Content
April 2021, Volume 14, Issue 4
- 1-24 The Standard Model of Rational Risky Decision-Making
by Kazem Falahati - 1-24 Impact of Audit Committee Quality on the Financial Performance of Conventional and Islamic Banks
by Achraf Haddad & Anis El Ammari & Abdelfattah Bouri - 1-25 Modelling Stock Returns and Risk Management in the Shipping Industry
by Sunil K. Mohanty & Roar Aadland & Sjur Westgaard & Stein Frydenberg & Hilde Lillienskiold & Cecilie Kristensen - 1-25 Analysis and Forecasting of Risk in Count Processes
by Annika Homburg & Christian H. Weiß & Gabriel Frahm & Layth C. Alwan & Rainer Göb - 1-29 The Exposure of French and South Korean Firm Stock Returns to Exchange Rates and the COVID-19 Pandemic
by Willem Thorbecke - 1-31 Modeling Market Order Arrivals on the German Intraday Electricity Market with the Hawkes Process
by Nikolaus Graf von Luckner & Rüdiger Kiesel - 1-33 Managers’ Investment Decisions: Incentives and Economic Consequences Arising from Leases
by Tim V. Eaton & Craig Nichols & James Wahlen & Matthew Wieland - 1-33 The Role of Institutional Investors in Improving Board of Director Attributes around the World
by Badar Alshabibi - 1-41 Social Media’s Impact on the Global Mergers and Acquisitions Market
by Dulani Jayasuriya & Ben O’Neill - 1-43 Fantastic Beasts: Blockchain Based Banking
by Dulani Jayasuriya Daluwathumullagamage & Alexandra Sims
March 2021, Volume 14, Issue 3
- 1-7 Towards a New Form of Undemocratic Capitalism: Introducing Macro-Equity to Finance Development Post COVID-19 Crisis
by Arvind Ashta - 1-10 Globalization and the Outbreak of COVID-19: An Empirical Analysis
by Mohammad Reza Farzanegan & Mehdi Feizi & Hassan F. Gholipour - 1-12 Determinants of Differentiation of Cost of Risk (CoR) among Polish Banks during COVID-19 Pandemic
by Zbigniew Korzeb & Paweł Niedziółka - 1-12 Do Investors Value Environmental Corporate Policies? Evidence from the Australian Market
by Mohinesh Chandra & Alireza Tourani-Rad - 1-13 Does Risk Disclosure Matter for Trade Credit?
by Issal Haj-Salem & Khaled Hussainey - 1-13 On the Moderating Effects of Country Governance on the Relationships between Corporate Governance and Firm Performance
by Chiu-Hui Wu - 1-14 Has the Propensity to Pay Dividends Declined? Evidence from the US Banking Sector
by Shaojie Lai & Qing Wang & Jiangze Du & Shuwen Pi - 1-14 Machine Learning in Futures Markets
by Fabian Waldow & Matthias Schnaubelt & Christopher Krauss & Thomas Günter Fischer - 1-14 Potato Importance for Development Focusing on Prices
by Olli Salmensuu - 1-15 Cash Flows Discounted Using a Model-Free SDF Extracted under a Yield Curve Prior
by A. Ronald Gallant & George Tauchen - 1-15 Foreign Direct Investment and World Pandemic Uncertainty Index: Do Health Pandemics Matter?
