Content
September 2024, Volume 12, Issue 4
- 1-17 Corporate Governance and Employee Productivity: Evidence from Jordan
by Abdullah Ajlouni & Francisco Bastida & Mohammad Nurunnabi - 1-23 Examining the Impact of International Financial Reporting Standards Adoption on Financial Reporting Quality of Multinational Companies
by Amar Johri
November 2024, Volume 12, Issue 4
- 1-13 A Hybrid of Box-Jenkins ARIMA Model and Neural Networks for Forecasting South African Crude Oil Prices
by Johannes Tshepiso Tsoku & Daniel Metsileng & Tshegofatso Botlhoko - 1-14 Developing a Measure of Financial Privacy: A Pilot Study of U.S. College Students
by Thomas A. Hanson & Andrew J. Byrd - 1-16 Anonymity in Dealer-to-Customer Markets
by Daniela T. Di Cagno & Paola Paiardini & Emanuela Sciubba - 1-17 Black–Scholes 50 Years Later: Has the Outperformance of Passive Option Strategies Finally Faded?
by Andrew Kumiega & Greg Sterijevski & Eric Wills - 1-19 Factors Influencing Hotel Revenue Management in Times of Crisis: Towards Financial Sustainability
by Luís Lima Santos & Conceição Gomes & Cátia Malheiros & Catarina Crespo & Carla Bento - 1-20 Unraveling Youth Indebtedness in China: A Case Study Based on the “Debtors Avengers” Community on Douban
by Junan Zhang & Dong Liu - 1-20 Mobile Financial Services and the Shadow Economy in Southern African Countries: Does Regulatory Quality Matter?
by Adewale Hassan - 1-21 Unveiling Intangible Assets: Exploring Voluntary Disclosure and Its Interaction with Accounting Conservatism and Analyst Attention on Financing Constraints
by Congrong Li & Zhe Ning - 1-22 Quantile Spillovers and Connectedness Between Real Estate Investment Trust, the Housing Market, and Investor Sentiment
by Elroi Hadad & Thai Hong Le & Anh Tram Luong - 1-51 Corporate Social Responsibility and Country Governance: An International Comparative Study Amid the COVID-19 Pandemic
by Dimitrios Vortelinos & Ioannis Passas & Christos Floros & Alexandros Garefalakis
December 2024, Volume 12, Issue 4
- 1-14 Does the Size of a Bank Moderate the Relationship Between Income, Asset Diversification, and Bank Stability?
by Tabassum Chowdhury & Rashed Al Karim & Aisyah Awanis & Abrar Rownak - 1-18 More Quality, Less Trust?
by Michael Dreyfuss & Yahel Giat & Eran Manes - 1-18 The Mediating Role of Mobile Banking-Based Financial Inclusion Disclosure on the Relationship Between Foreign Investment and Bank Performance
by Omar Ikbal Tawfik & Mohammed Ali Ahmed & Hamada Elsaid Elmaasrawy - 1-19 Digital Financial Knowledge Scale (DFKS): Insights from a Developing Economy
by Kelmara Mendes Vieira & Taiane Keila Matheis & Eliete dos Reis Lehnhart & Fernando Oliveira Tavares - 1-20 Adapting the National Financial Capability Test to Address Generational Differences in Cognitive Biases
by Sergio Da Silva & Ana Paraboni & Raul Matsushita - 1-21 FinTech Implementation Challenges in the Palestinian Banking Sector
by Jamal Hurani & Mohammed Kayed Abdel-Haq & Emir Camdzic - 1-21 Innovation Capacity as a Mediating Mechanism Between Strategic Risk Integration and ESG Performance: Evidence from Jordanian Banks
by Munther Al-Nimer - 1-30 Food Financialization: Impact of Derivatives and Index Funds on Agri-Food Market Volatility
by María del Rosario Venegas & Jorge Feregrino & Nelson Lay & Juan Felipe Espinosa-Cristia - 1-30 Natural Cubic Spline Approximation of Risk-Neutral Density
by Shuang Zhou & Liyuan Jiang & Keren Li & Fangfang Wang & Jie Yang
October 2024, Volume 12, Issue 4
- 1-11 Do Foreign Investors Underperform or Outperform Domestic Investors in Trading Activities? Evidence from Indonesia
by Deddy P. Koesrindartoto & Aurelius Aaron & Shuqi Wang - 1-12 The Impact of Ownership Authority on Cash Conversion Cycle in Public Hospitals: A Comparative Analysis of Provincial and County Hospitals
by Bartlomiej Krzeczewski - 1-14 Estimating Tail Risk in Ultra-High-Frequency Cryptocurrency Data
