Content
March 2025, Volume 18, Issue 3
- 1-4 Financial Econometrics and Quantitative Economic Analysis
by Sergej Gričar & Nemanja Lojanica & Tamara Backović - 1-13 Financial Literacy and Behavioral Intention to Use Central Banks’ Digital Currency: Moderating Role of Trust
by Mohanamani Palanisamy & Maria Tresita Paul Vincent & Md Billal Hossain - 1-14 Entrepreneurship and Student Loans: An Analysis of the Association Between Self-Employment and Student Loans
by Christopher Wertheim & Leobardo Diosdado & Sandra DeGrassi & Alexandra Theodossiou & Eugene Bland - 1-14 The Greater Sustainability of Stablecoins Relative to Other Cryptocurrencies
by Adi Wolfson & Gerard Khaladjan & Yotam Lurie & Shlomo Mark - 1-15 Managing Financial and Operational Risks Through Digital Transformation: The Mediating Influence of Information and Communication Technologies’ Adoption and Resistance to Change
by Siham Slassi-sennou & Soufiane Elmouhib - 1-15 The Impact of Eurasian Economic Union Membership on Mutual Trade in Services: What Are the Challenges for Small Economies?
by Davit Hakhverdyan & Ruzanna Tadevosyan & Anna Pakhlyan & Svetlana Ratner - 1-15 Impact of Infrastructure Development on Foreign Direct Investment in BRICS Countries
by Kunofiwa Tsaurai - 1-15 Financial Literacy, Financial Knowledge, and Financial Behaviors in OECD Countries
by Manuel Carlos Nogueira & Luís Almeida & Fernando Oliveira Tavares - 1-16 The Effect of the Audit Committee on the Voluntary Risk Disclosure in Jordanian Commercial Banks: The Moderating Role of Family Ownership
by Abdullah Al Maani & Ola Buraik & Asmaa Al-Amarneh & Mohammad Almashaqbeh - 1-16 The Impact of the Legal Environment on Bank Profitability: An Empirical Analysis of the Angolan Banking Sector
by João Jungo & Cláudio Félix Canguende-Valentim - 1-16 Risk–Response Budgeting: A Financial Optimization Approach to Project Risk Management
by Yossi Hadad & Baruch Keren - 1-17 Machine Learning as a Tool for Assessment and Management of Fraud Risk in Banking Transactions
by Antonio Dichev & Silvia Zarkova & Petko Angelov - 1-17 Artificial Intelligence in Financial Behavior: Bibliometric Ideas and New Opportunities
by Aliya Bayakhmetova & Lyudmila Rudenko & Liubov Krylova & Buldyryk Suleimenova & Shakizada Niyazbekova & Ardak Nurpeisova - 1-17 The Determinants of CEO Compensation in the Banking Sector: A Comparison of the Influence of Cross-Listing and Loan Growth in Developed Versus Developing Countries
by Ben Le & Nischala Reddy & Paula Hearn Moore - 1-19 A Selective Systematic Review and Bibliometric Analysis of Gender and Financial Literacy Research in Developing Countries
by Carol Wangari Maina & Diána Koponicsné Györke - 1-19 The Role of Organizational Culture in Digital Transformation and Modern Accounting Practices Among Jordanian SMEs
by Elina F. Hasan & Mohammad Abdalkarim Alzuod & Khalid Hasan Al Jasimee & Sajead Mowafaq Alshdaifat & Areej Faeik Hijazin & Laith T. Khrais - 1-20 Determinants of Financial Risks Pre- and Post-COVID-19 in Companies Listed on Euronext Lisbon
by Graça Azevedo & Jonas Oliveira & Tatiana Almeida & Maria Fátima Ribeiro Borges & Maria C Tavares & José Vale - 1-20 The Impact of Audit Quality and Female Audit Committee Characteristics on Earnings Management: Evidence from the UK
by Naila Amara & Saad Bourouis & Sajead Mowafaq Alshdaifat & Houssam Bouzgarrou & Hamzeh Al Amosh - 1-20 Is Globalization Coming to an End Due to the Rise in Income Inequality?
by Vladimir Popov - 1-20 Environmental, Social, and Governance (ESG) and Firm Valuation: The Moderating Role of Audit Quality
by Mika Vaihekoski & Habeeb Yahya - 1-20 Crowdfunding Amidst FinTech Winter: Complement or Substitute?