by Linh Tu Ho & Christopher Gan - 1-15 Plato as a Game Theorist towards an International Trade Policy
by George E. Halkos & Nicholas C. Kyriazis & Emmanouil M. L. Economou - 1-15 Do IFRS Promote Transparency? Evidence from the Bankruptcy Prediction of Privately Held Swedish and Norwegian Companies
by Akarsh Kainth & Ranik Raaen Wahlstrøm - 1-15 Estimating the Growth Effects of 2004 Eastern Enlargement of the European Union
by Andrzej Cieślik & Mehmet Burak Turgut - 1-16 Financial Sustainability of Cultural Heritage: A Review of Crowdfunding in Europe
by Daniela Angelina Jelinčić & Marta Šveb - 1-16 An Optimal Compensation Agency Model for Sustainability under the Risk Aversion Utility Perspective
by Tyrone T. Lin & Tsai-Ling Liu - 1-16 The Relationship between Governance Quality and the Cost of Equity Capital in Italian Listed Firms: An Update
by Francesca Bertoncelli & Paola Fandella & Emiliano Sironi - 1-16 IPO’s Long-Run Performance: Hot Market versus Earnings Management
by Tsai-Yin Lin & Jerry Yu & Chia-Yi Lin - 1-17 Housing Market in the Time of Pandemic: A Price Gradient Analysis from the COVID-19 Epicentre in China
by Ka Shing Cheung & Chung Yim Yiu & Chuyi Xiong - 1-17 Financing Growth through Remittances and Foreign Direct Investment: Evidences from Balkan Countries
by Esmeralda Jushi & Eglantina Hysa & Arjona Cela & Mirela Panait & Marian Catalin Voica - 1-17 Digital Transformation of Public-Private Partnership Tools
by Lyudmila Tolstolesova & Igor Glukhikh & Natalya Yumanova & Otabek Arzikulov - 1-17 Credit Risk Model Based on Central Bank Credit Registry Data
by Fisnik Doko & Slobodan Kalajdziski & Igor Mishkovski - 1-18 Dynamic Responses of Standard and Poor’s Regional Bank Index to the U.S. Fear Index, VIX
by Bahram Adrangi & Arjun Chatrath & Madhuparna Kolay & Kambiz Raffiee - 1-18 Towards Full-Fledged Inflation Targeting Monetary Policy Regime in Mauritius
by Ashwin Madhou & Tayushma Sewak & Imad Moosa & Vikash Ramiah & Florian Gerth - 1-19 Why Do Countries Request Assistance from International Monetary Fund? An Empirical Analysis
by Ifrah Siddique & Muhammad Azmat Hayat & Muhammad Zahid Naeem & Abdullah Ejaz & Cristi Spulbar & Ramona Birau & Toni Calugaru - 1-19 Performance Management for Growth: A Framework Based on EVA
by Mihaela Brindusa Tudose & Valentina Diana Rusu & Silvia Avasilcai - 1-19 Pricing Perpetual American Put Options with Asset-Dependent Discounting
by Jonas Al-Hadad & Zbigniew Palmowski - 1-19 Impact of Financial Support on Textile Enterprises’ Development
by Kateryna Boichenko & Mário Nuno Mata & Pedro Neves Mata & Jéssica Nunes Martins - 1-20 Risk Management Practices and Firm Performance with a Mediating Role of Business Model Innovation. Observations from Jordan
by Munther Al-Nimer & Sinan S. Abbadi & Ahmad Al-Omush & Habib Ahmad - 1-21 Machine Learning and Financial Literacy: An Exploration of Factors Influencing Financial Knowledge in Italy
by Susanna Levantesi & Giulia Zacchia - 1-22 Divergence Tendencies in the European Integration Process: A Danger for the Sustainability of the E(M)U?
by Linda Glawe & Helmut Wagner - 1-22 A Holistic Perspective on Bank Performance Using Regulation, Profitability, and Risk-Taking with a View on Ownership Concentration
by Shailesh Rastogi & Rajani Gupte & R. Meenakshi - 1-22 Empowering Financial Education by Banks—Social Media as a Modern Channel
by Iwa Kuchciak & Justyna Wiktorowicz - 1-22 Well-Being Impact on Banking Systems
by Iulia Cristina Iuga & Larisa-Loredana Dragolea - 1-25 Financial Crises, Macroeconomic Variables, and Long-Run Risk: An Econometric Analysis of Stock Returns Correlations (2000 to 2019)
by Marco Tronzano - 1-26 The Labour Market Effects of International Trade in the Presence of Vertical Product Differentiation: Some Methodological Remarks in Retrospect
by Giuseppe Celi - 1-26 How Can Enterprise Risk Management Help in Evaluating the Operational Risks for a Telecommunications Company?
by José Ruiz-Canela López - 1-27 Quanto Pricing beyond Black–Scholes
by Holger Fink & Stefan Mittnik - 1-28 Crisis and the Role of Money in the Real and Financial Economies—An Innovative Approach to Monetary Stimulus
by Richard Simmons & Paolo Dini & Nigel Culkin & Giuseppe Littera - 1-30 The Regime-Switching Behaviour of Exchange Rates and Frontier Stock Market Prices in Sub-Saharan Africa
by Maud Korley & Evangelos Giouvris - 1-31 Role of International Trade Competitive Advantage and Corporate Governance Quality in Predicting Equity Returns: Static and Conditional Model Proposals for an Emerging Market
by Erol Muzir & Cevdet Kizil & Burak Ceylan - 1-37 Spillovers of Stock Markets among the BRICS: New Evidence in Time and Frequency Domains before the Outbreak of COVID-19 Pandemic
by Kai Shi - 1-40 Household Wealth: Low-Yielding and Poorly Structured?
