Content
October 2021, Volume 14, Issue 10
- 1-23 Assess the Impact of the COVID-19 Pandemic and Propose Solutions for Sustainable Development for Textile Enterprises: An Integrated Data Envelopment Analysis-Binary Logistic Model Approach
by Han-Khanh Nguyen & Mai-Nam Vu - 1-23 A Novel Measure of Political Risk and Foreign Direct Investment Inflows
by Pavel Jeutang & Kwabena Kesse - 1-24 Cross-Border M&A Motives and Home Country Institutions: Role of Regulatory Quality and Dynamics in the Asia-Pacific Region
by Peter Zámborský & Zheng Joseph Yan & Erwann Sbaï & Matthew Larsen - 1-24 Predicting Bank Failures: A Synthesis of Literature and Directions for Future Research
by Li Xian Liu & Shuangzhe Liu & Milind Sathye - 1-24 A Novel Model Structured on Predictive Churn Methods in a Banking Organization
by Leonardo José Silveira & Plácido Rogério Pinheiro & Leopoldo Soares de Melo Junior - 1-24 The Nexus between Financial Development and Economic Growth: Panel Data Evidence from Developing Countries
by E. M. Ekanayake & Ranjini Thaver - 1-24 Sovereign Default Forecasting in the Era of the COVID-19 Crisis
by Tamás Kristóf - 1-26 Causality between Energy Consumption and Economic Growth in the Presence of Growth Volatility: Multi-Country Evidence
by Gulasekaran Rajaguru & Safdar Ullah Khan - 1-27 An Assessment of the Efficiency of Canadian Power Generation Companies with Bootstrap DEA
by Mohamed Dia & Shashi K. Shahi & Luckny Zéphyr - 1-29 A Wavelet Perspective of Crisis Contagion between Advanced Economies and the BRIC Markets
by Constantin Gurdgiev & Conor O’Riordan
September 2021, Volume 14, Issue 10
- 1-13 The Road from Money to Happiness
by Gabriela Mihaela Mureșan & Melinda Timea Fülöp & Cristina Ciumaș - 1-13 FinTech: Ecosystem, Opportunities and Challenges in Saudi Arabia
by Mansour Saleh Albarrak & Sara Ali Alokley - 1-15 Impact of Improved Corporate Governance and Regulations on Earnings Management Practices—Analysis of 7 Industries from the Indian National Stock Exchange
by Jose Joy Thoppan & Robert Jeyakumar Nathan & Vijay Victor - 1-16 Predicting Insolvency of the Construction Companies in the Creditworthiness Assessment Process—Empirical Evidence from Poland
by Rafał Balina & Marta Idasz-Balina & Noer Azam Achsani - 1-17 The Rich Get Richer and the Poor Get Poorer: Social Media and the Post-IPO Behavior of Investors in Biotechnology Firms: The Relationship with Twitter Volume
by Smadar Siev - 1-18 Customer Value Creation for the Emerging Market Middle Class: Perspectives from Case Studies in India
by Rifat Sharmelly & Anton Klarin - 1-20 Succession as a Risk Process in the Survival of a Family Business—Case of Slovakia
by Boris Rumanko & Zuzana Lušňáková & Monika Moravanská & Mária Šajbidorová - 1-21 Analyst Forecasts during the COVID-19 Pandemic: Evidence from REITs
by Paul Anglin & Jianxin Cui & Yanmin Gao & Li Zhang
August 2021, Volume 14, Issue 9
- 1-9 FDML versus GMM for Dynamic Panel Models with Roots Near Unity
by Adrian Mehic - 1-11 Technological Windows of Opportunity for Russian Arctic Regions: Modeling and Exploitation Prospects
by Vera P. Samarina & Tatiana P. Skufina & Diana Yu. Savon & Svetlana S. Kudryavtseva - 1-12 Market Liquidity and Its Dimensions: Linking the Liquidity Dimensions to Sentiment Analysis through Microblogging Data
by Francisco Guijarro & Ismael Moya-Clemente & Jawad Saleemi - 1-12 Utility Indifference Option Pricing Model with a Non-Constant Risk-Aversion under Transaction Costs and Its Numerical Approximation
by Pedro Pólvora & Daniel Ševčovič - 1-15 Stock Split Rule Changes and Stock Liquidity: Evidence from Bursa Malaysia
by S. Amir Tabibian & Zhaoyong Zhang & Abdollah Ah Mand - 1-16 A Discount Technique-Based Inventory Management on Electronics Products Supply Chain
