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Content
November 2024, Volume 17, Issue 11
September 2024, Volume 17, Issue 10
October 2024, Volume 17, Issue 10
- 1-11 Social Status, Portfolio Externalities, and International Risk Sharing
by Timothy K. Chue
- 1-11 Economic Freedom, Budget Deficits, and Perceived Risk from Larger National Debt-to-GDP Ratios: An Exploratory Analysis of Their Real Interest Rate Effects
by Richard J. Cebula
- 1-12 Do Firms’ Characteristics Influence Their IT Strategies? A Study on the Driving Force behind Firms’ Decisions to Appoint IT Expertise
by Ashraf Khallaf & Anis Samet & Jap Efendi
- 1-14 Financial Flexibility Prevalence Revisited with Evidence from South Africa
by Philip Kotze & Kunofiwa Tsaurai & Godfrey Marozva
- 1-14 Examining the Role of Local Government’s Financial Performance and Capital Expenditure in Increasing Economic Growth in Banten Province, Indonesia (2018–2022)
by Mohamad Harry Mulya Zein & Muhtarom Muhtarom & Mulyadi Mulyadi & Sisca Septiani
- 1-14 Distortion Risk Measures of Increasing Rearrangement
by Joachim Paulusch & Thorsten Moser & Anna Sulima
- 1-14 The Role of Technology in Promoting Green Finance: A Systematic Literature Survey and the Development of a Framework
by Mitra Saeedi & Badar Nadeem Ashraf
- 1-15 Martingale Pricing and Single Index Models: Unified Approach with Esscher and Minimal Relative Entropy Measures
by Stylianos Xanthopoulos
- 1-15 On the Effects of Physical Climate Risks on the Chinese Energy Sector
by Christian Oliver Ewald & Chuyao Huang & Yuyu Ren
- 1-15 A Systematic Literature Review on Transparency in Executive Remuneration Disclosures and Their Determinants
by Tando O. Siwendu & Cosmas M. Ambe
- 1-15 The Strategic Impact of Service Quality and Environmental Sustainability on Financial Performance: A Case Study of 5-Star Hotels in Athens
by Michalis Skordoulis & Angelos-Stavros Stavropoulos & Aristidis Papagrigoriou & Petros Kalantonis
- 1-18 Corporate Governance and Financial Performance: Family Firms vs. Non-Family Firms
by Audney Mashele & Marise Mouton & Lydia Pelcher
- 1-18 The Influence of Fixed and Flexible Funding Mechanisms on Reward-Based Crowdfunding Success
by Lenny Phulong Mamaro & Athenia Bongani Sibindi
- 1-19 A Collection of Wisdom in Predicting Sector Returns: The Use of Google Search Volume Index
by Hsiu-lang Chen & Jolana Stejskalova
- 1-19 The Determinants and Information Effects of Earnings Announcement Date Variability
by Sanghyuk Byun & Kristin C. Roland & Dongchang Kang
- 1-20 From Brown to Green: Climate Transition and Macroprudential Policy Coordination
by Federico Lubello
- 1-20 Forecasting Foreign Direct Investment Inflow to Bangladesh: Using an Autoregressive Integrated Moving Average and a Machine Learning-Based Random Forest Approach
by Md. Monirul Islam & Arifa Jannat & Kentaka Aruga & Md Mamunur Rashid
- 1-20 Optimal Market Completion through Financial Derivatives with Applications to Volatility Risk
by Matt Davison & Marcos Escobar-Anel & Yichen Zhu
- 1-21 Clarity in Crisis: How UK Firms Communicated Risks during COVID-19
by Ahmed Saber Moussa & Mahmoud Elmarzouky
- 1-21 Asset Returns: Reimagining Generative ESG Indexes and Market Interconnectedness
by Gordon Dash & Nina Kajiji & Bruno G. Kamdem
- 1-22 Behavioral and Psychological Determinants of Cryptocurrency Investment: Expanding UTAUT with Perceived Enjoyment and Risk Factors
by Eugene Bland & Chuleeporn Changchit & Robert Cutshall & Long Pham
- 1-23 Digital Financial Literacy and Its Impact on Financial Decision-Making of Women: Evidence from India
by Deepak Mishra & Naveen Agarwal & Sanawi Sharahiley & Vinay Kandpal
- 1-24 Bitcoin Return Prediction: Is It Possible via Stock-to-Flow, Metcalfe’s Law, Technical Analysis, or Market Sentiment?