by Marc Peter Radke & Manuel Rupprecht
February 2021, Volume 14, Issue 3
- 1-3 Recent Developments in Cryptocurrency Markets: Co-Movements, Spillovers and Forecasting
by Thanasis Stengos - 1-16 Environmental Kuznets Curve Hypothesis on CO 2 Emissions: Evidence for China
by Jihuan Zhang - 1-17 Engineering Procurement Construction in the Context of Belt and Road Infrastructure Projects in West Asia: A SWOT Analysis
by Mohammad Ajmal Nikjow & Li Liang & Xijing Qi & Samad Sepasgozar - 1-18 Causal Links between Trade Openness and Foreign Direct Investment in Romania
by Malsha Mayoshi Rathnayaka Mudiyanselage & Gheorghe Epuran & Bianca Tescașiu - 1-18 The Compounding Effect of Investors’ Cognition and Risk Absorption Potential on Enhancing the Level of Interest towards Investment in the Domestic Capital Market
by Yadav Devi Prasad Behera & Sudhansu Sekhar Nanda & Saroj Kumar Sahoo & Tushar Ranjan Sahoo - 1-19 Maximum Entropy Evaluation of Asymptotic Hedging Error under a Generalised Jump-Diffusion Model
by Farzad Alavi Fard & Firmin Doko Tchatoka & Sivagowry Sriananthakumar - 1-23 Choosing Factors for the Vietnamese Stock Market
by Nina Ryan & Xinfeng Ruan & Jin E. Zhang & Jing A. Zhang - 1-24 The Impact of Israeli and Saudi Arabian Geopolitical Risks on the Lebanese Financial Market
by Layal Mansour-Ichrakieh
February 2021, Volume 14, Issue 2
- 1-10 The Impact of Innovation and Information Technology on Greenhouse Gas Emissions: A Case of the Visegrád Countries
by Radosław Miśkiewicz - 1-10 Diversification Can Control Probability of Default or Risk, but Not Both
by Pedro Cadenas & Henryk Gzyl - 1-10 Methodological Tools for Investment Risk Assessment for the Companies of Real Economy Sector
by Tetiana Zholonko & Olesia Grebinchuk & Maryna Bielikova & Yurii Kulynych & Olena Oviechkina - 1-11 Tax Progressivity of Personal Wages and Income Inequality
by Nikolaos Papanikolaou - 1-11 Granger Causal Nexus between Good Public Governance and Unemployment: Evidence from Cross-Country Panel Data Investigation
by Cristina Boţa-Avram & Adrian Groşanu & Paula-Ramona Răchişan & Sorin Romulus Berinde - 1-11 Optimization of Inventory Holding Cost Due to Price, Weight, and Volume of Items
by Amulya Gurtu - 1-11 What Has Driven the U.S. Monthly Oil Production Since 2009? Empirical Results from Two Modeling Approaches
by Ramaprasad Bhar & Anastasios G. Malliaris & Mary Malliaris - 1-12 Direct and Indirect Effects of Investment Incentives in Slovakia
by Aneta Bobenič Hintošová & František Sudzina & Terézia Barlašová - 1-13 Idiosyncratic Viral Loss Theory: Systemic Operational Losses in Banks
by Sophia Beckett Velez - 1-14 Modeling Study on Risk Identification in the Process of Anti-Crisis Enterprise Management
by Grygoriy Shamborovskyi & Yuliia Nehoda & Nataliya Demidova & Volodymyr Tarashchenko & Svitlana Breus - 1-14 Valuing Dynamic Capabilities-Based Synergies with Real Options
by Andrejs Čirjevskis - 1-16 Fine Art Insurance Policies and Risk Perceptions: The Case of Malta
by Luke Pavia & Simon Grima & Inna Romanova & Jonathan V. Spiteri - 1-16 Does the Croatian Stock Market Have Seasonal Affective Disorder?