by Kostas Giannopoulos & Ramzi Nekhili & Christos Christodoulou-Volos - 1-15 Overcoming Financial Constraints on Firm Innovation: The Role of R&D Human Capital
by Sung-Tae Lee & Sun-Moon Jung - 1-17 Financial Innovation and Crowdfunding: Influencing Investment Decisions in Tech Startups
by Kaimuk Panitkulpong & Amnuay Saengnoree & Thapong Teerawatananond - 1-19 The Real Value of CSR Performance in the NEV Industry: Evidence from China
by Qing Wu & Theeralak Satjawathee - 1-20 Research on the Impact of Economic Policy Uncertainty and Investor Sentiment on the Growth Enterprise Market Return in China—An Empirical Study Based on TVP-SV-VAR Model
by Junxiao Gui & Nathee Naktnasukanjn & Xi Yu & Siva Shankar Ramasamy - 1-22 The Impact of Corporate Social Responsibility on Cash Holdings: The Moderating Role of Board Gender Diversity
by Abdelmoneim Bahyeldin Mohamed Metwally & Saleh Aly Saleh Aly & Mohamed Ali Shabeeb Ali - 1-26 Exchange Rate Pass-Through on Prices in Nigeria—A Threshold Analysis
by Olajide O. Oyadeyi & Oluwadamilola A. Oyadeyi & Faith A. Iyoha - 1-29 Executive Green Perception and Green Innovation Improve New Quality Productivity in Chinese Listed Firms
by Jiaran Li & Haslindar Ibrahim - 1-30 Blockchain Tokens, Price Volatility, and Active User Base: An Empirical Analysis Based on Tokenomics
by Roberto Moncada & Enrico Ferro & Maurizio Fiaschetti & Francesca Medda - 1-31 The Impact of COVID-19 on the Fama-French Five-Factor Model: Unmasking Industry Dynamics
by Niall O’Donnell & Darren Shannon & Barry Sheehan & Badar Nadeem Ashraf
July 2024, Volume 12, Issue 3
- 1-11 Housing Price-Vacancy Dynamics—An Empirical Study of the Hong Kong Housing Market
by Chung Yim Yiu & Thomas Murray - 1-14 Normal Asset Allocations and Their Statistical Properties
by Luca Ghezzi - 1-17 Does the Bangladesh Equity Market Expose to Disposition Effects Bias under Different Market Conditions?
by Muhammad Enamul Haque & Mahmood Osman Imam - 1-19 China’s Stock Market under COVID-19: From the Perspective of Behavioral Finance
by Kaizheng Li & Xiaowen Jiang - 1-19 Economic Policy Uncertainty and Commercial Property Performance: An In-Depth Analysis of Rents and Capital Values
by Albert Agbeko Ahiadu & Rotimi Boluwatife Abidoye & Tak Wing Yiu - 1-19 The Influence of Social Responsibility Practices on Tax Planning: An Empirical Study for Companies Listed on Euronext Lisbon
by Pedro Ferreira Silva & Cristina Sá & Teresa Eugénio - 1-20 Exploring the Influence of Earnings Management on the Value Relevance of Financial Statements: Evidence from the Bucharest Stock Exchange
by Georgiana Burlacu & Ioan-Bogdan Robu & Ionela Munteanu - 1-23 Corporate Social Responsibility, Carbon Information Disclosure, and Enterprise Value: A Study of Listed Companies in China’s Highly Polluting Industries
by Feng Shi & Yuan Wang - 1-23 Analyzing Overnight Momentum Transmission: The Impact of Oil Price Volatility on Global Financial Markets
by Huthaifa Sameeh Alqaralleh - 1-33 Assessing the Resilience of Islamic Stocks in BRIC Countries: Analyzing Coherence and Cointegration with S&P 500 Options Implied Volatility Smirk during the Global Financial Crisis
by Ariful Hoque & Tanvir Bhuiyan & Thi Le - 1-45 Corporate Social Responsibility in Canadian Family Businesses: A Socioemotional Wealth Perspective
by Imen Latrous & Jihene Kchaou & Myriam Ertz & Yosra Mnif
September 2024, Volume 12, Issue 3
- 1-11 Financial Interdependencies: Analyzing the Volatility Linkages between Real Estate Investment Trusts, Sukuk, and Oil in GCC Countries
by Nevi Danila - 1-13 Statistical Modeling of Football Players’ Transfer Fees Worldwide
by Raffaele Poli & Roger Besson & Loïc Ravenel - 1-14 Does Managerial Power Explain the Association between Agency Costs and Firm Value? The French Case
by Dabboussi Moez - 1-16 Impacts of Digital Transformation and Basel III Implementation on the Credit Risk Level of Vietnamese Commercial Banks
by Ngan Bich Nguyen & Hien Duc Nguyen - 1-18 A Comprehensive Bibliometric Analysis of Real Estate Research Trends