by Austin Shelton
- 1-25 ESG in Business Research: A Bibliometric Analysis
by Evangelos Chytis & Nikolaos Eriotis & Maria Mitroulia
- 1-25 Enhancing Financial Advisory Services with GenAI: Consumer Perceptions and Attitudes Through Service-Dominant Logic and Artificial Intelligence Device Use Acceptance Perspectives
by Qin Yang & Young-Chan Lee
- 1-26 The Influence of Environmental, Social, and Governance (ESG) Perception on Investor Trust and Brand Relationship Quality: A Study Among Retail Investors in Hong Kong
by Hok Ko Pong & Fion Lai Chun Man
- 1-26 The Price Formation of GCC Country iShares: The Role of Unsynchronized Trading Days between the US and the GCC Markets
by Nassar S. Al-Nassar
- 1-26 Time–Frequency Co-Movement of South African Asset Markets: Evidence from an MGARCH-ADCC Wavelet Analysis
by Fabian Moodley & Sune Ferreira-Schenk & Kago Matlhaku
- 1-27 The Cryptocurrencies in Emerging Markets: Enhancing Financial Inclusion and Economic Empowerment
by Mohammad El Hajj & Imad Farran
- 1-30 From Sensors to Standardized Financial Reports: A Proposed Automated Accounting System Integrating IoT, Blockchain, and XBRL
by Mohamed Nofel & Mahmoud Marzouk & Hany Elbardan & Reda Saleh & Aly Mogahed
- 1-36 Insider Trading before Earnings News: The Role of Executive Pay Disparity
by Ann-Ngoc Nguyen & Viet Le & Andros Gregoriou & David Kernohan
August 2024, Volume 17, Issue 9
September 2024, Volume 17, Issue 9
July 2024, Volume 17, Issue 8
August 2024, Volume 17, Issue 8
- 1-9 The Impact of Selected Financial Ratios on Economic Value Added: Evidence from Croatia
by Robert Zenzerović & Manuel Benazić
- 1-10 Forecasting Credit Cycles: The Case of the Leveraged Finance Market in 2024 and Outlook
by Edward I. Altman
- 1-13 Math Calculation and Financial Literacy: The Incidence of Geometric Progressions in the Calculation of Financial Interest
by Elena Moreno-García
- 1-13 May 2024 Buy-Sell Guide for Dow Jones 30 Stocks and Modified Omega Criterion
by H. D. Vinod
- 1-14 The Impact of Corporate Reputation on Cost of Debt: A Panel Data Analysis of Indian Listed Firms
by Amanpreet Kaur & Mahesh Joshi & Gagandeep Singh & Sharad Sharma
- 1-15 The Role of Artificial Intelligence in Eliminating Accounting Errors
by Moustafa Al Najjar & Mohamed Gaber Ghanem & Rasha Mahboub & Bilal Nakhal
- 1-15 Does Corporate Governance and Earning Quality Mitigate Idiosyncratic Risk? Evidence from an Emerging Economy
by Habib Ur Rahman & Asif Ali & Adam Arian & John Sands
- 1-16 Prediction of Currency Exchange Rate Based on Transformers
by Lu Zhao & Wei Qi Yan
- 1-16 Political Regimes, Stock Liquidity, and Information Asymmetry in a Global Context
by Jang-Chul Kim & Qing Su & Teressa Elliott
- 1-16 The Effects of Monitoring Activities on Loan Defaults in Group-Based Lending Program: Evidence from Vietnam
by Tran Ba-Tri & Loc Dong Truong & H. Swint Friday & Tien Phat Pham
- 1-16 Gender Power, the Top Management Team, and Firm Credit Default Risk
by Mark A. Tribbitt & Richard Walton
- 1-16 The Value of Takeover Defenses and the Interaction Effects of Firm Characteristics
by Seoungpil Ahn
- 1-17 Realized Volatility Spillover Connectedness among the Leading European Currencies after the End of the Sovereign-Debt Crisis: A QVAR Approach
