Content
December 2022, Volume 16, Issue 1
- 1-13 In the Midst of the Coronavirus and Geopolitical Crises—Inventory Efficiency and Challenges Faced in Finland
by Olli-Pekka Hilmola - 1-13 GameStop or Game Just Started? Leveling the Playing Field for Social Media Meme Investors to Rebuild the Public’s Trust
by Zi Yang - 1-14 Asymmetric Information Flow between Exchange Rate, Oil, and Gold: New Evidence from Transfer Entropy Approach
by Moinak Maiti & Parthajit Kayal - 1-14 The Declining Effect of Insurance on Life Expectancy
by Jonathan Leightner - 1-14 Digital Assets in the Eyes of Generation Z: Perceptions, Outlooks, Concerns
by Karol Król & Dariusz Zdonek - 1-15 The Impact of Ownership Characteristics and Gender on Earnings Management: Indonesian Companies
by Ari Kuncara Widagdo & Rahmawati & Djuminah & Siti Arifah & Francisca Sestri Goestjahjanti & Kiswanto - 1-15 A Threshold GARCH Model for Chilean Economic Uncertainty
by Diego Chávez & Javier E. Contreras-Reyes & Byron J. Idrovo-Aguirre - 1-16 The Impact of CEO Educational Background on Corporate Risk-Taking in China
by Jinyi Zhang & Chunxiao Xue & Jianing Zhang - 1-16 The Impact of Non-Interest Income on the Performance of Commercial Banks in the ASEAN Region
by Thi Thu Hang Phan & An Ha Thi Pham & Hoang Anh Le & Thai Bao Ngoc Lam - 1-16 The Moderating Effect of Perceived Risk on Users’ Continuance Intention for FinTech Services
by Kshitiz Jangir & Vikas Sharma & Sanjay Taneja & Ramona Rupeika-Apoga - 1-17 Do Foreign Investment Flow and Overconfidence Influence Stock Price Movement? A Comparative Analysis before and after the COVID-19 Lockdown
by Citra Sukmadilaga & Almaida Noor Fitri & Erlane K. Ghani - 1-17 Blockchain-Augmented Digital Supply Chain Management: A Way to Sustainable Business
by Samir Yerpude & Kiran Sood & Simon Grima - 1-17 Innovation Output and Idiosyncratic Volatility: US Evidence
by Naji Mohammad Alshammasi & Adel Abdulkarim Almomen - 1-18 A Futuristic View of Using XBRL Technology in Non-Financial Sustainability Reporting: The Case of the FDIC
by Rania Mousa & Peterson K. Ozili - 1-18 Measuring Collaborative Synergies with Advanced Real Options: MNEs’ Sequential Acquisitions of International Ventures
by Andrejs Čirjevskis - 1-19 International Trade in the Post-Soviet Space: Trends, Threats, and Prospects for the Internal Trade within the Eurasian Economic Union
by Vera Kot & Arina Barsukova & Wadim Strielkowski & Mikhail Krivko & Luboš Smutka - 1-20 The Impact of Government Effectiveness on Trade and Financial Openness: The Generalized Quantile Panel Regression Approach
by Lethiwe Nzama & Thanda Sithole & Sezer Bozkus Kahyaoglu - 1-20 On the Kavya–Manoharan–Burr X Model: Estimations under Ranked Set Sampling and Applications
by Osama H. Mahmoud Hassan & Ibrahim Elbatal & Abdullah H. Al-Nefaie & Mohammed Elgarhy - 1-22 Comparison of Multifactor Asset Pricing Models in the South African Stock Market [2000–2016]
by Lenia Mukoyi & Kanayo K. Ogujiuba - 1-24 A European Empirical Study of Institutional Differences in IPOs Anomalies
by Susana Álvarez-Otero - 1-25 Portfolio Diversification, Hedge and Safe-Haven Properties in Cryptocurrency Investments and Financial Economics: A Systematic Literature Review
by José Almeida & Tiago Cruz Gonçalves - 1-25 The Impact of Multi-Layer Corporate Governance on Banks’ Performance under the GFC and the COVID-19: A Cross-Country Panel Analysis Approach
by Oumniya Amrani & Amal Najab
December 2022, Volume 15, Issue 12
- 1-7 Editorial: A Systemic Recovery
by Matheus R. Grasselli & Alan Kirman & William Hynes - 1-8 Newton–Raphson Emulation Network for Highly Efficient Computation of Numerous Implied Volatilities
by Geon Lee & Tae-Kyoung Kim & Hyun-Gyoon Kim & Jeonggyu Huh - 1-9 Stock Market Volatility Response to COVID-19: Evidence from Thailand
