Content
August 2024, Volume 17, Issue 8
- 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 - 1-21 Impact of Board Committee Characteristics on Social Sustainability Reporting in Sub-Saharan Africa: The Moderating Role of Institutional Ownership
by Marshall Wellington Blay & Prosper Kweku Hoeyi & Ebenezer Agyemang Badu & Abdul Bashiru Jibril - 1-21 The Impact of the Cryptocurrency Market on Islamic vs. Conventional Stock Returns: Evidence from Gulf Cooperation Council Countries
by Naji Mansour Nomran & Abdelkader Laallam & Razali Haron & Aghilasse Kashi & Zakir Hossen Shaikh & Joji Abey - 1-22 Reforming Sustainability-Linked Bonds by Strengthening Investor Trust
by Frederic de Mariz & Pieter Bosmans & Daniel Leal & Saumya Bisaria - 1-23 Bank Reputation and Trust: Impact on Client Satisfaction and Loyalty for Portuguese Clients
by António Cardoso & Marta Cardoso - 1-23 A News Sentiment Index to Inform International Financial Reporting Standard 9 Impairments
by Yolanda S. Stander - 1-23 Evaluation of Total Risk-Weighted Assets in Islamic Banking through Fintech Innovations
by Asma S. Alzwi & Jamil J. Jaber & Hani Nuri Rohuma & Rania Al Omari - 1-24 Financial Distress Premium or Discount? Some New Evidence
by Ramya R. Aroul & Noura K. Kone & Sanjiv Sabherwal - 1-25 Impact of Mandatory Audits of Small- and Medium-Sized Enterprises on Their Income Tax Compliance: Evidence from the Egyptian Small- and Medium-Sized Enterprise Stock Market
by Abouelghit Mahmoud Galal Mohamed & Shengdao Gan - 1-26 Cost–Benefit Analysis of International Financial Reporting Standard and Russian Accounting Standard Integration: What Does Comparability Cost?
by Elizabeth H. Turner & Clark M. Wheatley - 1-26 Mapping Corporate Sustainability and Firm Performance Research: A Scientometric and Bibliometric Examination
by Akshat Chopra & Ashima Singh & Rajarshi Debnath & Majdi Anwar Quttainah - 1-26 Estimation of Optimal Hedge Ratio: A Wild Bootstrap Approach
by Phong Minh Nguyen & Darren Henry & Jae H. Kim & Sisira Colombage - 1-30 Productivity and Keynes’s 15-Hour Work Week Prediction for 2030: An Alternative, Macroeconomic Analysis for the United States
by Edoardo Beretta & Aurelio F. Bariviera & Marco Desogus & Costanza Naguib & Sergio Rossi - 1-31 Driving Venture Capital Interest: The Influence of the Big 4 Audit Firms on IPOs
by Manal Alidarous - 1-33 Would Managers Sacrifice Conservative Financial Reporting to Meet/Beat Market Earnings Expectations?
by Anthony C. Ng & Hua Christine Xin & Bikki Jaggi - 1-38 Navigating the Storm: How Economic Uncertainty Shapes Audit Quality in BRICS Nations Amid CEO Power Dynamics
by Antonios Persakis & Ioannis Tsakalos - 1-43 Blockchain for Accounting and Auditing—Accounting and Auditing for Cryptocurrencies: A Systematic Literature Review and Future Research Directions
by Ifigenia Georgiou & Svetlana Sapuric & Petros Lois & Alkis Thrassou
June 2024, Volume 17, Issue 7
- 1-7 External Auditor’s Reliance Decision on the Internal Audit Function: A Qualitative Analysis on the Coordination Process
by Lawrence Chui & Byron J. Pike & Kasey Martin - 1-11 Does the Way Variables Are Calculated Change the Conclusions to Be Drawn? A Study Applied to the Ratio ROI ( Return on Investment )
by Tiago Patrocínio & Mara Madaleno & Manuel Carlos Nogueira - 1-11 What’s Wrong with Enterprise Risk Management?