by Michail Nerantzidis & Nikolaos Stoupos & Panayiotis Tzeremes
- 1-17 Does a Change in the ESG Ratings Influence Firms’ Market Value? Evidence from an Event Study
by Paolo Maccarrone & Alessandro Illuzzi & Simone Inguanta
- 1-17 Research on the Dynamic Interrelationship between Economic Policy Uncertainty and Stock Market Returns
by Mingguo Zhao & Hail Park
- 1-17 Operational Competitiveness and the Relationship between Corporate Environmental and Financial Performance
by Senali Amarasuriya & Gerard Burke & Ta Kang Hsu
- 1-17 Evaluating the Relationship between Accounting Variables, Value-Based Management Variables, and Shareholder Returns: An Empirical Approach
by Oji Okpusa Oke & Kola Benson Ajeigbe
- 1-17 Hedonic Models Incorporating Environmental, Social, and Governance Factors for Time Series of Average Annual Home Prices
by Jason R. Bailey & W. Brent Lindquist & Svetlozar T. Rachev
- 1-17 Optimal Investments in the Portfolio Yield Reactive (PYR) Model
by Nikolaos Loukeris & Iordanis Eleftheriadis
- 1-18 The Cost of Potential Delisting of U.S.-Listed Chinese Companies
by Al (Aloke) Ghosh & Wei Wei
- 1-18 Accounting and Macroeconomic Variables Explaining Investment: An Empirical Study with Panel Data in the Portuguese Textile Sector
by Isabel Oliveira & Jorge Figueiredo & Maria Faria & Francisco V. Martins
- 1-18 Does Mediation Matter in Explaining the Relationship between ESG and Bank Financial Performance? A Scoping Review
by Mohammed R. M. Salem & Shahida Shahimi & Suhaili Alma’amun
- 1-19 Effects of Risk Committee on Agency Costs and Financial Performance
by Abdulateif A. Almulhim & Abdullah A. Aljughaiman & Abdulaziz S. Al Naim & Abdulmohsen K. Alosaimi
- 1-19 Impact of Diversity and Inclusion on Firm Performance: Moderating Role of Institutional Ownership
by Rubel Saha & Md Nurul Kabir & Syed Asif Hossain & Sheikh Mohammad Rabby
- 1-19 Liquidity Risk Mediation in the Dynamics of Capital Structure and Financial Performance: Evidence from Jordanian Banks
by Munther Al-Nimer & Omar Arabiat & Rana Taha
- 1-20 Business Model Innovation Factors of Small and Medium-Sized Enterprises in Bolivia
by Franco Arandia Arzabe & Lars Bengtsson & Jazmin Estefania Olivares Ugarte
- 1-20 The Impact of Board Gender Diversity on European Firms’ Performance: The Moderating Role of Liquidity
by Robert Gharios & Antoine B. Awad & Bashar Abu Khalaf & Lena A. Seissian
- 1-21 Loan Pricing in Peer-to-Peer Lending
by David D. Maloney & Sung-Chul Hong & Barin Nag
- 1-21 Does Audit Oversight Quality Reduce Insolvency Risk, Systematic Risk, and ROA Volatility? The Role of Institutional Ownership
by Rebecca Abraham & Hani El-Chaarani & Fitim Deari
- 1-21 Effect of Earnings Management on Earnings Quality and Sustainability: Evidence from Gulf Cooperation Council Distressed and Non-Distressed Companies
by Khaled Aljifri & Tariq Elrazaz
- 1-21 One Man’s Bubble Is Another Man’s Rational Behavior: Comparing Alternative Macroeconomic Hypotheses for the US Housing Market
by Anastasios G. Malliaris & Mary Malliaris & Mark S. Rzepczynski
- 1-21 The Risk Management of COVID-19: Lessons from Financial Economics and Financial Risk Management
