Content
February 2024, Volume 17, Issue 3
- 1-20 Exploring Competence-Based Synergism in Strategic Collaborations: Evidence from the Global Healthcare Industry
by Andrejs Čirjevskis - 1-20 Operational Risk Management in Banks: A Bibliometric Analysis and Opportunities for Future Research
by Barkha Jadwani & Shilpa Parkhi & Pradip Kumar Mitra - 1-23 Exploring the Relationship between Corporate Governance, Corporate Social Responsibility and Financial and Non-Financial Reporting: A Study of Large Companies in Greece
by Foteini I. Pagkalou & Christos L. Galanos & Eleftherios I. Thalassinos - 1-28 Double Asymmetric Impacts, Dynamic Correlations, and Risk Management Amidst Market Risks: A Comparative Study between the US and China
by Poshan Yu & Haoran Xu & Jianing Chen - 1-32 Tax Compliance in Slovenia: An Empirical Assessment of Tax Knowledge and Fairness Perception
by Lidija Hauptman & Berislav Žmuk & Ivana Pavić
January 2024, Volume 17, Issue 2
- 1-11 Credit Risk Management and US Bank-Holding Companies: An Empirical Investigation
by Kudret Topyan & Chia-Jane Wang & Natalia Boliari & Carlos Elias - 1-12 Corporate Governance and FinTech Innovation: Evidence from Saudi Banks
by Ayth I. Almubarak & Abdullah A. Aljughaiman - 1-12 Examining U.S. Millennial Retirement Plan Participation Decisions: The Roles of Employer Contributions and Automatic Enrollment
by Thomas Korankye & Blain Pearson & Yi Liu - 1-12 The Effect of Cash Holdings on Financial Performance: Evidence from Middle Eastern and North African Countries
by Ilker Yilmaz & Ahmed Samour - 1-14 The Quest for Female Economic Empowerment in Sub-Saharan African Countries: Implications on Gender-Based Violence
by Kariena Strydom & Joseph Olorunfemi Akande & Abiola John Asaleye - 1-15 Triple-Entry Accounting and System Integration
by Pythagoras Petratos - 1-16 Exploring How Consumers’ Perceptions of Corporate Social Responsibility Impact Dining Intentions in Times of Crisis: An Application of the Social Identity Theory and Theory of Perceived Risk
by Yooin Noh & Pei Liu - 1-16 Ensuring Financial System Sustainability: Combating Hybrid Threats through Anti-Money Laundering and Counter-Terrorist Financing Measures
by Antonín Korauš & Eva Jančíková & Miroslav Gombár & Lucia Kurilovská & Filip Černák - 1-17 The Impact of ESG Rating on Hedging Downside Risks: Evidence from a Weight-Tilted Hang Seng Index
by Joseph K. W. Fung & F. Y. Eric Lam & Yiuman Tse - 1-19 Knowledge Mapping to Understand Corporate Value: Literature Review and Bibliometrics
by Baochan Li & Anan Pongtornkulpanich & Thitinan Chankoson - 1-19 Accuracy Comparison between Five Machine Learning Algorithms for Financial Risk Evaluation
by Haokun Dong & Rui Liu & Allan W. Tham - 1-20 Does a Female Director in the Boardroom Affect Sustainability Reporting in the U.S. Healthcare Industry?
by Hani Alkayed & Esam Shehadeh & Ibrahim Yousef & Khaled Hussainey - 1-20 Blockchain: The Economic and Financial Institution for Autonomous AI?
by Binh Nguyen Thanh & Ha Xuan Son & Diem Thi Hong Vo - 1-22 The Duality Principle for Multidimensional Optional Semimartingales
by Mahdieh Aminian Shahrokhabadi & Alexander Melnikov & Andrey Pak - 1-22 Regulatory Implications of the Supervision and Management of Liquidity Risk: An Analysis of Recent Developments in Spanish Financial Institutions
by Juan Mariscal-Cáceres & Carmen Cristófol-Rodríguez & Luis Manuel Cerdá-Suárez - 1-22 The Joint Forces of How to Live: Does Intellectual Capital Matter between Innovation and Financial Vulnerability?