by John Fraser & Rob Quail & Betty Simkins - 1-13 The Feasibility of Coordinating International Monetary Policy Strategies in the Context of Asymmetric Demand Shocks
by Leonid Serkov & Sergey Krasnykh & Julia Dubrovskaya & Elena Kozonogova - 1-13 Climate Change and Corporate Financial Performance
by Lian Liu & John Beirne & Dina Azhgaliyeva & Dil Rahut - 1-14 The Asymmetric Effects of Oil Price Volatility on Stock Returns: Evidence from Ho Chi Minh Stock Exchange
by Loc Dong Truong & H. Swint Friday & Nhien Tuyet Doan - 1-15 Asymmetry in Cost Behavior in Brazilian Hospitals
by Josiane Da Conceição Bitela Da Silva & Tany Ingrid Sagredo Marin & Katia Abbas & Luiz Eduardo Gaio & Carlos Alberto Grespan Bonacim & Rafael Confetti Gatsios - 1-16 Beyond the Silicon Valley of the East: Exploring Portfolio Diversification with India and MINT Economies
by Caner Özdurak & Derya Hekim - 1-18 Impact of Ownership Structure and Dividends on Firm Risk and Market Liquidity
by Abhinav Rajverma - 1-20 Diverging Paths: CEO Regulatory Focus, Corporate Social Responsibility, and the Enigma of Firm Performance
by Tianmin Cheng & Wen Hua Sharpe & Abdel K. Halabi - 1-20 Perspectives on Migration and Financial Markets Research
by Juan David González-Ruiz & Camila Múnera-Sierra & Nini Johana Marín-Rodríguez - 1-22 Capital Structure and Financial Performance of Moroccan Agricultural Small- and Medium-Sized Enterprises: Moderating Effects of Government Subsidies
by Imad Nassim & Bouchra Benraïss - 1-22 Entrepreneurial Intentions in the Absence of Banking Services: The Case of the Lebanese in Crises
by Jeanne Laure Mawad & Sibelle Freiha - 1-24 The Impact of Family Firms and Supervisory Boards on Corporate Environmental Quality
by Hendra Susanto & Nyoman Adhi Suryadnyana & Rusmin Rusmin & Emita Astami - 1-24 Comparative Analysis of Gold, Art, and Wheat as Inflation Hedges
by Nguyen Thi Thanh Binh - 1-25 Risk Premium and Fear of Investors in Crisis’ Periods: An Empirical Approach Based on Fama–French and Carhart Factor Models
by Antonios Pentsas & Paraskevi Boufounou & Kanellos Toudas & Ioannis Katsampoxakis - 1-26 Mechanisms of Stimulation of Small- and Medium-Sized Entrepreneurship: The Experience of Kazakhstan
by Damira Kazbekova & Mariana Petrova & Olena Sushchenko & Anargul Belgibayeva & Milen Mitkov - 1-26 The Impact of Economic Growth on the Ecological Environment and Renewable Energy Production: Evidence from Azerbaijan and Hungary
by Sugra Ingilab Humbatova & Nargiz Hajiyeva & Monika Garai Fodor & Kiran Sood & Simon Grima - 1-27 The Role of Political Uncertainty in Climate-Related Disaster Impacts on Financial Markets
by Richard Paul Gregory - 1-28 Financial Risk Management Early-Warning Model for Chinese Enterprises
by Haitong Wei & Xinghai Wang - 1-48 COVID-19 and Non-Performing Loans in Europe
by John Hlias Plikas & Dimitrios Kenourgios & Georgios A. Savvakis
June 2024, Volume 17, Issue 6
- 1-11 Public Law Liability of the Financial Market Supervisor
by Michal Janovec & János Kálmán - 1-14 CEO Characteristics and Risk-Taking under Economic Policy Uncertainty