by Don M. Chance
- 1-21 Reevaluating Bank Price-to-Book Ratios: An In-Depth Analysis of Equity Components across Economic Cycles
by Fernando García Martínez & Juan Domínguez Jiménez & Ricardo Queralt Sánchez de las Matas
- 1-21 Adapting to Multipolarity: Insights from Iterated Game Theory Simulations—A Preliminary Study on Hypothetical Optimal Global Cooperation
by Panagiotis E. Petrakis & Anna-Maria Kanzola & Ioannis Lomis
- 1-22 Mapping Corporate Tax Planning and Corporate Social Responsibility: A Hybrid Method of Category Analysis
by Lurdes Araújo & Sérgio Ravara Cruz & Luís Lima Santos & Lucília Cardoso
- 1-22 Exploring Calendar Anomalies and Volatility Dynamics in Cryptocurrencies: A Comparative Analysis of Day-of-the-Week Effects before and during the COVID-19 Pandemic
by Sonal Sahu & Alejandro Fonseca Ramírez & Jong-Min Kim
- 1-22 The Impact of Food Delivery Riders’ Perception of Fairness on Organizational Identification in the Digital Economy: Based on the Intermediary Perspective of Organizational Trust in the Context of Digital Technology
by Lei Tong & Chonlavit Sutunyarak
- 1-22 Estimating Volatility of Saudi Stock Market Using Hybrid Dynamic Evolving Neural Fuzzy Inference System Models
by Nawaf N. Hamadneh & Jamil J. Jaber & Saratha Sathasivam
- 1-23 Bibliometric Analysis of the Machine Learning Applications in Fraud Detection on Crowdfunding Platforms
by Luis F. Cardona & Jaime A. Guzmán-Luna & Jaime A. Restrepo-Carmona
- 1-23 A Structural Equation Model on Critical Risk and Success in Public–Private Partnership: Exploratory Study
by Medya Fathi
- 1-23 A Re-Appraisal of the Role of Monetary Policy: The Quantity Theory of Money through a Structural Vector Autoregressive Approach
by Antonio Focacci & Angelo Focacci
- 1-24 Factors Influencing Greenhouse Gas Reduction Measures in European Ports: Implications for Sustainable Investing
by Khilian Schodler & Adriana Saraceni
- 1-24 Extended Least Squares Making Evident Nonlinear Relationships between Variables: Portfolios of Financial Assets
by Pierpaolo Angelini
- 1-24 The Risk of Protectionism: What Can Be Lost?
by Marek Dabrowski
- 1-27 Antecedents of Compliance with Anti-Money Laundering Regulations in the Banking Sector of Ghana
by Bernardette Naa Hoffman & Johnson Okeniyi & Sunday Eneojo Samuel
- 1-30 Econometric Analysis of SOFIX Index with GARCH Models
by Plamen Petkov & Margarita Shopova & Tihomir Varbanov & Evgeni Ovchinnikov & Angelin Lalev
- 1-32 Rainbow Step Barrier Options
by Tristan Guillaume
- 1-32 Integrating Blockchain, IoT, and XBRL in Accounting Information Systems: A Systematic Literature Review
by Mohamed Nofel & Mahmoud Marzouk & Hany Elbardan & Reda Saleh & Aly Mogahed
- 1-33 Essential Factors When Designing a Cost Accounting System in Greek Manufacturing Entities
by Sofia Alexopoulou & Dimitris Balios & Theodoros Kounadeas
- 1-36 Volatility Spillovers among the Major Commodities: A Review
by Konstantinos D. Melas & Anastasia Faitatzoglou & Nektarios A. Michail & Anastasia Artemiou
July 2024, Volume 17, Issue 7
- 1-6 Corporate Finance and Environmental, Social, and Governance (ESG) Practices
by Ștefan Cristian Gherghina