by Md. Sujan Miah & Md. Mominul Islam & Mahmudul Hasan & Abu Hashan Md. Mashud & Dipa Roy & Shib Sankar Sana - 1-16 The Behavioural Aspects of Financial Literacy
by Florian Gerth & Katia Lopez & Krishna Reddy & Vikash Ramiah & Damien Wallace & Glenn Muschert & Alex Frino & Leonie Jooste - 1-17 Stochastic Analysis and Neural Network-Based Yield Prediction with Precision Agriculture
by Humayra Shoshi & Erik Hanson & William Nganje & Indranil SenGupta - 1-18 Financial Inclusion through Digital Financial Services (DFS): A Study in Uganda
by Jimmy Ebong & Babu George - 1-18 Conditions for the Growth of the “Silver Economy” in the Context of Sustainable Development Goals: Peculiarities of Russia
by Liudmila Reshetnikova & Natalia Boldyreva & Maria Perevalova & Svetlana Kalayda & Zhanna Pisarenko - 1-18 Bank Competition Using Networks: A Study on an Emerging Economy
by Molla Ramizur Rahman & Arun Kumar Misra - 1-19 The Turkish Cypriot Municipalities’ Productivity and Performance: An Application of Data Envelopment Analysis and the Tobit Model
by Dilber Çağlar Onbaşıoğlu - 1-20 Measuring Synergies of Banks’ Cross-Border Mergers by Real Options: Case Study of Luminor Group AB
by Andrejs Čirjevskis - 1-24 Government Subsidisation and Shareholder Wealth Impact: Evidence from Malaysia
by Philip Sinnadurai & Ravichandran Subramaniam & Susela Devi & Kyungyoung Ko - 1-36 Are Foreign Banks Disadvantaged Vis-À-Vis Domestic Banks in China?
by Li Xian Liu & Fuming Jiang & Milind Sathye & Hongbo Liu
September 2021, Volume 14, Issue 9
- 1-5 A Balanced Portfolio Can Have a Higher Geometric Return Than the Risky Asset
by Miriam Arden & Tiemen Woutersen - 1-7 Investigating the Impact of Trade Disruptions on Price Transmission in Commodity Markets: An Application of Threshold Cointegration
by Janelle Mann & Derek Brewin - 1-9 Is Industry Size a Carrier for Wage Inequality? A Panel Study Addressing Independent Variables of Inherently Different Sizes across Units
by Jarle Aarstad & Olav Andreas Kvitastein - 1-13 Understanding the Interaction of Chinese Fiscal and Monetary Policy
by Zehua Luan & Xiangyu Man & Xuan Zhou - 1-13 Market Behavior in the Face of Political Violence: Evidence from Tsarist Russia
by Christopher A. Hartwell - 1-14 The Impact of Oil Price Shocks on Oil-Dependent Countries’ Currencies: The Case of Azerbaijan and Kazakhstan
by Katarzyna Czech & Ibrahim Niftiyev - 1-14 Price Transmission in Cotton Futures Market: Evidence from Three Countries
by Amrinder Singh & Tarun Kumar Soni - 1-15 Why the Operating Performance of Post-IPO Firms Decreases: Evidence from China
by Hai Long & Xiaochen Lin & Yu Chen - 1-15 The Ascent of Bitcoin: Bibliometric Analysis of Bitcoin Research
by Ahmet Faruk Aysan & Hüseyin Bedir Demirtaş & Mustafa Saraç - 1-15 Contrasting Cryptocurrencies with Other Assets: Full Distributions and the COVID Impact
by Esfandiar Maasoumi & Xi Wu - 1-15 The Determinants of Green Bond Issuance in the European Union
by Anamaria Dan & Adriana Tiron-Tudor - 1-16 Time-Varying Risk and the Relation between Idiosyncratic Risk and Stock Return
by Chengbo Fu - 1-16 Financial Market Reaction to Patent Lawsuits against Integrated Circuit Design Companies
by Su-Chen Yu & Kuang-Hsun Shih - 1-16 Kelly Criterion for Optimal Credit Allocation
by Son Tran & Peter Verhoeven - 1-16 The Impact of COVID-19 on Stock Market Returns in Vietnam
by Dao Van Hung & Nguyen Thi Minh Hue & Vu Thuy Duong - 1-17 Industry, Firm, and Country Level Dynamics of Capital Structure: A Case of Pakistani Firms
by Idrees Liaqat & Muhammad Asif Khan & József Popp & Judit Oláh - 1-17 Crisis Mitigation through Cash Assistance to Increase Local Consumption Levels—A Case Study of a Bimonetary System in Barcelona, Spain