by Salma El Bied & Lorenzo Ros Mcdonnell & Ma Victoria de-la-Fuente-Aragón & Diego Ros Mcdonnell - 1-21 Microcredit Pricing Model for Microfinance Institutions under Basel III Banking Regulations
by Patricia Durango-Gutiérrez & Juan Lara-Rubio & Andrés Navarro-Galera & Dionisio Buendía-Carrillo - 1-22 Deregulating the Volume Limit on Share Repurchases
by Adhiraj Sodhi & Aleksandar Stojanovic - 1-31 Appraising the Role of Strategic Control in Financial Performance: The Mediating Effect of the Resource Allocation Process—The Case of the Ministry of Finance–North Lebanon
by Basma Bchennaty & Muhammad Nauman Khan & Mazen Massoud & Tamima Elhassan
August 2024, Volume 12, Issue 3
- 1-15 Enhancing Value-at-Risk with Credible Expected Risk Models
by Khreshna Syuhada & Rizka Puspitasari & I Kadek Darma Arnawa & Lailatul Mufaridho & Elonasari Elonasari & Miftahul Jannah & Aniq Rohmawati - 1-16 The Determinants of Entrepreneurial Success: An Application to Micro-Enterprises Financed by Microcredit in France
by Serge Valant Gandja & Marinette Kamaha - 1-19 Efficiency of Healthcare Financing: Case of European Countries
by Aleksy Kwilinski & Alina Vysochyna - 1-20 Risk of Economic Violence: A New Quantification
by Federica D’Agostino & Giulia Zacchia & Marcella Corsi - 1-21 Corporate Culture, Special Items, and Firm Performance
by S. Thomas Kim & Li Sun - 1-23 The Influence of Women on Boards on the Relationship between Executive and Employee Remuneration
by María L. Gallén & Carlos Peraita - 1-23 The Probability of Hospital Bankruptcy: A Stochastic Approach
by Ramalingam Shanmugam & Brad Beauvais & Diane Dolezel & Rohit Pradhan & Zo Ramamonjiarivelo - 1-24 Optimal Market-Neutral Multivariate Pair Trading on the Cryptocurrency Platform
by Hongshen Yang & Avinash Malik - 1-24 The Relationship between Financial Literacy Misestimation and Misplacement from the Perspective of Inverse Differential Information and Stock Market Participation
by Yun-Ho Lee & Weihua Ma - 1-27 Breaking the Boundaries in the Digital Age: Open Banking and Tax Evasion
by Ngoc Thang Dang & Stelios Andreadakis & Pamela Nika & Monomita Nandy - 1-28 Unpacking the Complexity of Corporate Sustainability: Green Innovation’s Mediating Role in Risk Management and Performance
by Munther Al-Nimer - 1-29 Dealing with “Do Not Know” Responses in the Assessment of Financial Literacy: The Use of a Sample Selection Model
by Anna Conte & Paola Paiardini & Jacopo Temperini
June 2024, Volume 12, Issue 3
- 1-16 Financial Development and Economic Growth: Evidence from Low-Income Nations in the SADC Region
by Courage Mlambo - 1-20 Enhancing Forecasting Accuracy in Commodity and Financial Markets: Insights from GARCH and SVR Models
by Apostolos Ampountolas - 1-20 Ownership Structure and Bank Dividend Policies: New Empirical Evidence from the Dual Banking Systems of MENA Countries
by Hicham Sbai & Slimane Ed-Dafali & Hicham Meghouar & Muhammad Mohiuddin - 1-21 Perceptions of Cryptocurrencies and Modern Money before and after the COVID-19 Pandemic in Poland and Germany
by Marta Maciejasz & Robert Poskart & Daria Wotzka - 1-23 Generalized Loss-Based CNN-BiLSTM for Stock Market Prediction
by Xiaosong Zhao & Yong Liu & Qiangfu Zhao - 1-25 The Moderating Effect of Ownership Structure on the Relationship between Related Party Transactions and Earnings Quality: Evidence from Saudi Arabia
by Abdulaziz Alsultan & Khaled Hussainey - 1-35 AI-Driven Financial Analysis: Exploring ChatGPT’s Capabilities and Challenges
by Li Xian Liu & Zhiyue Sun & Kunpeng Xu & Chao Chen
March 2024, Volume 12, Issue 2
- 1-16 How Audit Fees Impact Earnings Management in Service Companies on the Amman Stock Exchange through Audit Committee Characteristics
by Ayman Shehadeh & Mahmoud Daoud Daoud Nassar & Husam Shrouf & Mohammad Haroun Sharairi - 1-16 Crowdfunding versus Traditional Banking: Alternative or Complementary Systems for Financing Projects in Portugal?