by Tihana Škrinjarić & Branka Marasović & Boško Šego - 1-17 Banks’ Foreign Claims in the Aftermath of the 2008 Crisis: Institutional Response, Financial Efficiency, and Integration of Cross-Border Banking in the Euro Area
by Thierry Warin & Aleksandar Stojkov - 1-17 Natural Resources Volatility and Economic Growth: Evidence from the Resource-Rich Region
by Arshad Hayat & Muhammad Tahir - 1-17 Examining the Impact of Financial Development on Energy Production in Emerging Economies
by Neil A. Wilmot & Ariuna Taivan - 1-18 Exploring Risks in the Adoption of Business Intelligence in SMEs Using the TOE Framework
by Ana-Marija Stjepić & Mirjana Pejić Bach & Vesna Bosilj Vukšić - 1-18 Sample Path Generation of the Stochastic Volatility CGMY Process and Its Application to Path-Dependent Option Pricing
by Young Shin Kim - 1-19 Movie Title Keywords: A Text Mining and Exploratory Factor Analysis of Popular Movies in the United States and China
by Xingyao Xiao & Yihong Cheng & Jong-Min Kim - 1-19 E.U. and China Trends in Trade in Challenging Times
by Irena Jindřichovská & Erginbay Uğurlu - 1-20 ESG Disclosures and Stock Price Crash Risk
by Rio Murata & Shigeyuki Hamori - 1-20 Dynamic Effects of Material Production and Environmental Sustainability on Economic Vitality Indicators: A Panel VAR Approach
by João Leitão & Joaquim Ferreira - 1-20 The Interplay between Board Characteristics, Financial Performance, and Risk Management Disclosure in the Financial Services Sector: New Empirical Evidence from Europe
by Gratiela Georgiana Noja & Eleftherios Thalassinos & Mirela Cristea & Irina Maria Grecu - 1-20 Do Political Economy Factors Influence Funding Allocations for Disaster Risk Reduction?
by Shafiqul Islam & Khondker Mohammad Zobair & Cordia Chu & James C. R. Smart & Md Samsul Alam - 1-21 ESG Reporting and Analysts’ Recommendations in GCC: The Moderation Role of Royal Family Directors
by Abdulsamad Alazzani & Wan Nordin Wan-Hussin & Michael Jones & Ahmed Al-hadi - 1-21 Troubles with the Chf Loans in Croatia: The Story of a Case Still Waiting to Be Closed
by Ana Kundid Novokmet - 1-21 Crowdsourcing in Sustainable Retail—A Theoretical Framework of Success Criteria
by Peter Konhäusner - 1-22 An Artificial Intelligence Approach to the Valuation of American-Style Derivatives: A Use of Particle Swarm Optimization
by Ren-Raw Chen & Jeffrey Huang & William Huang & Robert Yu - 1-22 Sustainability in the European Union: Analyzing the Discourse of the European Green Deal
by Eva Eckert & Oleksandra Kovalevska - 1-22 Use of Derivative and Firm Performance: Evidence from the Chinese Shenzhen Stock Exchange
by Yantao Wen & Yuanfei Kang & Yafeng Qin & Jeffrey C. Kennedy - 1-23 The Relationship between Yield Curve and Economic Activity: An Analysis of G7 Countries
by Ronald Ravinesh Kumar & Peter Josef Stauvermann & Hang Thi Thu Vu - 1-27 Time-Consistent Investment and Consumption Strategies under a General Discount Function
by Ishak Alia & Farid Chighoub & Nabil Khelfallah & Josep Vives - 1-29 Small and Medium-Sized Enterprises, Business Demography and European Socio-Economic Model: Does the Paradigm Really Converge?
by Jean Vasile Andrei & Luminita Chivu & Ileana Georgiana Gheorghe & Aleksandar Grubor & Teodor Sedlarski & Violeta Sima & Jonel Subić & Mile Vasic - 1-30 Evaluation of the Accuracy of Machine Learning Predictions of the Czech Republic’s Exports to the China
by Petr Suler & Zuzana Rowland & Tomas Krulicky
January 2021, Volume 14, Issue 2
- 1-5 Corporate Finance
by Ștefan Cristian Gherghina - 1-10 Acknowledgment to Reviewers of Journal of Risk and Financial Management in 2020
by JRFM Editorial Office - 1-11 Lost in Missions? Employees as a Top Strategic Priority of the World’s Biggest Banks
by Dmitry A. Ruban & Natalia N. Yashalova - 1-14 Does the Design of Stablecoins Impact Their Volatility?