by Ivan Stetsyuk & Ayca Altintig & Kerim Peren Arin & Moo Sung Kim - 1-15 Does Islamic Sustainable Finance Support Sustainable Development Goals to Avert Financial Risk in the Management of Islamic Finance Products? A Critical Literature Review
by Lukman Raimi & Ibrahim Adeniyi Abdur-Rauf & Saheed Afolabi Ashafa - 1-15 The Impact of Audit Characteristics on Earnings Management: Evidence from Dubai Banks
by Sinan Zuhair Mohammed Jameel & Ali Malallah Al-Sendy & Kubra Muhammad Taher Hamoudi - 1-16 Optimizing Concession Agreement Terms and Conditions: Stakeholder Interest Alignment in the Petrochemical Sector
by Tatyana Ponomarenko & Ilya Gorbatyuk & Sergey Galevskiy & Evgenii Marin - 1-16 Exploring the Resilience of Islamic Stock in Indonesia and Asian Markets
by Nofrianto Nofrianto & Deni Pandu Nugraha & Amanj Mohamed Ahmed & Zaenal Muttaqin & Maria Fekete-Farkas & István Hágen - 1-17 Corporate Income Taxation Dynamics: A Comparative Analysis of Portugal, Germany, Belgium, The Netherlands, and Luxembourg
by Filipa Jesus & José Amorim & Catarina Cepeda - 1-18 Neural Network-Based Predictive Models for Stock Market Index Forecasting
by Karime Chahuán-Jiménez - 1-18 An Exogenous Risk in Fiscal-Financial Sustainability: Dynamic Stochastic General Equilibrium Analysis of Climate Physical Risk and Adaptation Cost
by Shuqin Gao - 1-18 Factors Affecting Return on Assets in the Renewable Energy Sector during Supply Chain Disruptions
by Jie Yu - 1-20 Resource Price Interconnections and the Impact of Geopolitical Shocks Using Granger Causality: A Case Study of Ukraine–Russia Unrest
by Eirini Kostaridou & Nikolaos Siatis & Eleni Zafeiriou - 1-21 Perception of Corporate Social Responsibility, Organizational Commitment and Employee Innovation Behavior: A Survey from Chinese AI Enterprises
by Hao He & Chonlavit Sutunyarak - 1-22 Lessons from the Demise of the Brent Crude Oil Futures Contract on the Singapore Exchange
by David K. Ding & Wui Boon Lim - 1-23 Digital-Platform-Based Ecosystems: CSR Innovations during Crises
by Enoch Opare Mintah & Mahmoud Elmarzouky - 1-23 Does Corporate Social Responsibility Create Value in Acquisitions? Evidence from the German Market
by Jan-Luca Walter & Michel Charifzadeh & Tim Alexander Herberger - 1-26 Do Internal Corporate Governance Practices Influence Stock Price Volatility? Evidence from Egyptian Non-Financial Firms
by Mohamed Sherif & Doaa El-Diftar & Tamer Shahwan - 1-27 Follow the Leader: How Culture Gives Rise to a Behavioral Bias That Leads to Higher Greenhouse Gas Emissions
by Le Zhao & Nima Vafai & Marcos Velazquez & Abu Amin - 1-27 Natural Disasters and Human Development in Asia–Pacific: The Role of External Debt
by Markus Brueckner & Sudyumna Dahal & Haiyan Lin - 1-28 The Principle of Proportionality: Unraveling the Practical Application of Proportionality in the EU Regulations and the Solvency II Directive for Insurance Undertakings
by Aaron Baldacchino & Simon Grima & Kiran Sood - 1-29 Can the Presence of Big 4 Auditors in IPO Prospectus Reduce Failure Risk?