by Shadi Al Shebli & Ahmet Faruk Aysan & Ruslan Nagayev - 1-20 Research on the Influence of Government-Guided VC Funds on Regional Economic Development
by Xiaoli Wang & Yi Tan - 1-21 Navigating the Trade-Offs: The Impact of Aggressive Working Capital Policies on Stock Return Volatility
by Chun-Hao Chang & Julia Chou & Krishnan Dandapani - 1-21 Determinants of Financial Performance in Advertising and Marketing Companies: Evidence from Central and Eastern European Countries
by Tetiana Zavalii & Serhii Lehenchuk & Lyudmyla Chyzhevska & Iryna Hrabchuk - 1-21 Exploring Parallel Compound Real Options in MNCs International Transactions
by Andrejs Čirjevskis - 1-21 Implementation of Sustainability Strategies in Operations and Abnormal Stock Returns Under Uncertainty: Evidence from Companies Listed on the Vietnamese Stock Market During the COVID-19 Outbreak
by Nguyen Thi Ngoc Hoa & Khuu Thi Phuong Dong & Nguyen Kim Khanh & Nguyen Minh Canh - 1-22 Investing in Residential Real Estate: Understanding Homebuilder Exchange-Traded Fund Performance
by Robert W. McLeod & Davinder K. Malhotra - 1-22 Heterogeneous Links Between Corruption and Innovation in a Global Economy
by Roberto Iorio & Maria Luigia Segnana - 1-23 Revisiting the Fraud Triangle in Corporate Frauds: Towards a Polygon of Elements
by Paolo Roffia & Michele Poffo - 1-23 Chinese vs. US Stock Market Transmission to Australasia, Hong Kong, and the ASEAN Group
by Richard C. K. Burdekin & Ran Tao - 1-24 Price Gaps and Volatility: Do Weekend Gaps Tend to Close?
by Marnus Janse van Rensburg & Terence Van Zyl - 1-24 Risk-Adjusted Performance of Random Forest Models in High-Frequency Trading
by Akash Deep & Abootaleb Shirvani & Chris Monico & Svetlozar Rachev & Frank Fabozzi - 1-24 Exploring the Relationship Between Financial Education, Financial Attitude, Financial Advice, and Financial Knowledge: Insights Through Financial Capabilities and Financial Well-Being
by Arturo García-Santillán & Ma. Teresa Zamora-Lobato & Esmeralda Tejada-Peña & Liduvina Valencia-Márquez - 1-25 Financial Systems and Their Influence on Entrepreneurial Development: Insights for Building Sustainable and Inclusive Ecosystems
by Olha Prokopenko & Diana Sitenko & Zamzagul Zhanybayeva & Iryna Lomachynska & Aibota Rakhmetova - 1-25 Factors Influencing the Adoption of FinTech for the Enhancement of Financial Inclusion in Rural India Using a Mixed Methods Approach
by Rabindra Kumar Jena - 1-25 Optimizing Portfolios with Pakistan-Exposed Exchange-Traded Funds: Risk and Performance Insight
by Ali Jaffri & Abootaleb Shirvani & Ayush Jha & Svetlozar T. Rachev & Frank J. Fabozzi - 1-26 The Role of Innovation Development in Advancing Green Finance
by Aleksy Kwilinski & Oleksii Lyulyov & Tetyana Pimonenko - 1-27 Environmental Risk Concern and Short-Term IPO Performance of Green Stocks During the COVID-19 Crisis Period
by Jang-Chul Kim & Sharif Mazumder & Pritam Saha - 1-33 Environmental, Social and Governance-Valued Portfolio Optimization and Dynamic Asset Pricing
by Davide Lauria & W. Brent Lindquist & Stefan Mittnik & Svetlozar T. Rachev - 1-74 Monetary Policy Under Global and Spillover Uncertainty Shocks: What Do the Bayesian Time-Varying Coefficient VAR, Local Projections, and Vector Error Correction Model Tell Us in Tunisia?
by Emna Trabelsi
February 2025, Volume 18, Issue 3
- 1-11 Volatility Transmission in Digital Assets: Ethereum’s Rising Influence
by Burak Korkusuz - 1-14 The Nonsense of Bitcoin in Portfolio Analysis
by Haim Shalit - 1-15 Business Distress Prediction in Albania: An Analysis of Classification Methods
by Zhaklina Dhamo & Ardit Gjeçi & Arben Zibri & Xhorxhina Prendi - 1-15 Forecasting Covered Call Exchange-Traded Funds (ETFs) Using Time Series, Machine Learning, and Deep Learning Models
by Chigozie Andy Ngwaba - 1-16 Using Machine Learning to Understand the Dynamics Between the Stock Market and US Presidential Election Outcomes
by Avi Thaker & Daniel Sonner & Leo H. Chan - 1-18 Enhancing Auditor Judgment Quality: A Review of Evidence from Experimental Research
by Renny Friska & Dian Agustia - 1-20 Effect of Financial Indicators on Corporate Social Responsibility: Evidence from Emerging Economies
by Assem Orazayeva & Muhammad Arslan - 1-20 Environmental, Social, and Governance Disclosures and Market Reaction of Thai-Listed Companies in the Alternative Capital Market
by Muttanachai Suttipun & Pankaewta Lakkanawanit & Alisara Saramolee & Zulnaidi Yaacob & Sillapaporn Srijunpetch - 1-20 A Cross-Sectional Study of Risk Aversion and Life Insurance Demand at the Country Level
by Kristio Rapi & Dominicus S. Priyarsono & Siti Jahroh & Toni Bakhtiar - 1-21 Firm Complexity and the Accuracy of Auditors’ Going Concern Opinions in Emerging Markets: Does Auditor Work Stress Matter?