by Klaudia Jarno & Hanna Kołodziejczyk - 1-15 How Does COVID-19 Affect House Prices? A Cross-City Analysis
by Bingbing Wang - 1-15 Trade and Infrastructure in the Belt and Road Initiative: A Gravity Analysis Based on Revealed Trade Preferences
by Cristina Di Stefano & P. Lelio Iapadre & Ilaria Salvati - 1-15 Observation Time Effects in Reinforcement Learning on Contracts for Difference
by Maximilian Wehrmann & Nico Zengeler & Uwe Handmann - 1-17 Inconsistent Definitions of Money and Currency in Financial Legislation as a Threat to Innovation and Sustainability
by Leander Bindewald - 1-19 Application of the 4Es in Online Crowdfunding Platforms: A Comparative Perspective of Germany and China
by Peter Konhäusner & Bing Shang & Dan-Cristian Dabija - 1-19 Transformational Approach to Analytical Value-at-Risk for near Normal Distributions
by Puneet Prakash & Vikas Sangwan & Kewal Singh - 1-20 A Random Forests Approach to Predicting Clean Energy Stock Prices
by Perry Sadorsky - 1-20 Investor Intention in Equity Crowdfunding. Does Trust Matter?
by Mohammed Alharbey & Stefan Van Hemmen - 1-29 Know Your Clients’ Behaviours: A Cluster Analysis of Financial Transactions
by John R. J. Thompson & Longlong Feng & R. Mark Reesor & Chuck Grace - 1-40 The Evolution of Arrears among US Households 1995–2013
by Charles Grant
January 2021, Volume 14, Issue 1
- 1-4 Entrepreneurial Finance: Research, Practice, and Policy for Post-Covid-19 Economic Recovery
by Siri Terjesen - 1-12 Economic Calculus Qua an Instrument to Support Sustainable Development under Increasing Risk
by Grzegorz Drozdowski - 1-12 A Contract Theory Approach to Islamic Financial Securities with an Application to Diminishing Mush?rakah
by Lukman Hanif Arbi - 1-12 European FDI in Ireland and Iceland: Before and after the Financial Crisis
by Helga Kristjánsdóttir & Stefanía Óskarsdóttir - 1-13 Investigating the Dynamic Interlinkages between Exchange Rates and the NSE NIFTY Index
by Vijay Victor & Dibin K K & Meenu Bhaskar & Farheen Naz - 1-13 Market Graph Clustering via QUBO and Digital Annealing
by Seo Woo Hong & Pierre Miasnikof & Roy Kwon & Yuri Lawryshyn - 1-14 Italexit and the Impact of Immigrants from Italy on the Italian Labor Market
by Mihaela Simionescu - 1-14 Reference Prices and Turnover: Evidence from Small-Capitalization Stocks
by Ashish Pandey - 1-14 Tourism Well-Being and Transitioning Island Destinations for Sustainable Development
by Jerome Agrusa & Cathrine Linnes & Joseph Lema & Jihye (Ellie) Min & Tony Henthorne & Holly Itoga & Harold Lee - 1-15 Do the Determinants of Non-Performing Loans Have a Different Effect over Time? A Conditional Correlation Approach
by Mariagrazia Fallanca & Antonio Fabio Forgione & Edoardo Otranto - 1-15 Intellectual Capital and Bank Risk in Vietnam—A Quantile Regression Approach
by Dat T. Nguyen & Tu D. Q. Le & Tin H. Ho - 1-16 Different Measures of Country Risk: An Application to European Countries
by Guido Bonatti & Andrea Ciacci & Enrico Ivaldi - 1-16 Minimum Wage Changes across Provinces in China: Average Treatment Effects on Employment and Investment Decisions
by Ji Luo & Daniel J. Henderson - 1-16 Governance Vis-à-Vis Investment Efficiency: Substitutes or Complementary in Their Effects on Disclosure Practice
by Noha Elberry & Khaled Hussainey - 1-17 Money Decentralization under Direct Democracy Procedures. The Case of Classical Athens