by Bruno Torres & Zélia Serrasqueiro & Márcio Oliveira - 1-18 Examining the Effects of the Pandemic on Entrepreneurial Activities among Urban Single Mothers: An Exploratory Study
by Abdullah Sallehhuddin Abdullah Salim & Norzarina Md Yatim & Salmi Md Zahid - 1-24 A Stochastically Correlated Bivariate Square-Root Model
by Allan Jonathan da Silva & Jack Baczynski & José Valentim Machado Vicente - 1-56 Forecasting Selected Commodities’ Prices with the Bayesian Symbolic Regression
by Krzysztof Drachal & Michał Pawłowski
April 2024, Volume 12, Issue 2
- 1-13 The Impact of Financial Development on Renewable Energy Consumption: The Case of Vietnam and Other ASEAN Members
by Chien Van Nguyen - 1-14 Social Capital and Cross-Border Venture Capital Investments in China
by Yi Tan & Xiaoli Wang & Jason Z. -H. Lee & Kun Shi - 1-15 Delaware Reincorporation and the Double-Exit Puzzle: Evidence from Post-Initial Public Offering Acquisitions
by Yang Xu & Vincent Jia & Xinze Qian & Haizhi Wang & Xiaotian Zhang - 1-15 Assessing the Circular Economy Funds: Performance, Fees, Risks, and Sustainability
by Fei Fang & Sitikantha Parida - 1-18 Synergizing Sustainability and Financial Prosperity: Unraveling the Structure of Business Profit Growth through Consumer-Centric Strategies—The Cases of Kosovo and Albania
by Enkeleda Lulaj & Blerta Dragusha & Eglantina Hysa & Marian Catalin Voica - 1-19 Determinants of Accounting Information Systems Success: The Case of the Greek Hotel Industry
by Ioannis E. Diavastis & Konstantinos A. Chrysafis & Georgia C. Papadopoulou - 1-21 Investigating ESG Funds in China: Management Fees and Investment Performance
by Michael C. S. Wong & Wei Li - 1-23 Data-Driven Sustainable Investment Strategies: Integrating ESG, Financial Data Science, and Time Series Analysis for Alpha Generation
by Afreen Sorathiya & Pradnya Saval & Manha Sorathiya
June 2024, Volume 12, Issue 2
- 1-12 The Effect of COVID-19 on Public and Private Sector Earnings Management: Evidence from Korea
by Woo-sahng Kim & Bo-young Moon & Dong-goo Jung - 1-15 Share Repurchases and Corporate Sustainability: Evidence from South Africa
by Frank Mouton & Carly Londt & Gerhard Cloete & Wynand Hattingh & Gretha Steenkamp - 1-25 Constant Leverage Covering Strategy for Equity Momentum Portfolio with Transaction Costs
by Mario Enrique Negrete - 1-28 Financial Decisions Based on Zero-Sum Games: New Conceptual and Mathematical Outcomes
by Pierpaolo Angelini
May 2024, Volume 12, Issue 2
- 1-11 Bank Accessibility and Entrepreneurial Activity: Evidence from Brazil
by Rodrigo de Oliveira Leite & Matheus Moura & Layla Mendes & Leonardo Henrique Lima de Pilla - 1-14 Navigating Risk Aversion and Regret
by Miwaka Yamashita - 1-16 The Effects of Interest Rates on Bank Risk-Taking in South Africa: Do Cyclical and Location Asymmetries Matter?
by Clement Moyo & Andrew Phiri - 1-16 The Impact of Political Risks on Financial Markets: Evidence from a Stock Price Crash Perspective
by Yanping Ma & Qian Wei & Xiang Gao - 1-17 The Impact of Value Creation (Tobin’s Q), Total Shareholder Return (TSR), and Survival (Altman’s Z) on Credit Ratings
by Nazário Augusto de Oliveira & Leonardo Fernando Cruz Basso - 1-17 International Diversification and Stock-Price Crash Risk
by Alireza Askarzadeh & Mostafa Kanaanitorshizi & Maryam Tabarhosseini & Dana Amiri - 1-18 Sovereign Green Bond Market: Drivers of Yields and Liquidity
by Kamila Tomczak - 1-20 Comparative Analysis of Spillover Effects in the Global Stock Market under Normal and Extreme Market Conditions
by Qiang Liu & Chen Xu & Jane Xie - 1-21 Determinants of Remuneration Committee Chairman’s Pay: Evidence from the UK
by Fadi Shehab Shiyyab - 1-22 Guidance Certification Effect and Governance Supervision Effect of Government Investment Funds
by Sheng Xu & Yaoxiong Li & Durell Esperance Manguet Ndinga - 1-27 Probability Distributions for Modeling Stock Market Returns—An Empirical Inquiry
by Jayanta K. Pokharel & Gokarna Aryal & Netra Khanal & Chris P. Tsokos
February 2024, Volume 12, Issue 1
- 1-15 Board Expertise Background and Firm Performance
by Chiou-Yann Lee & Chun-Ru Wen & Binh Thi-Thanh-Nguyen - 1-17 Synthetic Central Bank Digital Currencies and Systemic Liquidity Risks