by Safaa Saleh & Ahmed Diab & Osama Abouelela - 1-21 Investigating the Relationship Between ESG Performance and Financial Performance During the COVID-19 Pandemic: Evidence from the Hotel Industry
by Andrii Kaminskyi & Valerii Osetskyi & Nuno Almeida & Maryna Nehrey - 1-22 Adapting the Extended Solow Model: The Impact of Output Determinants on Economic Growth in Peru from 2000 to 2022
by Alejandro Paredes-Soria & Alejandro Saúl Paredes-Egúsquiza & Juan Alberto Villagómez-Chinchay & Jorge Luis De Velazco Borda & Jorge Miguel Chávez-Díaz - 1-23 Using Fuzzy Analytic Hierarchy Process and Technique for Order of Preference by Similarity to the Ideal Solution in Performance Evaluation in the Albanian Banking Sector
by Arianit Peci & Blerina Dervishaj & Adis Puška - 1-23 The Influence of Religiosity on Muslim Women’s Selection of Fund Providers in Malaysia
by Salim Bouzekouk & Fadillah Mansor - 1-24 Institutions as a Fundamental Cause for Long-Run Sustainability
by Soukaina El Maachi & Rachid Saadane & Abdellah Chehri - 1-24 Reducing Risk by Understanding the Interplay of Critical Audit Matters and Culture
by Arturo Pacheco-Paredes & Elizabeth Turner & Clark Wheatley - 1-25 Corporate Social Responsibility Expenditures and Bank Performance: Role of Size Among Listed Banks in Ghana
by Angela Boateng & Byron Lew & Yi Liu - 1-28 Exploring the Asymmetric Multifractal Dynamics of DeFi Markets
by Soufiane Benbachir & Karim Amzile & Mohamed Beraich - 1-29 Order Book Liquidity on Crypto Exchanges
by Martin Angerer & Marius Gramlich & Michael Hanke - 1-31 Is There a Common Financial Cycle in Systemic Economies?
by Khwazi Magubane
February 2025, Volume 18, Issue 2
- 1-4 Editorial Board Members’ Collection Series: Journal of Risk and Financial Management
by Thanasis Stengos - 1-12 Reassessing Financial Crisis Management: The Impact of Bailouts and Bail-Ins on Moral Hazard and Sustainable Recovery Strategies
by Amira Kaddour & Rahma Boubaker & Salim Moualdi & Huda Alsayed - 1-13 The Role of Gender Equality at the Country Level on the Relationship Between Women’s Board Representation and Sustainability Assurance Adoption
by Kholod F. Alsahali - 1-13 Verifying the Role of Dividends as a Mediator in the Impact of Cash Flows on Bank Stock Returns on the Iraq Stock Exchange: An Empirical Analysis
by Ayad Tareq Al Mamoori & Wan Fadzilah Wan Yusoff & Mohamed Khudari - 1-14 Impact of Geopolitical Risks on Herding Behavior in Some MENA Stock Markets
by Imed Medhioub - 1-14 Determinants of Stochastic Distance-to-Default
by Tarek Eldomiaty & Islam Azzam & Hoda El Kolaly & Ahmed Dabour & Marwa Anwar & Rehab Elshahawy - 1-15 Financial Openness, Trade Openness, and Economic Growth Nexus: A Dynamic Panel Analysis for Emerging and Developing Economies
by Thembalethu Macdonald Seti & Sukoluhle Mazwane & Mzuyanda Christian - 1-15 Do ESG Risk Scores and Board Attributes Impact Corporate Performance? Evidence from Saudi-Listed Companies
by Ines Chaabouni & Noura Ben Mbarek & Ezer Ayadi - 1-16 On the Use of the Harmonic Mean Estimator for Selecting the Hypothetical Income Distribution from Grouped Data
by Kazuhiko Kakamu - 1-16 Firm Policies and Uncertainty About Risk
by Adam Harper & Yilun Lu & Sumit Tembhurne - 1-16 Investigating Factors Affecting Loan Loss Reserves in the US Financial Sector: A Dynamic Panel Regression Analysis with Fixed-Effects Models
by Georgia Zournatzidou & George Sklavos & Konstantina Ragazou & Nikolaos Sariannidis - 1-16 The Effect of Cross-Border Mergers and Acquisitions Performance on Shareholder Wealth: The Role of Advisory Services
by Debi Prasad Satapathy & Tarun Kumar Soni & Pramod Kumar Patjoshi & Divya Singh Jamwal - 1-17 Can Sustainability (ESG) Controversies Be Offset with Advertising? An Empirical Investigation into Advertising, Negative ESG, and Firm Value
by Nicole Hanson & Stacey Sharpe - 1-17 Understanding the Future of Money: The Struggle Between Government Control and Decentralization
by Jodi Tommerdahl - 1-17 The Mediating Role of Profitability in the Impact Relationship of Assets Tangibility on Firm Market Value
by Mustafa Alathamneh & Mohammed Ibrahim Obeidat & Mohammad Abdullah Almomani & Tareq Mohammad Almomani & Nadeen (Mohammed Adnan) Darkal - 1-18 Board Structure and Executive Compensation for R&D Spending in Innovative Companies Amid COVID-19
by Muhammad Abrar-ul-haq - 1-18 Characteristics of the Chairman of the Board of Directors and Their Impact on Dividend Payments in the Moroccan Stock Exchange
by Reda Louziri & Khadija Oubal - 1-18 How Retail vs. Institutional Investor Sentiment Differ in Affecting Chinese Stock Returns?