by Suthasinee Suwannapak & Surachai Chancharat - 1-10 Time Value of Money Application for the Asymmetric Distribution of Payments and Facts of Economic Life
by Ilya Slobodnyak & Anatoly Sidorov - 1-11 Hedonic Models of Real Estate Prices: GAM Models; Environmental and Sex-Offender-Proximity Factors
by Jason Robert Bailey & Davide Lauria & W. Brent Lindquist & Stefan Mittnik & Svetlozar T. Rachev - 1-12 Distributed Ledger Technology (DLT): A Game Changer for MNEs in Emerging Markets
by Tamir Agmon & Ido Kallir - 1-12 The Effect of Managerial Myopia on the Adjustment Speed of the Company’s Financial Leverage towards the Optimal Leverage
by Vahab Rostami & Hamed Kargar & Mahdis Samimifard - 1-12 Forecasting Detrended Volatility Risk and Financial Price Series Using LSTM Neural Networks and XGBoost Regressor
by Aistis Raudys & Edvinas Goldstein - 1-12 Stability and Growth Pact: Too Young to Die, Too Old to Rock ‘n’ Roll
by Patroklos Patsoulis & Marios Psychalis & Georgios A. Deirmentzoglou - 1-12 Is Professional Soccer a Risk for Their “Lives Afterwards”? A Social-Sciences-Based Examination of Retired Professional Soccer Players from a Long-Term Perspective
by Michael Barth & Torsten Schlesinger & Werner Pitsch - 1-13 How Much Are Fans Willing to Pay to Help “Their” Soccer Clubs to Overcome a Crisis? An Analysis of Central European Fans during the COVID-19 Pandemic
by Petri Lintumäki & Clemens Walcher & Martin Schnitzer - 1-13 Analyzing Safe Haven, Hedging and Diversifier Characteristics of Heterogeneous Cryptocurrencies against G7 and BRICS Market Indexes
by Manoel Fernando Alonso Gadi & Miguel-Angel Sicilia - 1-13 Model of Optimizing Correspondence Risk-Return Marketing for Short-Term Lending
by Andrii Kaminskyi & Maryna Nehrey & Vitalina Babenko & Grzegorz Zimon - 1-13 Investigating the Quality of Gender Equality Non-Financial Information Disclosed in the Cooperative Credit Sector: A Case Study
by Olga Ferraro & Elena Cristiano - 1-13 Three Major Crises and Asian Emerging Market Informational Efficiency: A Case of Pakistan Stock Exchange-100 Index
by Bahrawar Said & Shafiq Ur Rehman & Muhammad Wajid Raza - 1-14 The Impact of Women’s Empowerment on Their Entrepreneurship Intention in the Saudi Food Industry
by Osama H. M. Hassan & Abu Elnasr E. Sobaih & Ibrahim A. Elshaer - 1-14 Doping in Recreational Sport as a Risk Management Strategy
by Werner Pitsch - 1-14 Global Social Sustainability and Inclusion: The “Voice” of Social and Environmental Imbalances
by Andriy Krysovatyy & Iryna Zvarych & Oksana Brodovska & Roman Zvarych - 1-15 Do Stock Market Volatility and Cybercrime Affect Cryptocurrency Returns? Evidence from South African Economy
by Nosipho Mthembu & Kazeem Abimbola Sanusi & Joel Hinaunye Eita - 1-15 The Value of Open Banking Data for Application Credit Scoring: Case Study of a Norwegian Bank
by Lars Ole Hjelkrem & Petter Eilif de Lange & Erik Nesset - 1-15 Research on the Relationships between Knowledge-Based Dynamic Capabilities, Organizational Agility, and Firm Performance
by Guofan Li - 1-16 The Relationship between Managers’ Disclosure Tone and the Trading Volume of Investors
by Azam Pouryousof & Farzaneh Nassirzadeh & Reza Hesarzadeh & Davood Askarany - 1-17 The Impact of Owner-Managers’ Personality Traits on Their Small Hospitality Enterprise Performance in Saudi Arabia
by Abu Elnasr E. Sobaih & Amer A. Al-qutaish & Hassane Gharbi & Ahmed E. Abu Elnasr - 1-17 Causality between Arbitrage and Liquidity in Platinum Futures
by Kentaro Iwatsubo & Clinton Watkins - 1-17 Political Connectedness and Financial Performance of SMEs
by Gaygysyz Ashyrov & Oliver Lukason - 1-17 Corporate Investment Decision: A Review of Literature
by Umar Farooq & Mosab I. Tabash & Ahmad A. Al-Naimi & Krzysztof Drachal - 1-17 The Influence of Transparency and Disclosure on the Valuation of Banks in India: The Moderating Effect of Environmental, Social, and Governance Variables, Shareholder Activism, and Market Power