by John E. Marthinsen & Steven R. Gordon - 1-18 Impact of the COVID-19 Market Turmoil on Investor Behavior: A Panel VAR Study of Bank Stocks in Borsa Istanbul
by Cumhur Ekinci & Oğuz Ersan - 1-18 Assessing Energy Mutual Funds: Performance, Risks, and Managerial Skills
by Davinder Malhotra & Srinivas Nippani - 1-18 The Use of Economic Indicators as Early Signals of Stock Market Progress: Perspectives from Market Potential Index
by Tarek Eldomiaty & Islam Azzam & Mostafa Fouad & Yasmeen Said - 1-19 Exploring the Dynamics of Profitability–Liquidity Relations in Crisis, Pre-Crisis and Post-Crisis
by Piotr Ratajczak & Dawid Szutowski & Jarosław Nowicki - 1-21 Predicting Healthcare Mutual Fund Performance Using Deep Learning and Linear Regression
by Anuwat Boonprasope & Korrakot Yaibuathet Tippayawong - 1-25 Impacts of Investor Attention and Accounting Information Comparability on Stock Returns: Empirical Evidence from Chinese Listed Companies
by Li Zhao & Nathee Naktnasukanjn & Ahmad Yahya Dawod & Bin Zhang - 1-34 Velocity of Money and Productivity Growth: Explaining the 2% Inflation Target in the U.S. (1959–2007)
by Christophe Faugere - 1-36 Revisiting the Effect of Dividend Policy on Firm Performance and Value: Empirical Evidence from the Korean Market
by Okechukwu Enyeribe Njoku & Younghwan Lee
March 2024, Volume 12, Issue 1
- 1-15 Decision Rules for Corporate Investment
by Reinier de Adelhart Toorop & Dirk Schoenmaker & Willem Schramade - 1-15 Revisiting the Quiet-Life Hypothesis in the Banking Sector: Do CEOs’ Personalities Matter?
by Tu D. Q. Le & Dat T. Nguyen & Thanh Ngo - 1-16 Dynamic Capital Structure Adjustment: An Integrated Analysis of Firm-Specific and Macroeconomic Factors in Korean Firms
by SungSup Brian Choi & Kudzai Sauka & MiYoung Lee - 1-17 Venture Capital and Dividend Policy
by Yi Tan & Xiaoli Wang & Xiaoyu Fu - 1-29 Unraveling the Dynamics of Intellectual Capital, Firm Performance, and the Influential Moderators—BIG4 Auditors and Group Affiliation
by Swati Mohapatra & Jamini Kanta Pattanayak - 1-35 Quantifying Impact, Uncovering Trends: A Comprehensive Bibliometric Analysis of Shadow Banking and Financial Contagion Dynamics
by Ionuț Nica & Camelia Delcea & Nora Chiriță & Ștefan Ionescu
January 2024, Volume 12, Issue 1
- 1-16 Firms’ Investment Level and (In)Efficiency: The Role of Accounting Information System Quality
by Cláudia Pereira & Beatriz Castro & Luís Gomes & Helena Canha - 1-16 How Local Finance and Enforcement Shaped SME Credit Choices before and during the COVID Crisis
by Francesco Fasano & Maurizio La Rocca & F. Javier Sánchez-Vidal & Maria Josephin Lio & Alfio Cariola - 1-17 Variable Considerations in ASC 606, Earnings Management and Business Continuity during Crisis
by Mohammed M. Yassin & Dea’a Al-Deen Al-Sraheen & Khaldoon Ahmad Al Daoud & Mohammad Alhadab & Farouq Altahtamouni - 1-17 Determinants of Operating Efficiency for the Jordanian Banks: A Panel Data Econometric Approach
by Rasha Istaiteyeh & Maysa’a Munir Milhem & Farah Najem & Ahmed Elsayed - 1-17 Board Structure, CEO Equity-Based Compensation, and Financial Performance: Evidence from MENA Countries
by Abdullah A. Aljughaiman & Abdulateif A. Almulhim & Abdulaziz S. Al Naim - 1-18 Market Shocks and Stock Volatility: Evidence from Emerging and Developed Markets
by Mosab I. Tabash & Neenu Chalissery & T. Mohamed Nishad & Mujeeb Saif Mohsen Al-Absy - 1-19 Is Artificial Intelligence Really More Accurate in Predicting Bankruptcy?
by Stanislav Letkovský & Sylvia Jenčová & Petra Vašaničová - 1-19 Predicting Operating Income via a Generalized Operating-Leverage Model
by Sherwood Lane Lambert & Kevin Krieger & Nathan Mauck - 1-20 The Influence of Airbnb Announcements on North American Capital Markets: Insights for Stakeholders
by Tchai Tavor - 1-21 A Systematic Review of Fintech and Banking Profitability
by Adey Tarawneh & Aisyah Abdul-Rahman & Syajarul Imna Mohd Amin & Mohd Fahmi Ghazali - 1-21 Bank Market Power, Firm Performance, Financing Costs and Capital Structure
by Marisa Pessoa Gonçalves & Pedro M. Nogueira Reis & António Pedro Pinto - 1-25 The Efficiency of Alternative and Conventional Energy Exchange-Traded Funds: Are Clean Energy Exchange-Traded Funds a Safer Asset?