by Manal Alidarous - 1-29 Financial Fragility and Public Social Spending: Unraveling the Endogenous Nexus
by Dionysios Kyriakopoulos & John Yfantopoulos & Theodoros Stamatopoulos - 1-34 Portfolio Optimization with Sector Return Prediction Models
by Wolfgang Bessler & Dominik Wolff - 1-39 ChatGPT, Help! I Am in Financial Trouble
by Minh Tam Tammy Schlosky & Serkan Karadas & Sterling Raskie - 1-44 Adaptive Conformal Inference for Computing Market Risk Measures: An Analysis with Four Thousand Crypto-Assets
by Dean Fantazzini
May 2024, Volume 17, Issue 6
- 1-12 Goodwill Valuation Enhancement through Capitalization Method and Statistical Impact Analysis
by Shariq Mohammed & Amir Ahmad Dar & Mohammad Shahfaraz Khan & Imran Azad & Gopu Jayaraman & Olayan Albalawi - 1-13 Investing in US Timberland Companies
by Jack Clark Francis & Ge Zhang - 1-13 Does Debt Structure Explain the Relationship between Agency Cost of Free Cash Flow and Dividend Payment? Evidence from Saudi Arabia
by Moez Dabboussi - 1-13 Diversification Is Not a Free Lunch
by Dirk G. Baur - 1-15 Sparked Intuition Power: An Audit Risk Activity
by Michael Barnes & Kathryn Enget & Mitchell Heberer - 1-16 Effects of Ownership Structure on Intellectual Capital: Evidence from Publicly Listed Banks in Bangladesh
by Syed Zabid Hossain & Md. Sohel Rana - 1-16 Revolutionizing Hedge Fund Risk Management: The Power of Deep Learning and LSTM in Hedging Illiquid Assets
by Yige Wang & Leyao Tong & Yueshu Zhao - 1-16 Financial Development, Financial Openness, and Policy Effectiveness
by Niraj P. Koirala & Hassan Anjum Butt & Jeffrey Zimmerman & Ahmed Kamara - 1-17 Empowering Self-Help Groups: The Impact of Financial Inclusion on Social Well-Being
by Madan Survase & Atmajitsinh Gohil - 1-18 Investigating the Components of Perceived Risk Factors Affecting Mobile Payment Adoption
by Eugene Bland & Chuleeporn Changchit & Charles Changchit & Robert Cutshall & Long Pham - 1-18 Do CEOs Identified as Value Investors Outperform Those Who Are Not?
by George Athanassakos - 1-18 European Structural and Investment Funds (ESIFs) and Regional Development across the European Union (EU)
by Nikolitsa Spilioti & Athanasios Anastasiou - 1-23 An Empirical Examination of Bitcoin’s Halving Effects: Assessing Cryptocurrency Sustainability within the Landscape of Financial Technologies
by Juraj Fabus & Iveta Kremenova & Natalia Stalmasekova & Terezia Kvasnicova-Galovicova - 1-26 Determinants of Bank Profitability—Do Institutions, Globalization, and Global Uncertainty Matter for Banks in Island Economies? The Case of Fiji
by Shasnil Avinesh Chand & Ronald Ravinesh Kumar & Peter Josef Stauvermann & Muhammad Shahbaz - 1-30 Transmission of Inflation and Exchange Rate Effects: The Markov Switching Vector Autoregressive Methodology
by Heni Boubaker & Ben Saad Zorgati Mouna
April 2024, Volume 17, Issue 5
- 1-9 Impact of Water Management Policies on Volatility Transmission in the Energy Sector
by Elif Gormus & Katharine Harrell - 1-10 High Risk, Constrained Return: Impact of Student Loans on Agricultural Real Estate
by Leobardo Diosdado & Donald Lacombe & Darren Hudson - 1-10 Forecasting the Performance of the Energy Sector at the Saudi Stock Exchange Market by Using GBM and GFBM Models
by Mohammed Alhagyan - 1-11 Practical Improvements to Mean-Variance Optimization for Multi-Asset Class Portfolios
by Marin Lolic - 1-14 Driving Digital Transformation: Analyzing the Impact of Internet Banking on Profitability in the Saudi Arabian Banking Sector
by Sonia Sayari - 1-16 Transformation of the Ukrainian Stock Market: A Data Properties View