by Zeeshan Ahmed & Huan Qiu & Yiwei Zhao
February 2024, Volume 17, Issue 2
- 1-11 Illusion of Control: Psychological Characteristics as Moderators in Financial Decision Making
by Tobias Schütze & Ulrich Schmidt & Carsten Spitzer & Philipp C. Wichardt - 1-12 Offer Price and Post-IPO Ownership Structure
by Martin Abrahamson - 1-12 Triple Entry Accounting
by Ian Grigg - 1-13 Multi-Layer Perceptron-Based Classification with Application to Outlier Detection in Saudi Arabia Stock Returns
by Khudhayr A. Rashedi & Mohd Tahir Ismail & Sadam Al Wadi & Abdeslam Serroukh & Tariq S. Alshammari & Jamil J. Jaber - 1-14 Financial Literacy of Entrepreneurs and Companies’ Performance
by Román Culebro-Martínez & Elena Moreno-García & Sergio Hernández-Mejía - 1-14 Digital Financial Inclusion in Emerging Economies: Evidence from Jordan
by Abdalla Al Khub & Mohamed Saeudy & Ali Meftah Gerged - 1-14 On the Realized Risk of Foreign Exchange Rates: A Fractal Perspective
by Masoumeh Fathi & Klaus Grobys & James W. Kolari - 1-14 Analysing the Impact of Crises on Financial Performance: Empirical Insights from Tourism and Transport Companies Listed on the Bucharest Stock Exchange (during 2005–2022)
by Mihaela Neacșu & Iuliana Eugenia Georgescu - 1-15 Unveiling Cryptocurrency Impact on Financial Markets and Traditional Banking Systems: Lessons for Sustainable Blockchain and Interdisciplinary Collaborations
by Umar Kayani & Fakhrul Hasan - 1-16 Comparative Analysis of Stock Bubble in S&P 500 Individual Stocks: A Study Using SADF and GSADF Models
by Durga Acharya - 1-16 Insights into Sustainability Reporting: Trends, Aspects, and Theoretical Perspectives from a Qualitative Lens
by Banu Dincer & Caner Dincer - 1-16 How Consideration of Future Consequences, Prior Gain or Loss, Personal Risk Profile, and Justification Affect Risk–Payoff Preferences
by W. Eric Lee - 1-17 The Impact of Environmental Accounting Information Disclosure on Financial Risk: The Case of Listed Companies in the Vietnam Stock Market
by Nguyen La Soa & Do Duc Duy & Tran Thi Thanh Hang & Nguyen Dieu Ha - 1-17 Option Pricing with the Logistic Return Distribution
by Haim Levy & Moshe Levy - 1-17 The Impact of the Mechanism for Aligning Horizontal Fiscal Imbalances on the Stability of the Financial System
by Nataliia Yaroshevych & Iryna Kondrat & Tetyana Kalaitan - 1-17 Penalized Bayesian Approach-Based Variable Selection for Economic Forecasting
by Antonio Pacifico & Daniela Pilone - 1-17 The Impact of Crime against a Person on Domestic Investment in Dubai
by Hatem Adela & Wadeema Aldhaheri - 1-18 Almost Perfect Shadow Prices
by Eberhard Mayerhofer - 1-18 Family Ownership, Corporate Governance Quality and Tax Avoidance: Evidence from an Emerging Market—The Case of Jordan
by Mohammad I. Almaharmeh & Ali Shehadeh & Hani Alkayed & Mohammad Aladwan & Majd Iskandrani - 1-20 Quantifying Risk in Investment Decision-Making
by Jaheera Thasleema Abdul Lathief & Sunitha Chelliah Kumaravel & Regina Velnadar & Ravi Varma Vijayan & Satyanarayana Parayitam - 1-20 Determinants of Behavioral Intention to Use Digital Payment among Indian Youngsters
by Arif Hasan & Priyanka Sikarwar & Arun Mishra & Sandeep Raghuwanshi & Abhishek Singhal & Astha Joshi & Prashant Raj Singh & Abhilasha Dixit - 1-22 Volatility and Herding Bias on ESG Leaders’ Portfolios Performance
by Nektarios Gavrilakis & Christos Floros - 1-22 Testing of Portfolio Optimization by Timor-Leste Portfolio Investment Strategy on the Stock Market
by Fernando Anuno & Mara Madaleno & Elisabete Vieira - 1-24 How Does the Exchange Rate and Its Volatility Influence FDI to Canada? A Disaggregated Analysis
by Hooman Lajevardi & Murshed Chowdhury - 1-25 AIIB Investment and Economic Development of India: The Case of the Gujarat Road Project
by Jinxi Chen & Bowen Cai - 1-25 Analyzing the Factors That Affect Auditor’s Judgment and Decision Making in Lebanese Audit Firms
by Bilal Adel Moustafa Abdallah & Mohamed Gaber Ghanem & Wagdi Hamed Hijazi - 1-27 The New Normalcy and the Pandemic Threat: A Real Option Approach
by Pasquale Lucio Scandizzo & Odin K. Knudsen - 1-27 On Smoothing and Habit Formation of Variable Life Annuity Benefits
by Mogens Steffensen & Savannah Halling Vikkelsøe - 1-32 Greek Public Sector’s Efficient Resource Allocation: Key Findings and Policy Management
by Theofanis Petropoulos & Yannis Thalassinos & Konstantinos Liapis - 1-33 Interaction between Sovereign Quanto Credit Default Swap Spreads and Currency Options
by Masaru Tsuruta - 1-41 Do Consumption-Based Asset Pricing Models Explain the Dynamics of Stock Market Returns?
