality Benjamin Baumer and Andrew Zimbalist
2019
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7(2019), 3/42 vom: Sept., Seite 1-12:
What are investors afraid of? finding the big bad wolf Barbara Alemanni and Pierpaolo Uberti
2019
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7(2019), 3/40 vom: Sept., Seite 1-17:
Liquidity creation and bank performance of Syrian banks before and during the Syrian war Ahmad Sahyouni and Man Wang
2019
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7(2019), 3/39 vom: Sept., Seite 1-35:
Forecasting term structure of interest rates in Japan Hokuto Ishii
2019
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7(2019), 3/36 vom: Sept., Seite 1-18:
Impact of CSR-relevant news on stock prices of companies listed in the Austrian Traded Index (ATX) Manuela Ender and Finn Brinckmann
2019