by Emmanouil-Marios L. Economou & Nicholas C. Kyriazis & Nikolaos A. Kyriazis - 1-18 CEO Duality: Newspapers and Stock Market Reactions
by Marco Caiffa & Vincenzo Farina & Lucrezia Fattobene - 1-18 Factors Influencing the Extent of the Ethical Codes: Evidence from Slovakia
by Jana Kozáková & Mária Urbánová & Radovan Savov - 1-19 Executive Compensation and Firm Performance in New Zealand: The Role of Employee Stock Option Plans
by David K. Ding & Ya Eem Chea - 1-19 The Concept of Sustainable Rural Tourism Development in the Face of COVID-19 Crisis: Evidence from Russia
by Anna Polukhina & Marina Sheresheva & Marina Efremova & Oxana Suranova & Oksana Agalakova & Anton Antonov-Ovseenko - 1-20 The Influence of Female Directors and Institutional Pressures on Corporate Social Responsibility in Family Firms in Latin America
by Isabel-María García-Sánchez & Lázaro Rodríguez-Ariza & María-del-Carmen Granada-Abarzuza - 1-20 Trade Policy Uncertainty Effects on Macro Economy and Financial Markets: An Integrated Survey and Empirical Investigation
by Nikolaos A. Kyriazis - 1-21 Improving MACD Technical Analysis by Optimizing Parameters and Modifying Trading Rules: Evidence from the Japanese Nikkei 225 Futures Market
by Byung-Kook Kang - 1-22 Sustainable Investments in Responsible SMEs: That’s What’s Distinguish Government VCs from Private VCs
by Jeaneth Johansson & Malin Malmström & Joakim Wincent - 1-23 Infrastructural and Social Aspects of ICT Dissemination in Rural Areas in Ukraine in Juxtaposition with Other Post-Transition Countries—State of Play and Prospects for Rural Development
by Aleksandra Synowiec - 1-25 First to React Is the Last to Forgive: Evidence from the Stock Market Impact of COVID 19
by Sherif. M. Hassan & John M. Riveros Gavilanes - 1-26 Sanctions as a Catalyst for Russia’s and China’s Balance of Trade: Business Opportunity
by Jakub Horak - 1-29 A Review of the Regulatory Impact Analysis of Risk-Based Capital and Related Liquidity Rules
by Thomas L. Hogan - 1-58 How Integrated are Regional Green Equity Markets? Evidence from a Cross-Quantilogram Approach
by Linh Pham
December 2020, Volume 14, Issue 1
- 1-13 Risk Perception, Accounting, and Resilience in Public Sector Organizations: A Case Study Analysis
by Mouhcine Tallaki & Enrico Bracci - 1-13 Civic Crowdfunding in Local Governments: Variables for Success in the Netherlands?
by Kees Van Montfort & Vinitha Siebers & Frank Jan De Graaf - 1-14 Bankruptcy Prediction Models Based on Value Measures
by Andrzej Jaki & Wojciech Ćwięk - 1-14 The Impact of Working Capital Management on Firm Profitability: Empirical Evidence from the Polish Listed Firms
by Sorin Gabriel Anton & Anca Elena Afloarei Nucu - 1-14 Fiscal Transparency and Public Service Quality Association: Evidence from 12 Coastal Provinces and Cities of China
by Qiuxia Yang - 1-18 The Event of Croatia’s EU Accession and Membership from the Croatian High School Students’ Perspective
by Anamarija Pisarović & Sanja Tišma & Krševan Antun Dujmović & Mira Mileusnić Škrtić - 1-18 COVID-19 Outbreak and CO 2 Emissions: Macro-Financial Linkages
by Julien Chevallier - 1-22 Catholic Social Thought and Sustainability. Ethical and Economic Alignment
by Ana María Gómez-Bezares & Fernando Gómez-Bezares - 1-23 A Gap in Brain Gain for Emerging Countries: Evidence of International Immigration on Non-Resident Patents