by Jiayi Cui & Qian Wei & Xiang Gao - 1-19 Corporate Governance Mechanism and Bank Performance, New Insights from Emerging Economy: Evidence from Nigeria Banking Sector
by Olusola Enitan Olowofela & Hermann Azemtsa Donfack & Celestin Wafo Soh - 1-19 In-Season Price Forecasting in Cotton Futures Markets Using ARIMA, Neural Network, and LSTM Machine Learning Models
by Jeffrey Vitale & John Robinson - 1-21 Unethical Conduct Under Uncertainty: A Fear-Based Perspective
by Sasha Pustovit & Andrea L. Hetrick & Tanja R. Darden - 1-22 Non-Maturing Deposits: Predictive Modelling and Risk Management
by Anton van Dyk - 1-22 Prediction of Green Sukuk Investment Interest Drivers in Nigeria Using Machine Learning Models
by Mukail Akinde & Olasunkanmi Olapeju & Olusegun Olaiju & Timothy Ogunseye & Adebayo Emmanuel & Sekinat Olagoke-Salami & Foluke Oduwole & Ibironke Olapeju & Doyinsola Ibikunle & Kehinde Aladelusi - 1-22 Nexus Between Green Financing and Carbon Emissions: Does Increased Environmental Expenditure Enhance the Effectiveness of Green Finance in Reducing Carbon Emissions?
by Martin Kamau Muchiri & Szilvia Erdei-Gally & Maria Fekete-Farkas - 1-22 Mergers and Acquisitions’ Moderating Effect on the Relationship Between Credit Risk and Bank Value: A Quantile Regression Approach
by Ra’fat Jallad & Ahmad Tina & Antonios Persakis - 1-22 Enhancing Consumer Empowerment: Insights into the Role of Rationality When Making Financial Investment Decisions
by Abhishek Sharma & Chandana Hewege & Chamila Perera - 1-24 The Big Three Passive Investors and the Cost of Equity Capital
by Sebahattin Demirkan & Ted M. Fikret Polat - 1-24 Enhancing Technical Efficiency in the Oil and Gas Sector: The Role of CEO Characteristics and Board Composition
by Kaouther Zaabouti & Ezzeddine Ben Mohamed - 1-24 Financial Strategies Driving Market Performance During Recession in Nigerian Manufacturing Firms
by Okechukwu Enyeribe Njoku & Younghwan Lee - 1-24 Stochastic Modelling of the COVID-19 Epidemic
by Eckhard Platen - 1-25 The Impact of Public Environmental Concern on Corporate ESG Performance
by Tsun Se Cheong & Shuaiyi Liu & Ning Ma & Tingting Han - 1-25 The PCAOB’s 2006 Tax Service Restrictions and Earnings Management
by Matthew Notbohm & Xiaoli Guo & Adrian Valencia - 1-27 The Impact of Earnings Announcements Before and After Regular Market Hours on Asset Price Dynamics in the Fintech Era
by Janhavi Shankar Tripathi & Erick W. Rengifo - 1-27 Corruption Control as a Catalyst for Financial Development: A Global Comparative Study
by Recep Ali Küçükçolak & Gözde Bozkurt & Necla İlter Küçükçolak & Adnan Veysel Ertemel & Sami Küçükoğlu - 1-28 Unraveling the Impact of Product Market Competition and Earnings Volatility on Zero-Leverage Policies
by Imed Chkir & Alireza Rahimzadeh & Syrine Sassi - 1-30 The Stability of the Financial Cycle: Insights from a Markov Switching Regression in South Africa
by Khwazi Magubane - 1-30 The End of Mean-Variance? Tsallis Entropy Revolutionises Portfolio Optimisation in Cryptocurrencies
by Sana Gaied Chortane & Kamel Naoui - 1-32 Innovative Credit Risk Assessment: Leveraging Social Media Data for Inclusive Credit Scoring in Indonesia’s Fintech Sector
by Andry Alamsyah & Aufa Azhari Hafidh & Annisa Dwiyanti Mulya - 1-35 A First Look at Financial Data Analysis Using ChatGPT-4o
by Wen-Hsiu (Julia) Chou & Zifeng Feng & Bingxin Li & Feng Liu
January 2025, Volume 18, Issue 2
- 1-15 Ensemble Learning and an Adaptive Neuro-Fuzzy Inference System for Cryptocurrency Volatility Forecasting
by Saralees Nadarajah & Jules Clement Mba & Patrick Rakotomarolahy & Henri T. J. E. Ratolojanahary - 1-15 The Call to Shift from the Narrow Legalistic to the Broader Moral and Legal Stakeholder Model in Indonesian State-Owned Enterprises: Its Implications and Challenges
by Yafet Yosafet Wilben Rissy - 1-16 Central Bank Credibility and Exchange Rate Volatility: A Comprehensive Bibliometric Analysis