by Susana Martín Belmonte & Jordi Puig & Mercè Roca & Marta Segura - 1-17 Leader Dismissal or Continuity, President Longevity, Geographic Orientation of Owners and Team Performance: Insights from French Men’s Football, 1994–2016
by Nicolas Scelles & Matthieu Llorca - 1-18 Predicting Food-Safety Risk and Determining Cost-Effective Risk-Reduction Strategies
by William E. Nganje & Linda D. Burbidge & Elisha K. Denkyirah & Elvis M. Ndembe - 1-18 Non-Financial Reporting—Standardization Options for SME Sector
by Patrycja Krawczyk - 1-18 Political Participation in the Risk Society: The Italian Case
by Marianna Bartiromo & Enrico Ivaldi - 1-18 Do Inflation Expectations Matter for Small, Open Economies? Empirical Evidence from the Solomon Islands
by Angeline B. Rohoia & Parmendra Sharma - 1-19 Second-Order Least Squares Method for Dynamic Panel Data Models with Application
by Mustafa Salamh & Liqun Wang - 1-19 Corporate Governance and Risk Management: Lessons (Not) Learnt from the Financial Crisis
by Alessandro Gennaro & Michelle Nietlispach - 1-19 Dynamic Impact of Unconventional Monetary Policy on International REITs
by Hardik A. Marfatia & Rangan Gupta & Keagile Lesame - 1-21 Economic Performance and Composition of Nordic Bioeconomy Sectors (NBES)
by Filip Lestan & Babu George & Sajal Kabiraj - 1-21 Does the Money Multiplier Hold in Pacific Island Countries? The Case of Papua New Guinea
by Mark Ofoi & Parmendra Sharma - 1-22 GJR-GARCH Volatility Modeling under NIG and ANN for Predicting Top Cryptocurrencies
by Fahad Mostafa & Pritam Saha & Mohammad Rafiqul Islam & Nguyet Nguyen - 1-22 Anchoring and Asymmetric Information in the Real Estate Market: A Machine Learning Approach
by Ka Shing Cheung & Julian TszKin Chan & Sijie Li & Chung Yim Yiu - 1-22 Poland–Turkey Comparison of Mobile Payments Quality in Pandemic Time
by Witold Chmielarz & Marek Zborowski & Alicja Fandrejewska & Mesut Atasever - 1-23 The Determinants of PayTech’s Success in the Mobile Payment Market—The Case of BLIK
by Joanna Błach & Monika Klimontowicz - 1-23 Sustainability Determinants of Cultural and Creative Industries in Peripheral Areas
by Francesca Imperiale & Roberta Fasiello & Stefano Adamo - 1-24 An Equilibrium-Based Measure of Systemic Risk
by Katerina Ivanov & James Schulte & Weidong Tian & Kevin Tseng - 1-24 Mergers and Acquisitions Risk Modeling
by Yulia Vertakova & Inga Vselenskaya & Vladimir Plotnikov - 1-25 The Economic Sustainability of Culture in Hawai’i: Tourists’ Willingness to Pay for Hawaiian Cultural Experiences
by Gabriella Andrade & Holly Itoga & Cathrine Linnes & Jerome Agrusa & Joseph Lema - 1-25 Mathematical Foundations for Balancing the Payment System in the Trade Credit Market
by Tomaž Fleischman & Paolo Dini - 1-27 Accuracy of European Stock Target Prices
by Joana Almeida & Raquel M. Gaspar - 1-28 Financial Contagion Patterns in Individual Economic Sectors. The Day-of-the-Week Effect from the Polish, Russian and Romanian Markets
by Elena Valentina Țilică - 1-29 Testing Housing Markets for Episodes of Exuberance: Evidence from Different Polish Cities
by Janusz Sobieraj & Dominik Metelski - 1-33 Contextual Factors and the Diffusion of MAIs in Manufacturing and Non-Manufacturing Sectors in Libya
by Alhadi Boukr & Hassan Yazdifar & Davood Askarany - 1-36 Artificial Intelligence for Cluster Analysis: Case Study of Transport Companies in Czech Republic
by Eva Kalinová - 1-36 The Optimal Spending Rate versus the Expected Real Return of a Sovereign Wealth Fund
by Knut K. Aase & Petter Bjerksund - 1-36 Financial Leverage and Debt Maturity Targeting: International Evidence
by Ali Gungoraydinoglu & Özde Öztekin - 1-38 Impact of Elimination of Dividend Distribution Tax on Indian Corporate Firms Amid COVID Disruptions