by Michael William Ashby & Oliver Bruce Linton
January 2024, Volume 17, Issue 1
- 1-3 Special Issue: Advances in International Management Research
by Juan Manuel Ramon Jeronimo & Raquel Flórez López - 1-11 Russia–Ukraine Conflict, Commodities and Stock Market: A Quantile VAR Analysis
by Alberto Manelli & Roberta Pace & Maria Leone - 1-12 Can Investment Views Explain Why People Insure Their Cell Phones But Not Their Homes?—A New Perspective on the Catastrophe Insurance Puzzle
by Annette Hofmann & Peter Zweifel - 1-14 Firm Performance of Saudi Manufacturers: Does the Management of Cash Conversion Cycle Components Matter?
by Amel Kouaib & Mohammed Ibrahim Bu Haya - 1-15 The Effect of Technology Readiness on Adopting Artificial Intelligence in Accounting and Auditing in Vietnam
by Nguyen Thi Mai Anh & Le Thi Khanh Hoa & Lai Phuong Thao & Duong Anh Nhi & Nguyen Thanh Long & Nguyen Thanh Truc & Vu Ngoc Xuan - 1-16 How Does Age Moderate the Determinants of Crowdfunding Adoption by SMEs’s: Evidences from Morocco?
by Soukaina Laaouina & Sara El Aoufi & Mimoun Benali - 1-16 An Investigation into the Spatial Distribution of British Housing Market Activity
by David Paul Gray - 1-16 What Are the Differences in the Area of Profitability and Efficiency When Early and Late Adopters Are Analyzed Regarding the Basel III Leverage Ratio?
by Martin Bolfek & Karmen Prtenjača Mažer & Berislav Bolfek - 1-16 Decentralized Data and Artificial Intelligence Orchestration for Transparent and Efficient Small and Medium-Sized Enterprises Trade Financing
by Marjan Alirezaie & William Hoffman & Paria Zabihi & Hossein Rahnama & Alex Pentland - 1-18 Tax Tightrope: The Perils of Foreign Ownership, Executive Incentives and Transfer Pricing in Indonesian Banking
by Vidiyanna Rizal Putri & Nor Balkish Zakaria & Jamaliah Said & Farha Ghapar & Rizqa Anita - 1-18 Statistical Analysis of Minsky’s Financial Instability Hypothesis for the 1945–2023 Era
by Linh N. Phan & Mario G. Beruvides & Víctor G. Tercero-Gómez - 1-19 The Financial Market of Indices of Socioeconomic Well-Being
by Thilini V. Mahanama & Abootaleb Shirvani & Svetlozar Rachev & Frank J. Fabozzi - 1-19 Human Resource Investment and Early-Stage Career Choice: Evaluating Work–Life Income Paths in 21st-Century Canada
by Gordon Anderson - 1-19 Implementing Intraday Model-Free Implied Volatility for Individual Equities to Analyze the Return–Volatility Relationship
by Martin G. Haas & Franziska J. Peter - 1-21 The Impact of Adherence to Sustainable Development, as Defined by the Global Reporting Initiative (GRI-G4), on the Financial Performance Indicators of Banks: A Comparative Study of the UAE and Iraq
by Ali Mohammed Abbas AL-Janabi & Mohammad Javad Saei & Reza Hesarzadeh - 1-21 A Comprehensive Approach to Bankruptcy Risk Evaluation in the Financial Industry
by Samar Issa & Gulhan Bizel & Sharath Kumar Jagannathan & Sri Sarat Chaitanya Gollapalli - 1-23 Exploring the Affiliation of Corporate Social Responsibility, Innovation Performance, and CEO Gender Diversity: Evidence from the U.S
by Abeer Hassan & Sehrish Atif & Jiayi Zhang - 1-23 Exploratory Dividend Optimization with Entropy Regularization
by Sang Hu & Zihan Zhou - 1-25 Stockholder Wealth Maximization during the Troubled Asset Relief Program Period: Is Executive Pay Harmful?