by Wejden Ben Jannet & Achouak Barguellil - 1-16 Globalization and European Integration: A Central European Perspective
by László Csaba - 1-16 The Global Integration Dilemma: Functionalist Efficient Stability Versus Geoeconomic Vulnerability Risks
by Paul Dragos Aligica & Robert Gabriel Ciobanu - 1-18 Defining the Predictors of Financial Literacy for High-School Students
by Vasiliki A. Tzora - 1-18 Leveraging Social and Intellectual Capital for Social Entrepreneurship: A Model for Sustainable Business Practices in an Uncertain Environment
by Krishna Dixit & Pranav Kumar & Kumar Aashish & Mohammad Zohair - 1-18 Exploration of Audit Technologies in Public Security Agencies: Empirical Research from Portugal
by Diogo Leocádio & Luís Malheiro & João Reis - 1-19 Executive Religiosity and Disclosure Tone Ambiguity of Annual Reports
by Toufiq Nazrul & Rania Mousa - 1-19 Cryptocurrency Investments: The Role of Advisory Sources, Investor Confidence, and Risk Perception in Shaping Behaviors and Intentions
by Jia Qi & Yu Zhang & Congrong Ouyang - 1-19 Impact of IPSAS Adoption on Governance and Corruption: A Comparative Study of Southern Europe
by Bassam Mohammad Maali & Amer Morshed - 1-20 Business Strategy and Auditor Report Lag: Do Board Characteristics Matter? Evidence from an Emerging Market
by Aref M. Eissa & Ahmed Diab & Arafat Hamdy - 1-20 Modeling and Forecasting the Probability of Crypto-Exchange Closures: A Forecast Combination Approach
by Said Magomedov & Dean Fantazzini - 1-20 Audit Quality and Family Ownership: The Mediating Effect of Boards’ Gender Diversity
by Fatma Zehri - 1-20 Diagnostic for Volatility and Local Influence Analysis for the Vasicek Model
by Manuel Galea & Alonso Molina & Isabelle S. Beaudry - 1-20 Threshold Effects of Economic-Policy Uncertainty on Food Security in Nigeria
by Goodness C. Aye & Lydia N. Kotur & Peter I. Ater - 1-21 Intention to Use Cryptocurrencies for Business Transactions: The Case of North Carolina
by Shakir Ullah - 1-22 Economic and Sectoral Convergence in Latin America and the Caribbean: An Analysis of Beta, Sigma, and Gamma Convergence
by César Lenin Navarro-Chávez - 1-23 Whistleblowing Disclosure as a Shield Against Earnings Management: Evidence from the Insurance Sector
by Ines Belgacem - 1-23 A Supply and Demand Framework for Bitcoin Price Forecasting
by Murray A. Rudd & Dennis Porter - 1-25 Forecasting Follies: Machine Learning from Human Errors
by Li Sun & Yongchen Zhao - 1-26 Accrual-Based Earnings Management in Cross-Border Mergers and Acquisitions: The Role of Institutional Differences and Geographic Distance
by Ioannis Dokas & Christos Leontidis & Evanthia K. Zervoudi - 1-26 Auditors’ Life Cycle in Clients and Auditor Independence
by Emeka T. Nwaeze - 1-28 Does Information Asymmetry Affect Firm Disclosure? Evidence from Mergers and Acquisitions of Financial Institutions
by Bing Chen & Wei Chen & Xiaohui Yang - 1-50 Selection and Timing Skill in Bond Mutual Fund Returns: Evidence from Bootstrap Simulations
by Lifa Huang & Wayne Y. Lee & Craig G. Rennie
January 2025, Volume 18, Issue 1
- 1-2 Editorial for the Special Issue of Journal of Risk and Financial Management: Featured Papers in Mathematics and Finance
by Svetlozar (Zari) T. Rachev & W. Brent Lindquist - 1-12 Analyzing Corporate Social Responsibility, CEO Gender, and Compensation Structure: Evidence from U.S. Firms
by Dmitriy Chulkov & Joungyeon Kim - 1-12 Historical Simulation Systematically Underestimates the Expected Shortfall
by Pablo García-Risueño - 1-13 An Investigation of Trades That Move the BBO Using Strings
by Ying Huang & Bill Hu & Hong Chao Zeng & Matthew D. Hill - 1-13 Market Reaction to Earnings Announcements Under Different Volatility Regimes
by Yusuf Joseph Ugras & Mark A. Ritter - 1-15 Oil Shocks, US Uncertainty, and Emerging Corporate Bond Markets
by Dohyoung Kwon - 1-16 Stablecoin: A Story of (In)Stabilities and Co-Movements Written Through Wavelet