by Bolortuya Enkhtaivan & Jorge Brusa & Zagdbazar Davaadorj - 1-23 Financing Responsible Small- and Medium-Sized Enterprises: An International Overview of Policies and Support Programmes
by Susanne Durst & Wolfgang Gerstlberger - 1-24 Reforms Protecting Minority Shareholders and Firm Performance: International Evidence
by Corina Burunciuc & Halit Gonenc - 1-31 Multi-Period Portfolio Optimization with Investor Views under Regime Switching
by Razvan Oprisor & Roy Kwon - 1-32 The Impact of the Introduction of Uniform European Collective Action Clauses on European Government Bonds as a Regulatory Result of the European Sovereign Debt Crisis
by Nicoletta Layher & Eyden Samunderu
December 2020, Volume 13, Issue 12
- 1-2 Recent Advancements in Section “Financial Technology and Innovation”
by Shigeyuki Hamori - 1-9 Natural Disasters and Economic Growth: A Semiparametric Smooth Coefficient Model Approach
by Nikos Fatouros & Yiguo Sun - 1-10 The Challenges and Opportunities for ERM Post-COVID-19: Agendas for Future Research
by Don Pagach & Monika Wieczorek-Kosmala - 1-10 Inflation and Risky Investments
by Hannu Laurila & Jukka Ilomäki - 1-11 Lack of Uniformity in the Israeli Property Tax System 1997–2017
by Avi Perez - 1-12 Factor-Based Optimization of a Fundamentally-Weighted Portfolio in the Illiquid and Undeveloped Stock Market
by Davor Zoričić & Denis Dolinar & Zrinka Lovretin Golubić - 1-13 Corporate Bond Market in Poland—Prospects for Development
by Jakub Kubiczek - 1-13 Bank Characteristics Effect on Capital Structure: Evidence from PMG and CS-ARDL
by Ahmet Erülgen & Husam Rjoub & Ahmet Adalıer - 1-13 A System to Support the Transparency of Consumer Credit Offers
by Bożena Frączek - 1-13 The Role of Educational Technologies in CSR Perception of Tourism Education: The Comparative Analysis of E-Learning and M-Learning Tools as Moderators
by Basil John Thomas & Tarek Khalil & Nisha Joseph - 1-13 Assessing Commonality in Liquidity with Principal Component Analysis: The Case of the Warsaw Stock Exchange
by Joanna Olbryś & Elżbieta Majewska - 1-13 Consumer Behaviour towards Organic Products: The Moderating Role of Environmental Concern
by Silvia Cachero-Martínez - 1-14 Impact of Macroeconomic, Governance and Risk Factors on FDI Intensity—An Empirical Analysis
by K. S. Sujit & B. Rajesh Kumar & Sarbjit Singh Oberoi - 1-14 The Impact of Credit Constraints on International Quality and Environmental Certifications: Evidence from Survey Data
by Filomena Pietrovito - 1-14 How to Measure Financial Literacy?
by Marc Oliver Rieger - 1-15 The Impact of Internationalization of the Boardroom on Capital Structure
by Ibrahim Yousef & Hanada Almoumani & Ihssan Samara - 1-15 Regime-Switching Factor Investing with Hidden Markov Models
by Matthew Wang & Yi-Hong Lin & Ilya Mikhelson - 1-16 Communication as a Part of Identity of Sustainable Subjects in Fashion
by Alena Kusá & Marianna Urmínová - 1-16 Regime-Dependent Good and Bad Volatility of Bitcoin
by Kislay Kumar Jha & Dirk G. Baur - 1-16 Predictions of Crowdfunding Campaign Success: The Influence of First Impressions on Accuracy and Positivity
by Etienne Schraven & Elco van Burg & Marco van Gelderen & Enno Masurel - 1-17 Models for Expected Returns with Statistical Factors
by José Manuel Cueto & Aurea Grané & Ignacio Cascos - 1-17 How Does Aggregate Tax Policy Uncertainty Affect Default Risk?