by Carla Oliveira Henriques & Maria Elisabete Neves & João Jorge Couceiro - 1-25 The Impact of Intangible Capital on Firm Profitability in the Technology and Healthcare Sectors
by Voicu D. Dragomir
September 2023, Volume 11, Issue 4
- 1-29 Economic Disruptions in Repayment of Peer Loans
by David Maloney & Sung-Chul Hong & Barin Nag
October 2023, Volume 11, Issue 4
- 1-12 Digital Credit and Its Determinants: A Global Perspective
by Tu D. Q. Le & Thanh Ngo & Dat T. Nguyen - 1-13 Blockholdings, Dividend Policy, Stock Returns and Return Volatility: Evidence from the UAE
by Umar Butt & Trevor William Chamberlain - 1-16 Large-Scale Portfolio Optimization Using Biogeography-Based Optimization
by Wendy Wijaya & Kuntjoro Adji Sidarto - 1-17 The Impact of Family Ownership on Capital Structure and Business Performance
by Lenka Stryckova - 1-18 Information Sources for Investment Decisions: Evidence from Japanese Investors
by Sumeet Lal & Abdul-Salam Sulemana & Trinh Xuan Thi Nguyen & Mostafa Saidur Rahim Khan & Yoshihiko Kadoya - 1-18 Behavioral Biases and Investment Decisions of SMEs Managers: Empirical Analysis within the Moroccan Context
by Khaoula Benayad & Mohammed Rachid Aasri - 1-19 Bond Issuance as Reputational Signal: Debunking the Negative Perception of Additional Liability
by Dachen Sheng & Heather A. Montgomery - 1-20 Does Family Ownership Moderate the Relationship between Board Diversity and the Financial Performance of Saudi-Listed Firms
by Ayman Hassan Bazhair & Hamid Ghazi H Sulimany - 1-23 The Impact of Lending Relationships on the Lead Arrangers’ Retained Share
by Alemu Tulu Chala - 1-32 A Bibliometric Analysis of the FinTech Agility Literature: Evolution and Review
by Abdelkebir Sahid & Yassine Maleh & Shahram Atashi Asemanjerdi & Pedro Antonio Martín-Cervantes
December 2023, Volume 11, Issue 4
- 1-10 Causal Relationships between Oil Prices and Key Macroeconomic Variables in India
by Kamal P. Upadhyaya & Raja Nag & Franklin G. Mixon - 1-14 A Component Expected Shortfall Approach to Systemic Risk: An Application in the South African Financial Industry
by Mathias Mandla Manguzvane & Sibusiso Blessing Ngobese - 1-14 Climate Change Risks Disclosure: Do Business Strategy and Management Characteristics Matter?
by Mahfod M. Aldoseri & Maged M. Albaz - 1-15 Entrepreneurship Dynamics: Assessing the Role of Macroeconomic Variables on New Business Density in Euro Area
by Lenka Vyrostková & Jaroslava Kádárová - 1-15 Dynamic Stability of Public Debt: Evidence from the Eurozone Countries
by Epameinondas Katsikas & Nikiforos T. Laopodis & Konstantinos Spanos - 1-16 Influence of Transparency and Disclosures on the Dividend Distribution Decisions in the Firms: Do Profitability and Efficiency of Firms Matter?