by Eddy Junarsin & Rizky Yusviento Pelawi & Jeffrey Bastanta Pelawi & Jordan Kristanto - 1-25 Predicting Financial Inclusion in Peru: Application of Machine Learning Algorithms
by Rocío Maehara & Luis Benites & Alvaro Talavera & Alejandro Aybar-Flores & Miguel Muñoz - 1-27 Board Gender Diversity and Firm Performance: Recent Evidence from Japan
by Kangyi Wang & Jing Ma & Chunxiao Xue & Jianing Zhang - 1-28 Time-Varying Bidirectional Causal Relationships between Transaction Fees and Economic Activity of Subsystems Utilizing the Ethereum Blockchain Network
by Lennart Ante & Aman Saggu - 1-29 Is Foreign Direct Investment Resilient Post the COVID-19 Pandemic? The Case of a Subnational Economy
by Roxana Wright & Chen Wu - 1-32 Portugal’s Crowdfunding: A Systematic Literature Review
by Bruno Torres & Zélia Serrasqueiro & Márcio Oliveira - 1-39 Preferential Regime of the Russian Arctic: Tendencies and First Results from Realization of the World’s Largest Special Economic Zone
by Alexander D. Volkov & Natalia A. Roslyakova & Anastasia V. Vasilieva & Alexander O. Averyanov & Sergey V. Tishkov & Ekaterina V. Nalivaychenko - 1-48 A Survey of Literature on the Interlinkage between Petroleum Prices and Equity Markets
by Miramir Bagirov & Cesario Mateus
December 2023, Volume 17, Issue 1
- 1-8 Sovereign Debt Crisis and Fiscal Devolution
by Ryota Nakatani - 1-12 Reverse Stock Splits and Liquidity in ETFs
by Olesya Lobanova & Alexandre Aidov - 1-15 The Causal Relationship between FinTech, Financial Inclusion, and Income Inequality in African Economies
by Abebe Gule Girma & Fariz Huseynov - 1-16 Post-Acquisition Changes in Agency Cost of Acquirers: Effect of Target Companies
by Prateek Nanda & Arun Kumar Gopalaswamy - 1-17 Taxation Perspectives: Analyzing the Factors behind Viewing Taxes as Punishment—A Comprehensive Study of Taxes as Service or Strain
by Hunar Mohammed & Anita Tangl - 1-18 CEO Current and Prospective Wealth Option Compensation and Corporate Social Responsibility: The Behavioral Agency Model
by Maretno Agus Harjoto & Sunghoon Joo & Sang Mook Lee & Hakjoon Song - 1-18 How Should Cryptocurrencies Be Defined and Reported? An Exploratory Study of Accounting Professor Opinions
by D. Larry Crumbley & Donald L. Ariail & Amine Khayati - 1-18 Potential Integration of Metaverse, Non-Fungible Tokens and Sentiment Analysis in Quantitative Tourism Economic Analysis
by Sergej Gričar & Violeta Šugar & Tea Baldigara & Raffaella Folgieri - 1-19 Does FDI Impact the Economic Growth of BRICS Economies? Evidence from Bayesian VAR
by Avisha Malik & Ash Narayan Sah - 1-19 Unveiling the Nexus: Exploring the Impact of Corporate Governance on the Financial Performance of Acquiring Companies in the Indian Context
by Debi Prasad Satapathy & Tarun Kumar Soni & Pramod Kumar Patjoshi - 1-20 Evaluating the Performance of Real Estate Exchange-Traded Funds
by Davinder K. Malhotra - 1-22 Unveiling the Influencing Factors of Cryptocurrency Return Volatility
by Andromahi Kufo & Ardit Gjeci & Artemisa Pilkati - 1-23 What Accelerates the Choice of Mobile Banking for Digital Banks in Indonesia?
by Toto Edrinal Sebayang & Dedi Budiman Hakim & Toni Bakhtiar & Dikky Indrawan - 1-23 Compliance with the Requirements of the Greek Legislation for Reporting on ESG Issues: The Case of the Paper Processing Sector
by Evangelos Soras & Apostolos G. Christopoulos - 1-35 Expansionary Monetary Policy and Bank Loan Loss Provisioning
by Mengyang Guo & Xiaoran Jia & Justin Yiqiang Jin & Kiridaran Kanagaretnam & Gerald J. Lobo
December 2023, Volume 16, Issue 12
- 1-2 Financial Technology (Fintech) and Sustainable Financing: A New Paradigm for Risk Management
by Sisira Colombage - 1-7 Information Theory and the Pricing of Contingent Claims: An Alternative Derivation of the Black–Scholes–Merton Formula
by Thomas P. Davis - 1-9 The Effects of Corporate Financial Disclosure on Stock Prices: A Case Study of Korea’s Compulsory Preliminary Earnings Announcements
by Sun-Keun Yoo & Se-Hak Chun - 1-9 Financial Intermediation, Economic Growth, and Business Cycles
by Ioanna Konstantakopoulou - 1-13 Are Cryptocurrency Forks Wealth Creating?