by Anshu Agrawal - 1-53 A Panel Study of Factor Accumulation and Export Quality
by Purba Mukerji
July 2021, Volume 14, Issue 8
- 1-13 Forecasting High-Dimensional Financial Functional Time Series: An Application to Constituent Stocks in Dow Jones Index
by Chen Tang & Yanlin Shi - 1-14 The Impact of Brand Equity on Conversion Behavior in the Use of Personal Banking Services: Case Study of Commercial Banks in Vietnam
by Thi Thu Cuc Nguyen - 1-15 Determinants of Insurance Penetration in West African Countries: A Panel Auto Regressive Distributed Lag Approach
by Odunayo Olarewaju & Thabiso Msomi - 1-16 Modeling and Simulating Cross Country Banking Contagion Risks
by Stefano Zedda & Antonella Spinace-Casale - 1-17 Subjective Knowledge, Perceived Risk, and Information Search when Purchasing a Franchise: A Comparative Exploration from Australia
by Peter Balsarini & Claire Lambert & Maria M. Ryan & Martin MacCarthy - 1-17 Artificial Intelligence: The Attitude of the Public and Representatives of Various Industries
by Tatjana Vasiljeva & Ilmars Kreituss & Ilze Lulle - 1-18 The Coaching Black Box: Risk Mitigation during Change Management
by William Percy & Kevin Dow - 1-19 Digital Marketing Effects of Clubhouse on Crowdfunding in the Context of COVID-19
by Peter Konhäusner & Robert Seidentopf - 1-21 American Option Pricing with Importance Sampling and Shifted Regressions
by Francois-Michel Boire & R. Mark Reesor & Lars Stentoft - 1-21 The Old Boys Club in New Zealand Listed Companies
by Chen Chen & David K. Ding & William R. Wilson - 1-24 Do Terror Attacks Affect the Euro? Evidence from the 21st Century
by Stelios Markoulis - 1-26 Factor Endowments, Economic Integration, Round-Tripping, and Inward FDI: Evidence from the Baltic Economies
by Andrzej Cieślik & Oleg Gurshev - 1-29 COVID-19 Pandemic and Romanian Stock Market Volatility: A GARCH Approach
by Ștefan Cristian Gherghina & Daniel Ștefan Armeanu & Camelia Cătălina Joldeș - 1-31 Spillovers and Asset Allocation
by Lai T. Hoang & Dirk G. Baur
August 2021, Volume 14, Issue 8
- 1-8 Modelling the Impact of Different COVID-19 Pandemic Waves on Real Estate Stock Returns and Their Volatility Using a GJR-GARCHX Approach: An International Perspective
by Mateusz Tomal - 1-9 Do Board Characteristics Matter for Growth Firms? Evidence from China
by Qiuwei Li & Wei Zhou & Hui Zhou & Jiaxuan Chen - 1-10 Hedging Long-Dated Oil Futures and Options Using Short-Dated Securities—Revisiting Metallgesellschaft
by James S. Doran & Ehud I. Ronn - 1-10 Optimizing Stock Market Returns during Global Pandemic Using Regression in the Context of Indian Stock Market
by Pradip Debnath & Hari Mohan Srivastava - 1-11 The Effect of Dividend Payment on Firm’s Financial Performance: An Empirical Study of Vietnam
by Anh Huu Nguyen & Cuong Duc Pham & Nga Thanh Doan & Trang Thu Ta & Hieu Thanh Nguyen & Tu Van Truong - 1-11 Labour Migration of Parents and Threats to Children and Youth
by Artur Kraus & Natalia Wojtas - 1-12 Public Investment on Irrigation and Poverty Alleviation in Rural Laos
by Bounmy Inthakesone & Pakaiphone Syphoxay - 1-12 Regulatory Response to the Rise of Fintech Credit in The Netherlands
by Fred Huibers - 1-12 Transfer Entropy Approach for Portfolio Optimization: An Empirical Approach for CESEE Markets
by Tihana Škrinjarić & Derick Quintino & Paulo Ferreira - 1-13 The History of Enterprise Risk Management at Hydro One Inc
by John Fraser & Rob Quail & Betty Simkins - 1-13 Capital Structure, Working Capital, and Governance Quality Affect the Financial Performance of Small and Medium Enterprises in Taiwan
by Anh-Huyen Vu Thi & The-Dong Phung - 1-13 What Microeconomic Fundamentals Drove Global Oil Prices during 1986–2020?