- 1-11 Do Investment Funds Audited by the Big Four Firms Exhibit Different Performances? Evidence from Brazil
by Rodrigo Fernandes Malaquias & Dermeval Martins Borges Junior & Pablo Zambra
- 1-12 The Relationship between Environmental, Social and Governance Factors, Economic Growth, and Banking Activity
by Ioan-Iulian Norocel & Eugen-Marian Vierescu
- 1-13 Understanding Regulatory Changes: Deep Learning in Sustainable Finance and Banking
by Bogdan Ionut Anghel & Radu Lupu
- 1-15 Advanced Statistical Analysis of the Predicted Volatility Levels in Crypto Markets
by Vadim Azhmyakov & Ilya Shirokov & Luz Adriana Guzman Trujillo
- 1-15 Resilience Benchmarking: How Small Hotels Can Ensure Their Survival and Growth during Global Disruptions
by Oleh Kolodiziev & Oleksandr Dorokhov & Valeriia Shcherbak & Liudmyla Dorokhova & Altan Ismailov & Ronnie Figueiredo
- 1-15 The Real-Time Impact of Political Risk on Market Valuations: Evidence from Peru
by Juan Pablo Micozzi & Patricio Navia & Pablo Pinto & Sebastian Saiegh
- 1-15 Modeling and Forecasting Historical Volatility Using Econometric and Deep Learning Approaches: Evidence from the Moroccan and Bahraini Stock Markets
by Imane Boudri & Abdelhamid El Bouhadi
- 1-16 Assessing the Predictive Power of Transformers, ARIMA, and LSTM in Forecasting Stock Prices of Moroccan Credit Companies
by Karima Lahboub & Mimoun Benali
- 1-16 Unpacking Environmental, Social, and Governance Score Disparity: A Study of Indonesian Palm Oil Companies
by Iwan Suhardjo & Chris Akroyd & Meiliana Suparman
- 1-17 Friendly Boards and the Cost of Debt
by Hoontaek Seo & Sangho Yi & William McCumber
- 1-17 Corporate Cash Holdings and Investment Efficiency: Do Women Directors and Financial Crisis Matter?
by Ardianto Ardianto & Noor Adwa Sulaiman
- 1-18 The Conceptual, Social, and Intellectual Structure of the Financial Information/Accounting Manipulation Literature: A Bibliometric Analysis
by Mustafa Kıllı & Samet Evci & İlker Kefe
- 1-18 Financial Risk, Debt, and Efficiency in Indonesia’s Construction Industry: A Comparative Study of SOEs and Private Companies
by Febrianto Arif Wibowo & Arif Satria & Sahala Lumban Gaol & Dikky Indrawan
- 1-18 Factors Influencing Sustainable Poverty Reduction: A Systematic Review of the Literature with a Microfinance Perspective
by Salvador Fonseca & António Moreira & Jorge Mota
- 1-19 An Investigation of the Co-Movement between Spot and Futures Prices for Chinese Agricultural Commodities
by Yongmei Fang & Bo Guan & Xu Huang & Hossein Hassani & Saeed Heravi
- 1-20 Sovereign Credit Risk in Saudi Arabia, Morocco and Egypt
by Amira Abid & Fathi Abid
- 1-20 Mapping Capital Ratios to Bank Lending Spreads: The Role of Efficiency and Asymmetry in Performance Indices
by Ali Golbabaei Pasandi & Mahmoud Botshekan & Abol Jalilvand & Mohammad Ali Rastegar & Mojtaba Rostami Noroozabad
- 1-20 Volatility Persistence and Spillover Effects of Indian Market in the Global Economy: A Pre- and Post-Pandemic Analysis Using VAR-BEKK-GARCH Model
by Narayana Maharana & Ashok Kumar Panigrahi & Suman Kalyan Chaudhury
- 1-20 Challenges and Trends in Green Finance in the Context of Sustainable Development—A Bibliometric Analysis
by Biser Krastev & Radosveta Krasteva-Hristova