by Bill Hu & Jonathan Miller - 1-14 The Impact of COVID-19 on the Internationalization Performance of Family Businesses: Evidence from Portugal
by Ana Roque & Maria-Ceu Alves - 1-14 Predicting the Profitability of Directional Changes Using Machine Learning: Evidence from European Countries
by Nicholas D. Belesis & Georgios A. Papanastasopoulos & Antonios M. Vasilatos - 1-16 Flight-to-Liquidity and Excess Stock Return: Empirical Evidence from a Dynamic Panel Model
by Asif Ali & Habib Ur Rahman & Adam Arian & John Sands - 1-17 The Nexus between Corporate Performance and State Ownership in Vietnam: Evidence of State Ownership’s Inverted U-Shape and Provincial Business Environment Influences
by Tran Thai Ha Nguyen & Susilo Nur Aji Cokro Darsono & Gia Quyen Phan & Thi Hong Van Pham & Huyen Bach Thi & Sobar M. Johari - 1-19 Influences of Internal Control on Enterprise Performance: Does an Information System Make a Difference?
by Hani Alshaiti - 1-19 Risky Indebtedness Behavior: Impacts on Financial Preparation for Retirement and Perceived Financial Well-Being
by Kelmara Mendes Vieira & Taiane Keila Matheis & Ana Maria Heinrichs Maciel - 1-21 An Attempt to Understand Stock Market Investors’ Behaviour: The Case of Environmental, Social, and Governance (ESG) Forces in the Pakistani Stock Market
by Samina Rooh & Hatem El-Gohary & Imran Khan & Sayyam Alam & Syed Mohsin Ali Shah - 1-21 Does the Cultural Dimension Influence the Relationship between Firm Value and Board Gender Diversity in Saudi Arabia, Mediated by ESG Scoring?
by Laila Mohamed Alshawadfy Aladwey & Raghad Abdulkarim Alsudays - 1-21 Environmental, Social, and Governance Performance and Value Creation in Product Market: Evidence from Emerging Economies
by Yasmeen Bashir & Yiwei Zhao & Huan Qiu & Zeeshan Ahmed & Josephine Tan-Hwang Yau - 1-21 Navigating the Intricate Relationship between Investments and Global Output: A Leontief Matrix Case Study of Romania
by Mihail Busu & Madalina Vanesa Vargas & Sorin Anagnoste - 1-22 A Hybrid Deep Learning Approach for Crude Oil Price Prediction
by Hind Aldabagh & Xianrong Zheng & Ravi Mukkamala - 1-22 ECB Monetary Policy and the Term Structure of Bank Default Risk
by Tom Beernaert & Nicolas Soenen & Rudi Vander Vennet - 1-23 Understanding the Determinants of FinTech Adoption: Integrating UTAUT2 with Trust Theoretic Model
by Muhammed Basid Amnas & Murugesan Selvam & Mariappan Raja & Sakthivel Santhoshkumar & Satyanarayana Parayitam - 1-23 Private Placement of China-Listed Real Estate Firms: A Conceptual Idea
by Yuping Ning & Rohaya Binti Abdul Jalil - 1-24 Monte Carlo Sensitivities Using the Absolute Measure-Valued Derivative Method
by Mark Joshi & Oh Kang Kwon & Stephen Satchell - 1-27 Optimal and Non-Optimal MACD Parameter Values and Their Ranges for Stock-Index Futures: A Comparative Study of Nikkei, Dow Jones, and Nasdaq
by Byung-Kook Kang - 1-31 Do Aid for Trade Flows Affect Technology Licensing in Recipient Countries?
by Sèna Kimm Gnangnon - 1-126 Target2: The Silent Bailout System That Keeps the Euro Afloat
by David Blake
November 2023, Volume 16, Issue 12
- 1-9 Farmers’ Willingness to Purchase Weather Index Crop Insurance: Evidence from Battambang, Cambodia
by Bungchay Lay & Isriya Bunyasiri & Ravissa Suchato - 1-13 Tourism Forecasting of “Unpredictable” Future Shocks: A Literature Review by the PRISMA Model
by Sergej Gricar - 1-16 Fossil Fuel-Based versus Electric Vehicles: A Volatility Spillover Perspective Regarding the Environment
by Shailesh Rastogi & Jagjeevan Kanoujiya & Satyendra Pratap Singh & Adesh Doifode & Neha Parashar & Pracheta Tejasmayee - 1-17 Impact of Financial Factors on the Economic Cycle Dynamics in Selected European Countries
by Bogdan Andrei Dumitrescu & Robert-Adrian Grecu - 1-21 The Emotion Magnitude Effect: Navigating Market Dynamics Amidst Supply Chain Events
by Shawn McCarthy & Gita Alaghband - 1-21 Machine Learning for Enhanced Credit Risk Assessment: An Empirical Approach
by Nicolas Suhadolnik & Jo Ueyama & Sergio Da Silva - 1-22 Tempering Financial Reporting Risk through Board Risk Management
by Mark Beasley & Allen Blay & Christina Lewellen & Michelle McAllister - 1-22 Examining the Impact of Agency Issues on Corporate Performance: A Bibliometric Analysis
by Vinay Khandelwal & Prasoon Tripathi & Varun Chotia & Mohit Srivastava & Prashant Sharma & Sushil Kalyani - 1-27 Global Financial Market Integration: A Literature Survey
by Sama Haddad
October 2023, Volume 16, Issue 11
- 1-15 Do Changes in Risk Perception Predict Systemic Banking Crises?