by Rubens Moura de Carvalho & Helena Coelho Inácio & Rui Pedro Marques - 1-16 Firm Performance and the Determinants in the Textile and Textile Product Industry of Indonesia Pre- and Post-COVID-19 Pandemic
by Maman Setiawan & Berliana Anggun Septiani - 1-17 The Interaction Effect of Female Leadership in Audit Committees on the Relationship Between Audit Quality and Corporate Tax Avoidance
by Naila Amara & Houssam Bouzgarrou & Saad Bourouis & Sajead Mowafaq Alshdaifat & Hamzeh Al Amosh - 1-18 The Nexus of Research and Development Intensity with Earnings Management: Empirical Insights from Jordan
by Abdelrazaq Farah Freihat & Ayda Farhan & Ibrahim Khatatbeh - 1-18 Assessing Basel Capital Regulations: Exploring the Risk and Efficiency Relationship in Emerging Economies
by Adnan Bashir & Asma Salman & Rania Itani & Alessio Faccia - 1-19 Mineworkers’ Perspectives Towards Participating in Retirement Planning in South Africa
by Floyd Khoza - 1-19 A Model-Free Lattice
by Ren-Raw Chen & Pei-Lin Hsieh & Jeffrey Huang & Hongbiao Zhao - 1-19 ESG Performance and Corporate Governance—The Moderating Role of the Big Four Auditors
by Puji Handayati & Yeut Hong Tham & Yuni Yuningsih & Zhiyue Sun & Tatas Ridho Nugroho & Sulis Rochayatun - 1-20 Credit Card Default Prediction: An Empirical Analysis on Predictive Performance Using Statistical and Machine Learning Methods
by Rakshith Bhandary & Bidyut Kumar Ghosh - 1-20 The Impact of Board of Directors’ Characteristics on the Financial Performance of the Banking Sector in Gulf Cooperation Council (GCC) Countries: The Moderating Role of Bank Size
by Zouhour Abiad & Rebecca Abraham & Hani El-Chaarani & Ruaa Omar Binsaddig - 1-21 The Stability of Trend Management Strategies in Chaotic Market Conditions
by Alexander Musaev & Dmitry Grigoriev - 1-22 The Donkey and the Thorn Tree: Reappraising Globalisation and Africa
by Greg Mills & Richard Morrow - 1-22 Beyond the Buzz: A Measured Look at Bitcoin’s Viability as Money
by Essa Hamad Al-Mansouri & Ahmet Faruk Aysan & Ruslan Nagayev - 1-24 Economic News, Social Media Sentiments, and Stock Returns: Which Is a Bigger Driver?
by Rahul Verma & Priti Verma - 1-24 Economic Resilience in Post-Pandemic India: Analysing Stock Volatility and Global Links Using VAR-DCC-GARCH and Wavelet Approach
by Narayana Maharana & Ashok Kumar Panigrahi & Suman Kalyan Chaudhury & Minal Uprety & Pratibha Barik & Pushparaj Kulkarni - 1-24 Cybersecurity in Digital Accounting Systems: Challenges and Solutions in the Arab Gulf Region
by Amer Morshed & Laith T. Khrais - 1-25 Financial Literacy Among Healthcare Providers: A Systematic Review
by Georgios Pakos & Panagiotis Mpogiatzidis - 1-25 Private Information Production and the Efficiency of Intra-Industry Information Transfers
by Jingjing Xia - 1-27 ESG Ratings and Financial Performance in the Global Hospitality Industry
by Kefan Lu & Cagri Berk Onuk & Yifei Xia & Jianing Zhang - 1-28 Examining Market Quality on the Egyptian Exchange (EGX): An Intraday Liquidity Analysis
by Ahmed Rushdy & Nagwa Samak - 1-31 Risk Management in DeFi: Analyses of the Innovative Tools and Platforms for Tracking DeFi Transactions
by Bogdan Adamyk & Vladlena Benson & Oksana Adamyk & Oksana Liashenko - 1-34 Challenges of Artificial Intelligence for the Prevention and Identification of Bankruptcy Risk in Financial Institutions: A Systematic Review
by Luis-Javier Vásquez-Serpa & Ciro Rodríguez & Jhelly-Reynaluz Pérez-Núñez & Carlos Navarro - 1-35 COVID-19-Related Audit Report Disclosures: Determinants and Consequences
by Joseph A. Micale & Joon Ho Kong
December 2024, Volume 18, Issue 1
- 1-12 The Modelling of Auto Insurance Claim-Frequency Counts by the Inverse Trinomial Distribution
by Seng Huat Ong & Shin Zhu Sim & Shuangzhe Liu - 1-12 The Role of Board Independence in Enhancing External Auditor Independence
by Osama Elsayed Abdelmaksoud Fathelbab & Hamzeh Yousef Abu Quba’ - 1-14 The Dual-Mandate Debate: What Do Central Banks Really Target?