by Shailesh Rastogi & Geetanjali Pinto & Amit Kumar Pathak & Satyendra Pratap Singh & Arpita Sharma & Souvik Banerjee & Jagjeevan Kanoujiya & Pracheta Tejasmayee - 1-19 Impact of Motivational Workshop on Financial Inclusion of Rural People in Bangladesh: Evidence from Randomized Controlled Trial
by Md Monzur Morshed & Keshav Lall Maharjan - 1-21 Unveiling the Dynamics of Financial Institutions and Markets in Shaping Economic Prosperity in MENA
by Ali Shaddady - 1-22 Studying Differing Impacts of Various Monetary Aggregates on the Real Economy
by Romeo Victor Ionescu & Costinela Fortea & Monica Laura Zlati & Valentin Marian Antohi - 1-23 The Impact of Professionalism Theory Constructs on the Applicability of Forensic Accounting Services: Evidence from Jordan
by Razan Nayef Almashaqbeh & Hashem Alshurafat & Hamzeh Al Amosh - 1-24 Do MD&A Risk Disclosures Reduce Stock Price Crash Risk? Evidence from China
by Fei Su & Lili Zhai & Jianmei Liu - 1-27 Research on Pricing Methods of Convertible Bonds Based on Deep Learning GAN Models
by Gui Ren & Tao Meng - 1-31 Factor Sufficiency in Asset Pricing: An Application for the Brazilian Market
by Rafaela Dezidério dos Santos Rocha & Márcio Laurini
November 2023, Volume 11, Issue 4
- 1-10 The Differential Effects of Internal Control Teams on Investment Decision Making Based on Industry Competition
by Hyunjung Choi - 1-15 Evaluation of Factors Contributing to the Effectiveness of Internal Audit Quality in Pakistani Commercial Banks
by Madiha Afzal - 1-15 The Impact of Monetary Policy on the U.S. Stock Market since the COVID-19 Pandemic
by Willem Thorbecke - 1-17 Assessing the Performance and Risk-Adjusted Returns of Financial Mutual Funds
by Davinder K. Malhotra & Tim Mooney & Raymond Poteau & Philip Russel - 1-18 Machine Learning to Forecast Financial Bubbles in Stock Markets: Evidence from Vietnam
by Kim Long Tran & Hoang Anh Le & Cap Phu Lieu & Duc Trung Nguyen - 1-18 Corporate Digital Transformation and M&A Efficiency: Evidence Based on Chinese Listed Companies
by Gui Ren & Zhenxian Huo & Jingjing Wang & Xihe Liu - 1-20 Cultural Influence on Corporate Sustainability: A Board of Directors Perspective
by Diana Escandon-Barbosa & Jairo Salas-Paramo & José Luis Duque - 1-21 An Empirical Analysis of the Dynamics Influencing Bank Capital Structure in Africa
by Ayodeji Michael Obadire & Vusani Moyo & Ntungufhadzeni Freddy Munzhelele - 1-22 Does Economic Policy Uncertainty Explain Exchange Rate Movements in the Economic Community of West African States (ECOWAS): A Panel ARDL Approach
by Maud Korley & Evangelos Giouvris - 1-22 Audit Expectation Gap in the External Audit of Banks in Mozambique
by Osvaldo Massicame & Helena Coelho Inácio & Maria Anunciação Bastos - 1-23 Implementing Toll Road Infrastructure Financing in Indonesia: Critical Success Factors from the Perspective of Toll Road Companies
by Muhammad Fauzan & Heri Kuswanto & Christiono Utomo - 1-27 Extreme Value Theory Modelling of the Behaviour of Johannesburg Stock Exchange Financial Market Data
by Maashele Kholofelo Metwane & Daniel Maposa
September 2023, Volume 11, Issue 3
- 1-14 A Review of the Implementation of Financial Technology (Fintech) in the Indonesian Agricultural Sector: Issues, Access, and Challenges
by Fathi Rufaidah & Tuti Karyani & Eliana Wulandari & Iwan Setiawan - 1-16 Hidden Ownership and Firm Performance: Evidence from Thailand’s Initial Public Offering Firms
by Natthawut Wangwan & Arnat Leemakdej - 1-17 Enhancing Financial Fraud Detection through Addressing Class Imbalance Using Hybrid SMOTE-GAN Techniques
by Patience Chew Yee Cheah & Yue Yang & Boon Giin Lee - 1-19 Green Electronic Auditing and Accounting Information Reliability in the Jordanian Social Security Corporation: The Mediating Role of Cloud Computing
by Ali Mahmoud Alrabei - 1-21 Unveiling Market Connectedness: Dynamic Returns Spillovers in Asian Emerging Stock Markets
by Maaz Khan & Mrestyal Khan & Umar Nawaz Kayani & Khurrum Shahzad Mughal & Roohi Mumtaz - 1-25 The Impact of Artificial Intelligence Disclosure on Financial Performance
by Fadi Shehab Shiyyab & Abdallah Bader Alzoubi & Qais Mohammad Obidat & Hashem Alshurafat - 1-27 Effects of Contract Governance on the Relation of Partnership Critical Success Factors and the Performance of Malaysia Public-Private Partnership Initiatives
by Azlan Shah Abdul Latif & Noor Azman Ali & Zahira Ishan & Nor Siah Jaharuddin & Rohail Hassan & Adibah Abdul Latif - 1-27 Market Reaction to Corporate Releases and News Articles: Evidence from Thailand’s Stock Market