by Saktinil Roy - 1-19 Role of Bank Credit and External Commercial Borrowings in Working Capital Financing: Evidence from Indian Manufacturing Firms
by Daitri Tiwary & Samit Paul - 1-20 Tail Risks in Corporate Finance: Simulation-Based Analyses of Extreme Values
by Christoph J. Börner & Dietmar Ernst & Ingo Hoffmann - 1-24 The Effect of Religion in European Financial Statement Disclosures: A Real Earnings’ Management Case
by Kanellos S. Toudas & Jinxiu Zhu - 1-24 Not So New Kid on the Block: Accounting and Valuation Aspects of Non-Fungible Tokens (NFTs)
by Dulani Jayasuriya & Alexandra Sims - 1-24 Pandemics and Stock Price Volatility: A Sectoral Analysis
by Niraj Prasad Koirala & Linus Nyiwul - 1-41 What Is the Effect of Oil and Gas Markets (Spot/Futures) on Herding in BRICS? Recent Evidence (2007–2022)
by Hang Zhang & Evangelos Giouvris
November 2023, Volume 16, Issue 11
- 1-12 Safety versus Compensation for Professional Athletes Who Face the Prospect of Career-Ending Injuries: An Economic Risk Analysis
by Duane Rockerbie - 1-13 Pinpointing the Driving Forces Propelling Digital Business Transformation
by Andrej Miklosik & Alexander Bernhard Krah - 1-14 Investment Behavior of Foreign Institutional Investors and Implied Volatility Dynamics: An Empirical Study on the Indian Equity Derivatives Market
by Vijay Kumar Sharma & Satinder Bhatia & Hiranmoy Roy - 1-15 Determinants of Voluntary International Financial Reporting Standards Application: Review from Theory to Empirical Research
by Ngoc Giau Nguyen & Ngoc Tien Nguyen - 1-15 The Relationship between Promoters’ Holdings, Institutional Holdings, Dividend Payout Ratio and Firm Value: The Firm Age and Size as Moderators
by Balamuralikrishnan Chakkravarthy & Francis Gnanasekar Irudayasamy & Arul Ramanatha Pillai & Rajesh Elangovan & Natarajan Rengaraju & Satyanarayana Parayitam - 1-16 Implementing Triple Entry Accounting as an Audit Tool—An Extension to Modern Accounting Systems
by Torje Vingen Sunde & Craig S. Wright - 1-17 Heterogeneous Impact of Fintech on the Profitability of Commercial Banks: Competition and Spillover Effects
by Xiaoling Song & Huizhi Yu & Zehai He - 1-17 Triangulating Risk Profile and Risk Assessment: A Case Study of Implementing Enterprise Risk Management System
by Abol Jalilvand & Sidharth Moorthy - 1-18 Bankruptcy Risk in Discounted Cash Flow Equity Valuation
by Kenth Skogsvik & Stina Skogsvik & Henrik Andersson - 1-18 The Effect of COVID-19 on Consumer Goods Sector Performance: The Role of Firm Characteristics
by Irwansyah & Muhammad Rinaldi & Abdurrahman Maulana Yusuf & Muhammad Harits Zidni Khatib Ramadhani & Sitti Rahma Sudirman & Rizky Yudaruddin - 1-18 The Impact of Non-Financial and Financial Variables on Credit Decisions for Service Companies in Turkey
by Ali İhsan Çetin & Arzu Ece Çetin & Syed Ejaz Ahmed - 1-19 A Global Analysis of the COVID-19 Pandemic and Capital Structure in the Consumer Goods Sector
by Dwi Risma Deviyanti & Herry Ramadhani & Yoremia Lestari Ginting & Yunita Fitria & Yanzil Azizil Yudaruddin & Rizky Yudaruddin - 1-19 Credit Access and the Firm–Government Connection: Is There Any Link?
by Trang Thu Phan & Linh Nhat Ta & Trang Tran Minh Pham & Dung Thi Thuy Pham - 1-22 What Aspects Explain the Relationship between Digital Transformation and Financial Performance of Firms?