by Najib Khan - 1-17 Perceived Internal Audit Quality and External Auditors’ Attributes in Iranian and Iraqi Banks
by Bita Mashayekhi & Yousif Mohammed - 1-18 Beyond the Traditional VIX: A Novel Approach to Identifying Uncertainty Shocks in Financial Markets
by Ayush Jha & Abootaleb Shirvani & Svetlozar T. Rachev & Frank J. Fabozzi - 1-18 The Effect of Accessibility to Bank Branches on Small- and Medium-Sized Enterprise Capital Structure: Evidence from Swedish Panel Data
by Cynthia Sin Tian Ho & Björn Berggren - 1-19 Effect of Audit Committee on Tax Aggressiveness: French Evidence
by Ahmad Alqatan & Safa Chemingui & Muhammad Arslan - 1-19 Corporate Governance and Obfuscation in Chairmen’s Letters: The Case of MENA Banks
by Rasha Mahboub - 1-19 Evolution of Financial Development Research: A Bibliometric Analysis
by Servet Say & Mesut Dogan & Daulen Abdeshov & Murat Tekbas & Levent Sezal & Burhan Erdoğan - 1-21 Real Exchange Rate Channel of QE Monetary Transmission Mechanism in Selected EU Members: The Pooled Mean Group Panel Approach
by Stefan Stojkov & Emilija Beker Pucar & Aleksandar Sekulić - 1-25 Firm-Level Regulatory Intensity and Labor Investment Efficiency
by Hui Liang James & Thanh Ngo & Hongxia Wang - 1-32 Impact of AI Disclosure on the Financial Reporting and Performance as Evidence from US Banks
by Ahmad Alzeghoul & Nizar Mohammad Alsharari - 1-34 The Impact of Sentiment on Realized Higher-Order Moments in the S&P 500: Evidence from the Fear and Greed Index
by Richard Mawulawoe Ahadzie & Peterson Owusu Junior & John Kingsley Woode - 1-36 Penny-Wise Acumen in Costonomics: Transforming Costs into Entrepreneurial Gold Through Smart Financial Management
by Enkeleda Lulaj
December 2024, Volume 17, Issue 12
- 1-12 Sustainability, Risk Management, and Innovation: Enhancing Performance in Indonesian Social Enterprises
by Azhar Maksum & Munawarah & Yuni Lestari Br Sitepu & Fauziah Kumalasari - 1-13 Dynamics of Dividend Payout in Korean Corporations: A Comprehensive Panel Analysis Across Economic Cycles
by SungSup Brian Choi & Kudzai Sauka - 1-14 Incorporating Artificial Intelligence into Finance: A Bibliometric Analysis
by Antonio Carlos Alcázar-Blanco & José Francisco Rangel-Preciado & Fiama Portillo-Santos - 1-14 Evaluating the Financial Performance of Colombian Companies: A Data Envelopment Analysis Without Explicit Inputs and Technique for Order Preference by Similarity to the Ideal Solution Approach
by Adel Mendoza-Mendoza & Daniel Mendoza Casseres & Enrique De La Hoz-Domínguez - 1-15 Assessment of Factors Affecting Tax Revenues: The Case of the Simplified Taxation System in the Russian Federation
by Kristina Alekseyevna Zakharova & Danil Anatolyevich Muravyev & Egine Araratovna Karagulian & Natalia Alekseyevna Baburina & Ekaterina Vladimirovna Degtyaryova - 1-15 Analysis of Financial Contagion and Prediction of Dynamic Correlations During the COVID-19 Pandemic: A Combined DCC-GARCH and Deep Learning Approach
by Victor Chung & Jenny Espinoza & Alan Mansilla - 1-16 The Impact of Shipping Connectivity on Environmental Quality, Financial Development, and Economic Growth in Regional Comprehensive Economic Partnership Countries
by Xhelil Bekteshi & Sevdie Alshiqi & Bartosz Jóźwik & Fatma Gul Altin & Mesut Dogan & Tatyana Petrossyants - 1-16 The Influence of Environmental, Social, and Governance Disclosure on Capital Structure: An Investigation of Leverage and WACC
by Tawfiq Taleb Tawfiq & Hala Tawaha & Asem Tahtamouni & Nashat Ali Almasria - 1-16 Employee Engagement and Green Finance: An Analysis of Indonesian Banking Sustainability Reports
by Iwan Suhardjo & Meiliana Suparman - 1-16 Assessing the Transformative Impact of AI Adoption on Efficiency, Fraud Detection, and Skill Dynamics in Accounting Practices
by Fadi Bou Reslan & Nada Jabbour Al Maalouf - 1-17 Higher Education Loan Schemes Across the Globe: A Systematic Review on the Utility Derived and Burden Associated with Educational Debt
by Daniel Frank & Rakshith Bhandary & Sudhir K. Prabhu - 1-18 Does Profitability Moderate the Relationship Between the Leverage and Dividend Policy of Manufacturing Firms in Nigeria and South Africa?