by Alex Plastun & Lesia Hariaha & Oleksandr Yatsenko & Olena Hasii & Liudmyla Sliusareva - 1-17 The Linkage between Corporate Research and Development Intensity and Stock Returns: Empirical Evidence
by Sameena Ghazal & Tariq Aziz & Mosab I. Tabash & Krzysztof Drachal - 1-18 Impact of Risk, Subsidy, and Bid-Criteria on the Private Investment in Public–Private Partnerships in Infrastructure Projects
by Mohinder Dugal & Shalini Rahul Tiwari - 1-19 Machine Learning to Enhance the Detection of Terrorist Financing and Suspicious Transactions in Migrant Remittances
by Stanley Munamato Mbiva & Fabio Mathias Correa - 1-20 Amortizing Loans under Arbitrary Discount Functions
by Carlo Mari - 1-21 Decrypting Cryptocurrencies: An Exploration of the Impact on Financial Stability
by Mohamed Nihal Saleem & Yianni Doumenis & Epameinondas Katsikas & Javad Izadi & Dimitrios Koufopoulos - 1-22 Sustaining Family Businesses through Business Incubation: An Africa-Focused Review
by Chux Gervase Iwu & Nobandla Malawu & Elona Nobukhosi Ndlovu & Tendai Makwara & Lucky Sibanda - 1-23 DAO Dynamics: Treasury and Market Cap Interaction
by Ioannis Karakostas & Konstantinos Pantelidis
May 2024, Volume 17, Issue 5
- 1-9 Globalisation of Professional Sport Finance
by Wladimir Andreff - 1-9 Analysis of Factors Affecting the Loan Growth of Banks with a Focus on Non-Performing Loans
by Se-Hak Chun & Namnansuren Ardaaragchaa - 1-9 Risk Characterization of Firms with ESG Attributes Using a Supervised Machine Learning Method
by Prodosh Eugene Simlai - 1-11 Turnover by Non-CEO Executives in Top Management Teams and Escalation of Commitment
by Dmitriy Chulkov - 1-11 Impact of COVID-19 Travel Subsidies on Stock Market Returns: Evidence from Japanese Tourism Companies
by Hideaki Sakawa & Naoki Watanabel - 1-13 Valuation of Goodwill for an Engineering Firm
by Bhushan Lohar & John Wade & Sean Walker - 1-14 Price Delay and Market Efficiency of Cryptocurrencies: The Impact of Liquidity and Volatility during the COVID-19 Pandemic
by Barbara Abou Tanos & Georges Badr - 1-14 Efficiency in Operations of NASDAQ Listed Technology Companies from 2011 to 2023
by Suneel Maheshwari & Deepak Raghava Naik - 1-15 Actuarial Risk Management Practices and Firm Performance: The Mediating Role of E-Service Innovation
by Dwi Widianto & Muhtosim Arief & Mohammad Hamsal & Elidjen Elidjen - 1-15 An Inductive Approach to Quantitative Methodology—Application of Novel Penalising Models in a Case Study of Target Debt Level in Swedish Listed Companies
by Åsa Grek & Fredrik Hartwig & Mark Dougherty - 1-15 Application of the New Importance–Performance Analysis Method to Explore the Strategies of Rural Outdoor Dining Experiences in Taiwan
by Shang-Pin Li - 1-16 Development of New Products for Climate Change Resilience in South Africa—The Catastrophe Resilience Bond Introduction
by Thomas Mutsvene & Heinz Eckart Klingelhöfer - 1-17 Downside Risk in Australian and Japanese Stock Markets: Evidence Based on the Expectile Regression
by Kohei Marumo & Steven Li - 1-17 Can Crisis Periods Affect the ESG Reporting Scope? The Portuguese Euronext Entities Case
by Catarina Cepeda - 1-18 Navigating Real Estate Investment Trust Performance Dynamics: The Role of Style (Equity vs. Mortgage Real Estate Investment Trusts) and Diversification Amidst the COVID-19 Pandemic
by Ankita Damani & Anh Tuan Nguyen & FNU Pratima - 1-18 South African Real Estate Investment Trusts Prefer Tuesdays
by Oluwaseun Damilola Ajayi & Emmanuel Kofi Gavu - 1-18 Financial Literacy: A Case Study for Portugal
by Luís Almeida & João Chanoca & Fernando Tavares - 1-19 Which Should Be Your Top Pick, Separately Managed Accounts or ETFs?