by Anastasios G. Malliaris & Mary Malliaris - 1-14 Applying Quantile Regression to Assess the Relationship between R&D, Technology Import and Patent Performance in Taiwan
by Chung-Chu Chuang & Chung-Min Tsai & Hsiao-Chen Chang & Yi-Hsien Wang - 1-15 Does a Board Characteristic Moderate the Relationship between CSR Practices and Financial Performance? Evidence from European ESG Firms
by Matteo Rossi & Jamel Chouaibi & Salim Chouaibi & Wafa Jilani & Yamina Chouaibi - 1-15 Managing Risks in the Improved Model of Rolling Mill Loading: A Case Study
by Nelli Vladimirovna Syreyshchikova & Danil Yurievich Pimenov & Elena Nikolaevna Yaroslavova & Munish Kumar Gupta & Muhammad Aamir & Khaled Giasin - 1-15 On Prices of Privacy Coins and Bitcoin
by Olli-Pekka Hilmola - 1-15 The Perceived Effectiveness of Blockchain for Digital Operational Risk Resilience in the European Union Insurance Market Sector
by Simon Grima & Murat Kizilkaya & Kiran Sood & Mehmet ErdemDelice - 1-15 Constructing Divisia Monetary Aggregates for Singapore
by William A. Barnett & Van H. Nguyen - 1-15 How Fast Does the Clock of Finance Run?—A Time-Definition Enforcing Stationarity and Quantifying Overnight Duration
by Michele Caraglio & Fulvio Baldovin & Attilio L. Stella - 1-16 The Impact of COVID-19 on the Work of Property Valuers: A Glance at the Polish State of Play
by Małgorzata Uhruska & Agnieszka Małkowska - 1-17 The Print Media Convergence: Overall Trends and the COVID-19 Pandemic Impact
by Marina Sheresheva & Lyudmila Skakovskaya & Elena Bryzgalova & Anton Antonov-Ovseenko & Helen Shitikova - 1-17 Development of Social Cost and Benefit Analysis (SCBA) in the Maqāṣid Shariah Framework: Narratives on the Use of Drones for Takaful Operators
by Amirul Afif Muhamat & Ahmad Farouk Zulkifli & Suzana Sulaiman & Geetha Subramaniam & Saadiah Mohamad - 1-18 Cash Holding and Firm Value in the Presence of Managerial Optimism
by Ashfaq Habib & M. Ishaq Bhatti & Muhammad Asif Khan & Zafar Azam - 1-18 Risk and Opportunity—The Leadership Challenge in a World of Uncertainty—Learnings from Research into the Implementation of the Australian National Disability Insurance Scheme
by David Rosenbaum & Elizabeth More - 1-19 Financial Stress and Health Considerations: A Tradeoff in the Reopening Decisions of U.S. Liberal Arts Colleges during the COVID-19 Pandemic
by Jonah Tobin & Oliver Hall & Jacob Lazris & David Zimmerman - 1-19 CSR Unconscious Consumption by Generation Z in the COVID-19 Era—Responsible Heretics Not Paying CSR Bonus?