by Ovbe Simon Akpadaka & Musa Adeiza Farouk & Dagwom Yohanna Dang & Musa Inuwa Fodio - 1-18 A Non-Linear Approach to Current Account Sustainability—The Cases of Germany, China, and the USA
by Thanos Poulakis & Dimitrios Kyrkilis - 1-18 Dynamics of Stock Prices on the Bulgarian Stock Exchange Against the Background of Fundamentals
by Dimiter Nenkov & Yanko Hristozov - 1-19 The Application of Machine Learning Techniques to Predict Stock Market Crises in Africa
by Muhammad Naeem & Hothefa Shaker Jassim & David Korsah - 1-19 Reinforcement Learning Pair Trading: A Dynamic Scaling Approach
by Hongshen Yang & Avinash Malik - 1-19 Auditors’ Perceptions of the Triggers and Obstacles of Continuous Auditing and Its Impact on Auditor Independence: Insights from Egypt
by Laila Mohamed Alshawadfy Aladwey & Samar El Sayad - 1-19 Determinants of Tax Decisions in Jordan: Income and Sales Auditor Perspective
by Sajed Al-Khleifat & Yousef Abu Siam & Mahmoud Nassar & Mohammed Haroun Sharairi - 1-20 Evaluating Financial Inclusion in Peru: A Cluster Analysis Using Self-Organizing Maps
by Alvaro Talavera & Rocío Maehara & Luis Benites & Benjamin Arriaga & Alejandro Aybar-Flores - 1-20 The Predictive Grey Forecasting Approach for Measuring Tax Collection
by Pitresh Kaushik & Mohsen Brahmi & Shubham Kakran & Pooja Kansra - 1-20 Determinants of Qualified Audit Opinion: Empirical Study of Portuguese Private Sector Hospitals
by Maria de Fátima Simões & Carla Carvalho - 1-22 Forecasting Forex Market Volatility Using Deep Learning Models and Complexity Measures
by Pavlos I. Zitis & Stelios M. Potirakis & Alex Alexandridis - 1-22 Forensic Accounting and Risk Management: Exploring the Impact of Generalized Audit Software and Whistleblowing Systems on Fraud Detection in Indonesia
by Tarmizi Achmad & Chen-Yuan Huang & Mukhlas Adi Putra & Imang Dapit Pamungkas - 1-23 Bachelier’s Market Model for ESG Asset Pricing
by Svetlozar Rachev & Nancy Asare Nyarko & Blessing Omotade & Peter Yegon - 1-23 The Spillover Effects of Market Sentiments on Global Stock Market Volatility: A Multi-Country GJR-GARCH-MIDAS Approach
by Sarula Bai & Jaewon Jung & Shun Li - 1-23 The Influence of Liquidity Risk on Financial Performance: A Study of the UK’s Largest Commercial Banks
by Ahmed Eltweri & Nedal Sawan & Krayyem Al-Hajaya & Zineb Badri - 1-25 Managerial Social Capital and Dividends: Evidence from the UK
by Omar Al-Bataineh & Abdullah Iqbal & Timothy King - 1-27 Financial Performance of the Target Companies: Before and After Acquisitions
by Burak Dogan & Umut Ugurlu - 1-29 Large Drawdowns and Long-Term Asset Management
by Eric Jondeau & Alexandre Pauli - 1-29 The Impact of Corruption on SMEs’ Trade Credit Management Effectiveness
by Werner Henk Otto - 1-31 Conceptualizing an Institutional Framework to Mitigate Crypto-Assets’ Operational Risk
by Deepankar Roy & Ashutosh Dubey & Daitri Tiwary - 1-33 Risk-Averse, Integrated Contract, and Open Market Procurement with Quantity Adjustment Costs
by Santosh Mahapatra & Santosh Kar & Shlomo Levental