by Xianwu Zhang & Tao Guo & Yuanshan Cheng & Haiyan Wang - 1-20 Factors Affecting the Implementation of Risk-Based Internal Auditing
by Abdulwahab Mujalli - 1-20 The Impact of CSI SEEE Carbon Neutral Index Launched on Order Aggressiveness
by Zihuang Huang & Xiaoyu Zhang & Kaifeng Li - 1-21 What Is the Relationship between Corporate Social Responsibility and Financial Performance in the UK Banking Sector?
by George Giannopoulos & Nicholas Pilcher & Ioannis Salmon - 1-21 Revolutionizing Banking: Neobanks’ Digital Transformation for Enhanced Efficiency
by Riris Shanti & Hermanto Siregar & Nimmi Zulbainarni & Tony - 1-23 Encoder–Decoder Based LSTM and GRU Architectures for Stocks and Cryptocurrency Prediction
by Joy Dip Das & Ruppa K. Thulasiram & Christopher Henry & Aerambamoorthy Thavaneswaran - 1-23 Working Capital Management and Bank Mergers
by Baoqi Na & Katsutoshi Shimizu - 1-24 Exploring the Nexus of Dividend Policy, Third-Party Funds, Financial Performance, and Company Value: The Role of IT Innovation as a Moderator
by Satria Amiputra Amimakmur & Muhammad Saifi & Cacik Rut Damayanti & Benny Hutahayan - 1-25 The Impact of Stock Price Crash Risk on Bank Dividend Payouts
by Justin Yiqiang Jin & Yi Liu - 1-27 The Impact of Knowledge Capital and Organization Capital on Stock Performance during Economic Crises: The Moderating Role of a Generalist CEO
by Chaeho Chase Lee & Hohyun Kim & Erdal Atukeren - 1-27 Action-Based Fiscal Consolidations and Economic Growth
by Markus Brueckner - 1-29 Can ESG Integration Enhance the Stability of Disruptive Technology Stock Investments? Evidence from Copula-Based Approaches
by Poshan Yu & Haoran Xu & Jianing Chen
April 2024, Volume 17, Issue 4
- 1-12 An Alignment of Financial Signaling and Stock Return Synchronicity
by Tarek Eldomiaty & Islam Azzam & Karim Tarek Hamed Afifi & Mohamed Hashim Rashwan - 1-14 Impacts of the Transition to the Expected Loss Model on the Portuguese Banking Sector
by Miguel Resende & Carla Carvalho & Cecília Carmo - 1-15 Forecasting Agriculture Commodity Futures Prices with Convolutional Neural Networks with Application to Wheat Futures
by Avi Thaker & Leo H. Chan & Daniel Sonner - 1-15 The Diversification Benefits of Foreign Real Estate: Evidence from 40 Years of Data
by C. Mitchell Conover & Joseph D. Farizo & H. Swint Friday & David S. North - 1-16 Perceived Risk and External Finance Usage in Small- and Medium-Sized Enterprises: Unveiling the Moderating Influence of Business Age
by Nawal Abdalla Adam - 1-16 Pathways to Success: The Interplay of Industry and Venture Capital Clusters in Entrepreneurial Company Exits
by Saurabh Ahluwalia & Sul Kassicieh - 1-16 The Role of Artificial Neural Networks (ANNs) in Supporting Strategic Management Decisions
by Maria do Rosário Texeira Fernandes Justino & Joaquín Texeira-Quirós & António José Gonçalves & Marina Godinho Antunes & Pedro Ribeiro Mucharreira - 1-17 Asymmetric Effects of Uncertainty and Commodity Markets on Sustainable Stock in Seven Emerging Markets
by Pitipat Nittayakamolphun & Thanchanok Bejrananda & Panjamapon Pholkerd - 1-17 A Discrete Risk-Theory Approach to Manage Equity-Linked Policies in an Incomplete Market
by Francesco Della Corte & Francesca Marzorati - 1-17 Investigating the Application of Digital Tools for Information Management in Financial Control: Evidence from Bulgaria
by Zhelyo Zhelev & Silviya Kostova - 1-17 Estimating Asset Parameters Using Levy’s Moment Matching Method
by Masatoshi Miyake - 1-17 Corporate Social Responsibility: Impact on Firm Performance for an Emerging Economy
by Neeraj Singhal & Pinku Paul & Sunil Giri & Shallini Taneja - 1-18 Stock Overvaluation, Management Myopia, and Long-Term Firm Performance
by Jialin Song & Luyu Wang & Sihong Wu & Yiyi Su - 1-18 Do ESG Factors Prove Significant Predictors of Systematic and Downside Risks in the Russian Market after Controlling for Stock Liquidity?