by Radka MacGregor Pelikánová & Martin Hála - 1-20 Pricing Product Options and Using Them to Complete Markets for Functions of Two Underlying Asset Prices
by Dilip B. Madan & King Wang - 1-20 The Effect of Misalignment of CEO Personality and Corporate Governance Structures on Firm Performance
by Irene M. Gordon & Karel Hrazdil & Johnny Jermias & Xin Li - 1-20 Misfit? The Use of Metrics in Innovation
by Ilse Svensson de Jong - 1-20 The Spillover of Inflation among the G7 Countries
by Khandokar Istiak & Aviral Kumar Tiwari & Humaira Husain & Kazi Sohag - 1-21 Improvement of Service Quality in the Supply Chain of Commercial Banks—A Case Study in Vietnam
by Han-Khanh Nguyen & Thuy-Dung Nguyen - 1-21 Policy and Business Cycle Shocks: A Structural Factor Model Representation of the US Economy
by Mario Forni & Luca Gambetti - 1-22 Exploring Critical Success Factors of Competence-Based Synergy in Strategic Alliances: The Renault–Nissan–Mitsubishi Strategic Alliance
by Andrejs Čirjevskis - 1-22 COVID-19 and Islamic Stock Index: Evidence of Market Behavior and Volatility Persistence
by Adil Saleem & Judit Bárczi & Judit Sági - 1-23 Recent Patterns of Economic Alignment in the European (Monetary) Union
by Agnieszka Gehringer & Jörg König - 1-23 A Systems Perspective in Examining Industry Clusters: Case Studies of Clusters in Russia and India
by Anton Klarin & Rifat Sharmelly & Yuliani Suseno - 1-24 The COVID-19 Pandemic and Commercial Property Rent Dynamics
by Roddy Allan & Ervi Liusman & Teddy Lu & Desmond Tsang - 1-24 What Information in Financial Statements Could Be Used to Predict the Risk of Equity Investment?
by Min (Shirley) Liu - 1-24 Spurious Relationships for Nearly Non-Stationary Series
by Yushan Cheng & Yongchang Hui & Michael McAleer & Wing-Keung Wong - 1-26 Big Data’s Disruptive Effect on Job Profiles: Management Accountants’ Case Study
by Adriana Tiron-Tudor & Delia Deliu - 1-33 Oil Market Factors as a Source of Commonality in Liquidity in International Equity Markets
by Abdulrahman Alhassan & Atsuyuki Naka & Abdullah Noman
July 2021, Volume 14, Issue 7
- 1-7 Loan Delinquency: Some Determining Factors
by Fennee Chong - 1-8 The Slow Death of Capital Protection
by Christian Bauer & Marc Oliver Rieger - 1-12 Economic Education and Household Financial Outcomes during the Financial Crisis
by Paul W. Grimes & Kevin E. Rogers & William D. Bosshardt - 1-12 Creative Accounting and the Possibility of Its Detection in the Evaluation of the Company by Expert
by Eva Adámiková & Tatiana Čorejová - 1-13 The Relationship between Carry Trade and Asset Markets in South Africa
by Lumengo Bonga-Bonga & Tebogo Maake - 1-13 Impacts of Infectious Disease Outbreaks on Firm Performance and Risk: The Forest Industries during the COVID-19 Pandemic
by Ståle Størdal & Gudbrand Lien & Erik Trømborg - 1-13 S&P 500 Index Price Spillovers around the COVID-19 Market Meltdown
by Camillo Lento & Nikola Gradojevic - 1-13 International Environmental Agreements and CO 2 Emissions: Fresh Evidence from 11 Polluting Countries
by Aikaterina Oikonomou & Michael Polemis & Symeoni-Eleni Soursou - 1-13 The Role of Board Independence and Ownership Structure in Improving the Efficacy of Corporate Financial Distress Prediction Model: Evidence from India
by Shilpa H. Shetty & Theresa Nithila Vincent - 1-14 Cost-Effectiveness Analysis of COVID-19 Case Quarantine Strategies in Two Australian States: New South Wales and Western Australia
by Adrian Melia & Doowon Lee & Nader Mahmoudi & Yameng Li & Francesco Paolucci - 1-14 The Development of a Small and Medium-Sized Business Risk Management Intervention Tool