by Yaying Zhou & Young-Seok Ock & Ibrahim Alnafrah & Abd Alwahed Dagestani - 1-22 Using the Capital Asset Pricing Model and the Fama–French Three-Factor and Five-Factor Models to Manage Stock and Bond Portfolios: Evidence from Timor-Leste
by Fernando Anuno & Mara Madaleno & Elisabete Vieira - 1-23 Dynamics of Venture Capital and Private Equity Investments in India: An Empirical Analysis
by James Dominic & Anto Joseph - 1-23 Cash Holdings and Marginal Value of Cash across Different Age Groups of U.S. Firms
by YoungHa Ki & Ramesh Adhikari - 1-23 The Effect of Short-Sale Restrictions on Corporate Managers
by Baixiao Liu & John J. McConnell & Andrew Schrowang - 1-24 Relations among Bitcoin Futures, Bitcoin Spot, Investor Attention, and Sentiment
by Arun Narayanasamy & Humnath Panta & Rohit Agarwal - 1-29 Determinants of Access to Bank Financing in SMEs in Mexico
by Artemio Jiménez-Rico & Claudia Susana Gómez-López & Johanan Zamilpa
September 2023, Volume 16, Issue 10
- 1-2 Editorial on the Volume “ESG Investing and ESG Finance”
by Svetlozar (Zari) Rachev & W. Brent Lindquist - 1-10 The Financial Impact of State Tax Regimes on Local Economies in the U.S
by Nattanicha Chairassamee & Oudom Hean & Parker Jabas - 1-11 The Gumbel Copula Method for Estimating Value at Risk: Evidence from Telecommunication Stocks in Indonesia during the COVID-19 Pandemic
by Georgina Maria Tinungki & Siswanto Siswanto & Alimatun Najiha - 1-13 The Financial Derivatives Market and the Pandemic: BioNTech and Moderna Volatility
by Alberto Manelli & Roberta Pace & Maria Leone - 1-14 Network Activity and Ethereum Gas Prices
by Dimitrios Koutmos - 1-17 Financial Sustainability of Digitizing Cultural Heritage: The International Platform Europeana
by Elena Borin & Fabio Donato - 1-17 On the Dynamic Relationship between Household Debt and Income Inequality in South Africa
by Sheunesu Zhou & Olivier Niyitegeka - 1-18 Interconnectedness of Cryptocurrency Uncertainty Indices with Returns and Volatility in Financial Assets during COVID-19
by Awad Asiri & Mohammed Alnemer & M. Ishaq Bhatti - 1-19 Does Capital Expenditure Matter for ESG Disclosure? A UK Perspective
by Ahmed Saber Moussa & Mahmoud Elmarzouky - 1-20 A Study of the Abnormal Dividend Decisions of New Zealand Firms during COVID-19
by Mei Qiu & Xiao-Ming Li - 1-21 A Pilot Study to Assess the Effects of News Coverage Articles about Security Incidents on Stock Prices in Korea
by Se-Hyeon Han - 1-23 Forecasting of NIFTY 50 Index Price by Using Backward Elimination with an LSTM Model
by Syed Hasan Jafar & Shakeb Akhtar & Hani El-Chaarani & Parvez Alam Khan & Ruaa Binsaddig - 1-26 On the Direction of Causality between Business and Financial Cycles
by Ilias Tsiakas & Haibin Zhang - 1-53 Effect of the Duration of Membership in the World Trade Organization on Trademark Applications
by Sena Kimm Gnangnon
October 2023, Volume 16, Issue 10
- 1-12 An Investigation of the Predictability of Uncertainty Indices on Bitcoin Returns
by Jinghua Wang & Geoffrey M. Ngene & Yan Shi & Ann Nduati Mungai - 1-13 Sustaining Retirement during Lockdown: Annuitized Income and Older American’s Financial Well-Being before and during the COVID-19 Pandemic
by Qi Sun & Gary Curnutt - 1-14 Predicting the Non-Return of Chonsei Lease Deposits in the Republic of Korea
by Joung Oh Park & Jinhee Choi & Guy Ngayo - 1-14 COVID-19 Pandemic and Indices Volatility: Evidence from GARCH Models
by Rajesh Mamilla & Chinnadurai Kathiravan & Aidin Salamzadeh & Léo-Paul Dana & Mohamed Elheddad - 1-14 Work Engagement, Financial Wellness Support and COVID-19 Risk Perceptions in Egypt
by Michael R. Wagner & Ghadeer Mohamed Badr Eldin Aboul-Ela & Marwa El Maghawry Ibrahim - 1-15 The Launch of a Night Trading Session and Currency Futures Market Liquidity: Evidence from the Thailand Futures Exchange
by Woradee Jongadsayakul - 1-16 Unveiling the Influence of Artificial Intelligence and Machine Learning on Financial Markets: A Comprehensive Analysis of AI Applications in Trading, Risk Management, and Financial Operations
