Content
June 2024, Volume 8, Issue 3
- 366-390 Behavioral perspective on sustainable finance: nudging investors toward SRI
by Amisha Gupta & Shumalini Goswami
May 2024, Volume 8, Issue 3
- 335-353 Banking sector and economic growth in the digital transformation era: insights from maximum likelihood and Bayesian structural equation modeling
by Abdullah Murrar & Bara Asfour & Veronica Paz - 445-459 Review of how the generalized regression estimators contribute to estimating the financial and economic data with missing observations under unequal probability sampling
by Nuanpan Lawson
September 2024, Volume 8, Issue 3
- 310-334 A risk based approach to the principal–agent problem
by Boualem Djehiche & Peter Helgesson
November 2024, Volume 8, Issue 3
- 430-444 An analysis of the effects of aging society on global stock markets
by Kansuda Pankwaen & Woraphon Yamaka & Paravee Maneejuk
July 2024, Volume 8, Issue 3
- 354-365 Using predictive methods to assess observation and measure importance
by William M. Briggs - 391-411 Dynamic linkages between the monetary policy variables and stock market in the presence of structural breaks: evidence from India
by Abdul Moizz & S.M. Jawed Akhtar - 412-429 Psychological capital: a literature review and research trends
by Thanh D. Nguyen & Thi H. Cao & Tuan M. Nguyen & Tuan T. Nguyen
March 2024, Volume 8, Issue 2
- 199-218 Confidence intervals for functions of signal-to-noise ratio with application to economics and finance
by Warisa Thangjai & Sa-Aat Niwitpong
January 2024, Volume 8, Issue 2
- 169-198 CEO power and stock price crash risk in India: the moderating effect of insider trades
by Ankita Kalia
July 2024, Volume 8, Issue 2
- 146-161 A model of regional housing markets in England and Wales
by Arnab Bhattacharjee & Chris Jensen-Butler
October 2023, Volume 8, Issue 2
- 240-266 Investigating “organizational maturity” in order to provide “blockchain banking service” based on “FinTech” (through “the CMMI” in “Parsian Bank”)
by Komeil Ali Taghavi & Mohammadreza Mashayekh
July 2023, Volume 8, Issue 2
- 219-239 Global financial connectivity and ineffectiveness of sovereign debt: implications for business activities in South Asia
by Muhammad Ayub Mehar
August 2023, Volume 8, Issue 2
- 267-293 Bank capital, earnings smoothing and provisioning practices in Nigeria: IFRS and risk evidence
by Abdulai Agbaje Salami & Ahmad Bukola Uthman
November 2023, Volume 8, Issue 2
- 162-168 How to select a model if we know probabilities with interval uncertainty?
by Vladik Kreinovich
March 2023, Volume 7, Issue 3
- 358-379 Does macroeconomic stability promote economic growth? Some econometric evidence from SAARC countries
by Md. Nur Alam Siddik
January 2023, Volume 7, Issue 3
- 424-434 Governance in financial institutions: key elements and preventing the failures
by Ashish Srivastava
February 2023, Volume 7, Issue 3
- 380-396 Determinants of efficiency of non-bank financial institutions: an empirical evidence from Bangladesh
by Mohammad Mizenur Rahman & Syed Mohammad Khaled Rahman & Sakib Ahmed
September 2023, Volume 7, Issue 3
- 294-309 Predicting Chinese stock prices using convertible bond: an evidence-based neural network approach
by Paravee Maneejuk & Binxiong Zou & Woraphon Yamaka
July 2023, Volume 7, Issue 3
- 333-357 Gain-probability diagrams as an alternative to significance testing in economics and finance
by David Trafimow & Ziyuan Wang & Tingting Tong & Tonghui Wang
August 2023, Volume 7, Issue 3
- 310-332 An analysis of dependency of stock markets after unlimited QE announcements during COVID-19 pandemic
by Ornanong Puarattanaarunkorn & Kittawit Autchariyapanitkul & Teera Kiatmanaroch
March 2023, Volume 7, Issue 2
- 191-196 How to reach a joint decision with the smallest need for compromise
by Sofia Holguin & Olga Kosheleva
July 2023, Volume 7, Issue 2
- 166-179 A prelude to statistics arising from optimal transport theory
by Hung T. Nguyen
June 2023, Volume 7, Issue 2
- 180-190 A partial solution for the replication crisis in economics
by William M. Briggs
February 2022, Volume 7, Issue 3
- 435-453 Has bank credit really impacted agricultural productivity in the Central African Economic and Monetary Community?
by Chi Aloysius Ngong & Chinyere Onyejiaku & Dobdinga Cletus Fonchamnyo & Josaphat Uchechukwu Joe Onwumere
December 2022, Volume 7, Issue 3
October 2022, Volume 7, Issue 2
- 217-233 The gold price – Inflation relation in the case of Vietnam: empirical investigation in the presence of structural breaks
by Thuy Hang Duong - 234-250 Impression management tactics in Covid-19 related disclosures: a study on the annual reports of Bangladeshi listed insurance companies
by Dewan Mahboob Hossain & Md. Saiful Alam & Mohammed Mehadi Masud Mazumder - 251-276 Market competition, capital regulation and cost of financial intermediation: an empirical study on the banking sector of Bangladesh
by MD. Rasel Mia - 277-292 Foreign direct investment and stock market development in Nepal
by Keshab Khatri Chettri & Jeevan Kumar Bhattarai & Ramji Gautam
September 2022, Volume 7, Issue 2
October 2021, Volume 8, Issue 2
- 294-306 Money supply, inflation and output: an empirically comparative analysis for Vietnam and China
by Pham Dinh Long & Bui Quang Hien & Pham Thi Bich Ngoc