by Niël Almero Krüger & Natanya Meyer - 1-14 The Causal Nexus of Consumer and Business Confidence Indexes in Early Pandemic Period: Evidence from OECD Countries
by Inna Bielova & Jaroslav Halík & Lyudmila Ryabushka - 1-14 When Wrong Is Right: Leaving Room for Error in Innovation Measurement
by Ilse Svensson de Jong - 1-15 Asymmetry and Leverage with News Impact Curve Perspective in Australian Stock Returns’ Volatility during COVID-19
by Najam Iqbal & Muhammad Saqib Manzoor & Muhammad Ishaq Bhatti - 1-15 Equity Premium with Habits, Wealth Inequality and Background Risk
by Christos I. Giannikos & Georgios Koimisis - 1-15 Storming the Beachhead: An Examination of Developed and Emerging Market Multinational Strategic Location Decisions in the U.S
by Denise R. Dunlap & Roberto S. Santos - 1-15 Risk Disclosure and Corporate Cash Holdings
by Issal Haj-Salem & Khaled Hussainey - 1-16 Geographic Scope and Real Estate Firm Performance during the COVID-19 Pandemic
by Xiaoling Chu & Chiuling Lu & Desmond Tsang - 1-16 Testing the Efficiency of Globally Listed Private Equity Markets
by Lars Tegtmeier - 1-16 Global Index on Financial Losses Due to Crime in the United States
by Thilini Mahanama & Abootaleb Shirvani & Svetlozar T. Rachev - 1-16 ‘My Sport Won’t Pay the Bills Forever’: High-Performance Athletes’ Need for Financial Literacy and Self-Management
by Hee Jung Hong & Ian Fraser - 1-16 Empirical Evidence Regarding the Impact of Economic Growth and Inflation on Economic Sentiment and Household Consumption
by Larissa Batrancea - 1-17 Family Business in the Digital Age: The State of the Art and the Impact of Change in the Estimate of Economic Value
by Olga Ferraro & Elena Cristiano - 1-17 A Reappraisal of the Prebisch-Singer Hypothesis Using Wavelets Analysis
by Hany Fahmy - 1-18 A Neural Network Monte Carlo Approximation for Expected Utility Theory
by Yichen Zhu & Marcos Escobar-Anel - 1-18 Evidence of Stock Market Contagion during the COVID-19 Pandemic: A Wavelet-Copula-GARCH Approach
by Huthaifa Alqaralleh & Alessandra Canepa - 1-18 Bitcoin Return Volatility Forecasting: A Comparative Study between GARCH and RNN
by Ze Shen & Qing Wan & David J. Leatham - 1-19 Investment Decisions with Endogeneity: A Dirichlet Tree Analysis
by Mahsa Samsami & Ralf Wagner - 1-19 Revisited: Monopoly and Long-Run Capital Accumulation in Two-Sector Overlapping Generation Model
by Ronald Ravinesh Kumar & Peter J. Stauvermann - 1-19 Employee Organisational Commitment and the Mediating Role of Work Locus of Control and Employee Job Satisfaction: The Perspective of SME Workers
by Miston Mapuranga & Eugine Tafadzwa Maziriri & Tarisai Fritz Rukuni & Thobekani Lose - 1-19 RETRACTED: The Relationship between CEO Psychological Biases, Corporate Governance and Corporate Social Responsibility
by Bassem Salhi - 1-21 Modeling Credit Risk: A Category Theory Perspective
by Cao Son Tran & Dan Nicolau & Richi Nayak & Peter Verhoeven - 1-23 Determinants of Bank Profitability in CEE Countries: Evidence from GMM Panel Data Estimates
by Alexandra Horobet & Magdalena Radulescu & Lucian Belascu & Sandra Maria Dita - 1-23 A Comparative Analysis on Probability of Volatility Clusters on Cryptocurrencies, and FOREX Currencies
by Usha Rekha Chinthapalli - 1-24 Risk Implications for the Role of Budgets in Implementing Post-Acquisition Systems Integration Strategies
by Nazila Razi & Elizabeth More & Gensheng Shen - 1-24 Risk and the Market’s Reaction to M&A Announcements
by Ye Cai & Hersh Shefrin - 1-25 Catch the Heterogeneity: The New Bank-Tailored Integrated Rating
by Daniela Arzu & Marcella Lucchetta & Guido Max Mantovani - 1-25 Causes and Effects of Sand and Dust Storms: What Has Past Research Taught Us? A Survey