by Mehmet Serkan Tosun & Serhat Yildiz - 1-18 International Tourism Development in the Context of Increasing Globalization Risks: On the Example of Ukraine’s Integration into the Global Tourism Industry
by Yurii Kyrylov & Viktoriia Hranovska & Viktoriia Boiko & Aleksy Kwilinski & Liudmyla Boiko - 1-19 When Does Earnings Management Matter? Evidence across the Corporate Life Cycle for Non-Financial Chinese Listed Companies
by Ammar Hussain & Minhas Akbar & Muhammad Kaleem Khan & Ahsan Akbar & Mirela Panait & Marian Catalin Voica - 1-20 The Effect and Impact of Signals on Investing Decisions in Reward-Based Crowdfunding: A Comparative Study of China and the United Kingdom
by Sardar Muhammad Usman & Farasat Ali Shah Bukhari & Huiwei You & Daniel Badulescu & Darie Gavrilut - 1-22 Which Sustainability Dimensions Affect Credit Risk? Evidence from Corporate and Country-Level Measures
by Lutfi Abdul Razak & Mansor H. Ibrahim & Adam Ng - 1-23 Decomposing the Effect of Domestic and Foreign Economic Policy Uncertainty Shocks on Real and Financial Sectors: Evidence from BRIC Countries
by Ameet Kumar & Muhammad Ramzan Kalhoro & Rakesh Kumar & Niaz Hussain Ghumro & Sarfraz Ahmed Dakhan & Vikesh Kumar - 1-25 COVID-19 Pandemic and Financial Contagion
by Julien Chevallier - 1-28 Institutional Drivers of Crowdfunding Volumes
by Mari-Liis Kukk & Laivi Laidroo - 1-33 Option Pricing Incorporating Factor Dynamics in Complete Markets
by Yuan Hu & Abootaleb Shirvani & W. Brent Lindquist & Frank J. Fabozzi & Svetlozar T. Rachev
November 2020, Volume 13, Issue 12
- 1-5 Ten Most Highly Cited Papers in Journal of Risk and Financial Management (JRFM), 2018–2020
by Michael McAleer - 1-10 Using Supra-Covered Bonds to Enhance Liquidity in the Euro Area: Assessment of Advantages for the Banking Sector
by Matteo Salto & Stefano Zedda & Stefan Zeugner - 1-12 Nonparametric Estimation of the Ruin Probability in the Classical Compound Poisson Risk Model
by Yuan Gao & Lingju Chen & Jiancheng Jiang & Honglong You - 1-14 Consideration of Risk Factors in Corporate Property Portfolio Management
by Lidiia Karpenko & Iryna Chunytska & Nataliia Oliinyk & Nataliia Poprozman & Olha Bezkorovaina - 1-15 Risk Management in the System of Financial Stability of the Service Enterprise
by Svetlana Drobyazko & Anna Barwinska-Malajowicz & Boguslaw Slusarczyk & Olga Chubukova & Taliat Bielialov - 1-16 Effect of Fisheries Subsidies Negotiations on Fish Production and Interest Rate
by Radika Kumar & Ronald Ravinesh Kumar & Peter Josef Stauvermann & Pallavi Arora - 1-24 Early Warning Signs of Financial Market Turmoils
by Nils Bertschinger & Oliver Pfante - 1-25 Zero-Debt Policy under Asymmetric Information, Flexibility and Free Cash Flow Considerations
by Anton Miglo - 1-30 Liquidity-Saving through Obligation-Clearing and Mutual Credit: An Effective Monetary Innovation for SMEs in Times of Crisis
by Tomaž Fleischman & Paolo Dini & Giuseppe Littera
November 2020, Volume 13, Issue 11
- 1-2 Recent Advancements in Section “Economics and Finance”
by Thanasis Stengos - 1-10 The Determinants of the Performance of Precious Metal Mutual Funds
by Ioannis E. Tsolas - 1-11 Economic Advantages of Community Currencies
by Sarah Zeller - 1-12 Sustainable Entrepreneurship in the Transport and Retail Supply Chain Sector
by Cristian Negrutiu & Cristinel Vasiliu & Calcedonia Enache - 1-12 A Hausman Test for Partially Linear Models with an Application to Implied Volatility Surface
by Yixiao Jiang - 1-13 Ageing Society and SARS-CoV-2 Mortality: Does the Healthcare Absorptive Capacity Matter?
by Mohammad Reza Farzanegan - 1-14 Dynamic Connectedness between Bitcoin, Gold, and Crude Oil Volatilities and Returns
by Serda Selin Ozturk - 1-14 Will the Aviation Industry Have a Bright Future after the COVID-19 Outbreak? Evidence from Chinese Airport Shipping Sector
by Jingxuan Liu & Ping Qiao & Jian Ding & Luke Hankinson & Elodie H. Harriman & Edward M. Schiller & Ieva Ramanauskaite & Haowei Zhang - 1-14 A New Application for the Goal Programming—The Target Decision Rule for Uncertain Problems
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