by Likittanawong Supawat & Leemakdej Arnat - 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
by Nassar S. Al-Nassar
June 2023, Volume 11, Issue 3
- 1-12 Disclosure of Key Audit Matters: European Listed Companies’ Evidence on Related Parties Transactions
by Lioara-Veronica Pasc & Camelia-Daniela Hategan - 1-14 Microfinance, an Alternative for Financing Entrepreneurship: Implications and Trends-Bibliometric Analysis
by Katherine Coronel-Pangol & Doménica Heras-Tigre & Jonnathan Jiménez Yumbla & Juan Aguirre Quezada & Pedro Mora - 1-15 Assessing the Effective Use of State Property: Accounting and Analytical Support and Analysis Methodology
by Elena A. Fedchenko & Andrey V. Nikiforov & Lyubov V. Gusarova & Lyudmila M. Tsareva & Alexey A. Maximov - 1-15 The Role of Social Banking in the Success and Sustainable Business Continuity of SSMEs
by Eirini Stavropoulou & Konstantinos Spinthiropoulos & Alexandros Garefalakis & Konstantina Ragazou & Fragkiskos Gonidakis - 1-16 The Effects of Internal Governance Factors on Lending Portfolio Composition in Islamic Banks
by Nizar Yousef Ahmed Naim & Nora Azureen Abdul Rahman
August 2023, Volume 11, Issue 3
- 1-14 Bibliometric Review of Participatory Budgeting: Current Status and Future Research Agenda
by Miloš Milosavljević & Željko Spasenić & Jovan Krivokapić - 1-15 The Changing Landscape of Financial Credit Risk Models
by Tanja Verster & Erika Fourie - 1-16 Sentiments Extracted from News and Stock Market Reactions in Vietnam
by Loan Thi Vu & Dong Ngoc Pham & Hang Thu Kieu & Thuy Thi Thanh Pham - 1-16 Nexus of Financing Constraints and Supply Chain Finance: Evidence from Listed SMEs in China
by Sin-Huei Ng & Yunze Yang & Chin-Chong Lee & Chui-Zi Ong - 1-16 A Systematic Bibliometric Analysis of the Real Estate Bubble Phenomenon: A Comprehensive Review of the Literature from 2007 to 2022
by José-Francisco Vergara-Perucich - 1-20 The Effect of Capital Structure on Firm Value: A Study of Companies Listed on the Vietnamese Stock Market
by Thi Ngoc Bui & Xuan Hung Nguyen & Kieu Trang Pham - 1-20 What Influenced Hanoi’s Apartment Price Bubble between 2010 and 2021?
by Phuong Lan Le & Anh Tuan Do & Anh Ngoc Pham - 1-21 Bibliometric Review of Blended Finance and Partial Risk Guarantee: Establishing Needs and Advantages
by Kamakshi Sharma & Tusharika Mahna & Sonali Jain & Sanjay Dhir & Neeta Rao & Achin Biyani & Himanshu Sikka & Rishit Yadav & Sidharth Dua & Archish Gupta - 1-25 Uncovering the Effect of News Signals on Daily Stock Market Performance: An Econometric Analysis
by Shahid Raza & Sun Baiqing & Pwint Kay-Khine & Muhammad Ali Kemal
July 2023, Volume 11, Issue 3
- 1-11 The Retained Earnings Effect on the Firm’s Market Value: Evidence from Jordan
by Firas N. Dahmash & Hashem Alshurafat & Raed Hendawi & Abdallah Bader Alzoubi & Hamzeh Al Amosh - 1-15 Can Digital Financial Inclusion Promote Women’s Labor Force Participation? Microlevel Evidence from Africa
by Imane Elouardighi & Kenza Oubejja - 1-16 Do Share Repurchases Crowd Out Internal Investment in South Africa?
by Gretha Steenkamp & Nicolene Wesson - 1-17 Impact of Liquidity and Investors Sentiment on Herd Behavior in Cryptocurrency Market
by Siniša Bogdan & Natali Brmalj & Elvis Mujačević - 1-18 Building Trust in Fintech: An Analysis of Ethical and Privacy Considerations in the Intersection of Big Data, AI, and Customer Trust
by Hassan H. H. Aldboush & Marah Ferdous - 1-19 The Market’s View on Accounting Classifications for Asset Securitizations
by Minkwan Ahn - 1-20 Opening a New Era with Machine Learning in Financial Services? Forecasting Corporate Credit Ratings Based on Annual Financial Statements
by Mustafa Pamuk & Matthias Schumann - 1-22 Modeling Supply Chain Firms’ Stock Prices in the Fertilizer Industry through Innovative Cryptocurrency Market Big Data
by Damianos P. Sakas & Nikolaos T. Giannakopoulos & Markos Margaritis & Nikos Kanellos - 1-22 Board Compensation in Financial Sectors: A Systematic Review of Twenty-Four Years of Research
by Saleh F. A. Khatib & Hamzeh Al Amosh & Husam Ananzeh - 1-22 Forecasting Stock Market Prices Using Machine Learning and Deep Learning Models: A Systematic Review, Performance Analysis and Discussion of Implications
by Gaurang Sonkavde & Deepak Sudhakar Dharrao & Anupkumar M. Bongale & Sarika T. Deokate & Deepak Doreswamy & Subraya Krishna Bhat - 1-25 The Sustainability of Investing in Cryptocurrencies: A Bibliometric Analysis of Research Trends
by Mohammad Alqudah & Luis Ferruz & Emilio Martín & Hanan Qudah & Firas Hamdan