by Christian Opp & Michael Groll & Hamidreza Abbasi & Mansour Ahmadi Foroushani - 1-25 Computational Analysis of the Properties of Post-Keynesian Endogenous Money Systems
by Stef Kuypers & Thomas Goorden & Bruno Delepierre - 1-31 Machine Learning in Finance: A Metadata-Based Systematic Review of the Literature
by Thierry Warin & Aleksandar Stojkov
June 2021, Volume 14, Issue 7
- 1-13 Tax Rates and Tax Revenues in the Context of Tax Competitiveness
by Martina Helcmanovská & Alena Andrejovská - 1-13 B2B Networking, Renewable Energy, and Sustainability
by Davood Askarany & Hassan Yazdifar & Kevin Dow - 1-13 Analysis of Australia’s Fiscal Vulnerability to Crisis
by Gulasekaran Rajaguru & Safdar Ullah Khan & Habib-Ur Rahman - 1-14 Volatility Spillover and International Contagion of Housing Bubbles
by Jean-Louis Bago & Koffi Akakpo & Imad Rherrad & Ernest Ouédraogo - 1-16 Spatial Impact of Foreign Direct Investment on Poverty Reduction in Vietnam
by Quynh Anh Do & Quoc Hoi Le & Thanh Duong Nguyen & Van Anh Vu & Lan Huong Tran & Cuc Thi Thu Nguyen - 1-17 The Effect of Risk Rating Agencies Decisions on Economic Growth and Investment in a Developing Country: The Case of South Africa
by Daniel Francois Meyer & Lerato Mothibi - 1-17 Forecasting Volatility and Tail Risk in Electricity Markets
by Antonio Naimoli & Giuseppe Storti - 1-18 The Dynamics of Foreign Exchange Derivative Use in China
by Yidi Sun & Bruce Morley - 1-19 Determinants of Financial Inclusion in Small and Medium Enterprises: Evidence from Ethiopia
by Betgilu Oshora & Goshu Desalegn & Eva Gorgenyi-Hegyes & Maria Fekete-Farkas & Zoltan Zeman - 1-20 Modelling Systemically Important Banks vis-à-vis the Basel Prudential Guidelines
by M. Zulkifli Salim & Kevin Daly - 1-20 How the Covid-19 Pandemic Influenced the Approach to Risk Management in Cycling Events
by Filippo Bazzanella & Nunzio Muratore & Philipp Alexander Schlemmer & Elisabeth Happ - 1-21 Impact of Efficiency on Voluntary Disclosure of Non-Banking Financial Company—Microfinance Institutions in India
by Arpita Sharma & Shailesh Rastogi - 1-24 Bitcoin and Portfolio Diversification: A Portfolio Optimization Approach
by Walid Bakry & Audil Rashid & Somar Al-Mohamad & Nasser El-Kanj - 1-25 Combining Investment and Tax Strategies for Optimizing Lifetime Solvency under Uncertain Returns and Mortality
by Sanjiv R. Das & Daniel Ostrov & Aviva Casanova & Anand Radhakrishnan & Deep Srivastav - 1-30 Financial Risk and Better Returns through Smart Beta Exchange-Traded Funds?
by Jordan Bowes & Marcel Ausloos - 1-46 A Survey on Volatility Fluctuations in the Decentralized Cryptocurrency Financial Assets
by Nikolaos A. Kyriazis
June 2021, Volume 14, Issue 6
- 1-5 Book Review “Cultural Finance: A World Map of Risk, Time and Money” by Thorsten Hens, Marc Oliver Rieger, and Mei Wang. Singapore: World Scientific Publishing Co. Pte. Ltd., 2020; ISBN 9789811221958
by Anh Ngoc Quang Huynh & Toan Luu Duc Huynh - 1-11 Legal Aspects of “White-Label” Banking in the European, Polish and German Law
by Michał Grabowski - 1-12 A Deep Learning Integrated Cairns-Blake-Dowd (CBD) Sytematic Mortality Risk Model
by Joab Odhiambo & Patrick Weke & Philip Ngare - 1-13 Foreign Direct Investment in GCC Countries: The Essential Influence of Governance and the Adoption of IFRS
by Costas Siriopoulos & Athanasios Tsagkanos & Argyro Svingou & Evangelos Daskalopoulos - 1-13 Due Diligence and Risk Alleviation in Innovative Ventures—An Alternative Investment Model from Islamic Finance
by Shahzadah Nayyar Jehan - 1-14 Quantile Risk–Return Trade-Off
by Nektarios Aslanidis & Charlotte Christiansen & Christos S. Savva - 1-14 The Odds of Profitable Market Timing
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