by Tamara Teplova & Tatiana Sokolova & Sergei Gurov - 1-19 The Impact of Audit Oversight Quality on the Financial Performance of U.S. Firms: A Subjective Assessment
by Rebecca Abraham & Hani El Chaarani & Zhi Tao - 1-19 Role of Remittance on Sustainable Economic Development in Developing and Emerging Economies: New Insights from Panel Cross-Sectional Augmented Autoregressive Distributed Lag Approach
by Shasnil Avinesh Chand & Baljeet Singh - 1-20 Macroeconomic Dynamics in the Greek Economy during the Pre- and Post-Euro Adoption Periods
by Dimitrios R. Barkoulas & Dionysios Chionis - 1-20 Modeling Funding for Industrial Projects Using Machine Learning: Evidence from Morocco
by Soukaina Laaouina & Mimoun Benali - 1-21 The Influence of Financial Indicators on Vietnamese Enterprise’s Sustainability Reports Disclosing Process
by Nguyen Thi Mai Anh & Nguyen Thanh An & Nguyen Thi Minh Ngoc & Vu Ngoc Xuan - 1-21 Valuation of Patent-Based Collaborative Synergies under Strategic Settings with Multiple Uncertainties: Rainbow Real Options Approach
by Andrejs Čirjevskis - 1-22 The Impact of the Digital Capability of College Students’ New Enterprises on Business Model Innovation Driven by the Digital Economy: The Mediating Effect of Digital Opportunity Discovery
by Fengliang Li & Khunanan Sukpasjaroen - 1-22 The Information Content of Stock Splits: In the Context of Stock Splits Concurrently Announced with Earnings
by Joohyung Ha - 1-24 Strategic Deviation and Corporate Tax Avoidance: A Risk Management Perspective
by Ahsan Habib & Dinithi Ranasinghe & Ahesha Perera - 1-24 Analyzing Trends in Green Financial Instrument Issuance for Climate Finance in Capital Markets
by Purity Maina & Balázs Gyenge & Mária Fekete-Farkas & Anett Parádi-Dolgos - 1-25 Separating Equilibria with Search and Selection Effort: Evidence from the Auto Insurance Market
by David Rowell & Peter Zweifel - 1-25 Investor Perception of ESG Performance: Examining Investment Intentions in the Chinese Stock Market with Social Self-Efficacy Moderation
by Xiaojia Zhang & Li Ma & Miao Zhang - 1-25 Testing and Ranking of Asset Pricing Models Using the GRS Statistic
by Mark J. Kamstra & Ruoyao Shi - 1-26 What Drives Asset Returns Comovements? Some Empirical Evidence from US Dollar and Global Stock Returns (2000–2023)
by Marco Tronzano - 1-28 Persistence in the Realized Betas: Some Evidence from the Stock Market
by Guglielmo Maria Caporale & Luis A. Gil-Alana & Miguel Martin-Valmayor - 1-29 Modeling the Nexus between European Carbon Emission Trading and Financial Market Returns: Practical Implications for Carbon Risk Reduction and Hedging
by Mosab I. Tabash & Mujeeb Saif Mohsen Al-Absy & Azzam Hannoon - 1-34 A Solvency II Partial Internal Model Considering Reinsurance and Counterparty Default Risk
by Matteo Crisafulli
March 2024, Volume 17, Issue 4
- 1-9 On Correlation Aversion and Insurance Demand
by Christos I. Giannikos & Andreas Kakolyris & Tin Shan (Michael) Suen