by Mohammad El Hajj & Jamil Hammoud - 1-17 Lightweight Scheme to Capture Stock Market Sentiment on Social Media Using Sparse Attention Mechanism: A Case Study on Twitter
by Sihan Wu & Fuyu Gu - 1-17 A Rank Estimator Approach to Modeling Default Frequencies
by Antti J. Harju - 1-17 Assessing the Maturity of Sustainable Business Model and Strategy Reporting under the CSRD Shadow
by Niki Glaveli & Maria Alexiou & Apostolos Maragos & Anastasia Daskalopoulou & Viktoria Voulgari - 1-17 Comparison of the Asymmetric Relationship between Bitcoin and Gold, Crude Oil, and the U.S. Dollar before and after the COVID-19 Outbreak
by Yadong Liu & Nathee Naktnasukanjn & Anukul Tamprasirt & Tanarat Rattanadamrongaksorn - 1-17 Pricing Path-Dependent Options under Stochastic Volatility via Mellin Transform
by Jiling Cao & Xi Li & Wenjun Zhang - 1-18 American Corporate Sustainability and Extra-Financial Performance: Is There an Inverted-U Relationship
by Nahed Zghidi & Rihab Bousnina & Samarkand Mokni - 1-19 Combating Rising Energy Poverty with Sunnah-Compliant Orthodox Sukuk Finance
by Abdullahi Ahmed Umar & Kabiru Goje & Mahadi Ahmad - 1-19 Does Sustainable Finance Work on Banking Sector in ASEAN?: The Effect of Sustainable Finance and Capital on Firm Value with Institutional Ownership as a Moderating Variable
by Mochamad Roland Perdana & Achmad Sudiro & Kusuma Ratnawati & Rofiaty Rofiaty - 1-19 Blockchain Application to Financial Market Clearing and Settlement Systems
by Nipun Agarwal & Pornpit Wongthongtham & Neerajkumari Khairwal & Kevin Coutinho - 1-19 FinTech Adoption of Financial Services Industry: Exploring the Impact of Creative and Innovative Leadership
by Muzamil Ahmad Baba & Zia ul Haq & Mohsina Dawood & Kumar Aashish - 1-19 Environmental Performance and a Nation’s Growth: Does the Economic Status and Style of Governance of a Country Matter?
by Shailesh Rastogi & Jagjeevan Kanoujiya & Pracheta Tejasmayee & Souvik Banerjee & Neha Parashar & Asmita Dani - 1-20 Does Public Corruption Affect Bank Failures? Evidence from the United States
by Serkan Karadas & Nilufer Ozdemir - 1-21 Integrating Bioeconomy Principles in Bionic Production: Enhancing Sustainability and Environmental Performance
by Sanja Tišma & Mira Mileusnić Škrtić - 1-21 Effects of Revenue-Sharing Contracts and Overconfidence on Innovation for Key Components
by Chengli Wei & Hongzhuan Chen & Yuanfei Kang - 1-21 Commodity Prices and the US Business Cycle
by Matthew van der Nest & Gary van Vuuren - 1-22 Hospital Costing Methods: Four Decades of Literature Review
by Isabel C. P. Marques & Maria-Ceu Alves - 1-23 Earnings Management and Status of Corporate Governance under Different Levels of Corruption—An Empirical Analysis in European Countries
by Ioannis Dokas - 1-24 Derivative of Reduced Cumulative Distribution Function and Applications
by Kevin Maritato & Stan Uryasev - 1-25 The Determinants of Implementing and Completing Share Repurchases
by Adhiraj Sodhi & Aleksandar Stojanovic - 1-25 Deciphering DeFi: A Comprehensive Analysis and Visualization of Risks in Decentralized Finance
by Tim Weingärtner & Fabian Fasser & Pedro Reis Sá da Costa & Walter Farkas - 1-28 The Market Reaction to Repurchase Announcements
by Adhiraj Sodhi & Cesario Mateus & Irina Mateus & Aleksandar Stojanovic - 1-28 Does Fintech-Driven Inclusive Finance Induce Bank Profitability? Empirical Evidence from Developing Countries
by Changjun Zheng & Md Ataur Rahman & Shahadat Hossain & Syed Moudud-Ul-Huq - 1-34 Understanding the Effects of Market Volatility on Profitability Perceptions of Housing Market Developers
by Shahab Valaei Sharif & Dawn Cassandra Parker & Paul Waddell & Ted Tsiakopoulos - 1-35 Determinants of Non-Performing Loans in a Small Island Economy of Fiji: Accounting for COVID-19, Bank-Type, and Globalisation
by Shasnil Avinesh Chand & Ronald Ravinesh Kumar & Peter Josef Stauvermann
August 2023, Volume 16, Issue 9
- 1-12 Triple-Entry Accounting as a Means of Auditing Large Language Models
by Konstantinos Sgantzos & Mohamed Al Hemairy & Panagiotis Tzavaras & Spyridon Stelios