by Venkata Mrudula Bhimavarapu & Shailesh Rastogi & Rebecca Abraham - 1-18 Holding Companies and Debt Financing: A Comparative Analysis Using Option-Adjusted Spreads
by Natalia Boliari & Kudret Topyan - 1-18 A Fractal View on Losses Attributable to Scams in the Market for Initial Coin Offerings
by Klaus Grobys & Timothy King & Niranjan Sapkota - 1-18 Financial Literacy Levels among Saudi Citizens across Budgeting, Saving, Investment, Debt, and Insurance Dimensions
by Naseem Al Rahahleh - 1-18 Analysis of the Impact of COVID-19 Pandemic on the Intraday Efficiency of Agricultural Futures Markets
by Faheem Aslam & Paulo Ferreira & Haider Ali - 1-18 Nexus between Regulatory Sandbox and Performance of Digital Banks—A Study on UK Digital Banks
by Patrick Bernard Washington & Shafiq Ur Rehman & Ernesto Lee - 1-19 Old but Resilient Story: Impact of Decentralization on Social Welfare
by José Luis Alberto Delgado & Dilek Demirbaş & Ahmet Faruk Aysan - 1-19 The Role of E-Accounting Adoption on Business Performance: The Moderating Role of COVID-19
by Abdalwali Lutfi & Saleh Nafeth Alkelani & Hamza Alqudah & Ahmad Farhan Alshira’h & Malek Hamed Alshirah & Mohammed Amin Almaiah & Adi Alsyouf & Mahmaod Alrawad & Abdelhameed Montash & Osama Abdelmaksoud - 1-20 A Mathematical Formulation of the Valuation of Ether and Ether Derivatives as a Function of Investor Sentiment and Price Jumps
by Rebecca Abraham & Hani El-Chaarani - 1-20 Politicians’ Personal Legacies from Olympic Bids and Referenda—An Analysis of Individual Risks and Opportunities
by Thomas Könecke & Michiel de Nooij - 1-21 Formation of Financial Real Estate Risks and Spatial Interactions: Evidence from 35 Cities in China
by Fengyun Liu & Honghao Ren & Chuanzhe Liu & Dejun Tan - 1-22 The Role of Corporate Governance in Investment Efficiency and Financial Information Disclosure Risk in Companies Listed on the Tehran Stock Exchange
by Samira Moghaddamzadeh Kashani & Mahmoud Mousavi Shiri - 1-22 Call Me When You Grow Up: Firms’ Age, Size, and IPO Performance across Sectors
by Smadar Siev & Mahmoud Qadan - 1-22 Estimating the Risk of Financial Distress Using a Multi-Layered Governance Criterion: Insights from Middle Eastern and North African Banks
by Ali Meftah Gerged & Mohamed Marie & Israa Elbendary - 1-22 Millennial Generation’s Islamic Banking Behavioral Intention: The Moderating Role of Profit-Loss Sharing, Perceived Financial Risk, Knowledge of Riba, and Marketing Relationship
by Asyari & Mohammad Enamul Hoque & M. Kabir Hassan & Perengki Susanto & Taslima Jannat & Abdullah Al Mamun - 1-22 Do the Inward and Outward Foreign Direct Investments Spur Domestic Investment in Bangladesh? A Counterfactual Analysis
by Md. Monirul Islam & Mohammad Tareque & Abu N. M. Wahid & Md. Mahmudul Alam & Kazi Sohag - 1-22 The Effect of IFRS Adoption on the Business Climate: A Country Perspective
by Daniela Penela & João Estevão & Ana Isabel Morais - 1-22 Countering Cybercrime Risks in Financial Institutions: Forecasting Information Trends
by Aleksandra Kuzior & Paulina Brożek & Olha Kuzmenko & Hanna Yarovenko & Tetyana Vasilyeva - 1-23 Global Spillovers of a Chinese Growth Slowdown
by Shaghil Ahmed & Ricardo Correa & Daniel A. Dias & Nils Gornemann & Jasper Hoek & Anil Jain & Edith Liu & Anna Wong - 1-23 Modeling the Risks of the Global Customs Space
by Olha Borysenko & Olena Vasyl’yeva & Olga Katerna & Iuliia Masiuk & Oleg Panakhi - 1-24 Financial Fraud, Independent Female Directors and CEO Power
by Nafisah Yami & Jannine Poletti-Hughes - 1-24 Social Security Payments and Financialization: Lessons from the Greek Case
by Dionysios Kyriakopoulos & John Yfantopoulos & Theodoros V. Stamatopoulos - 1-26 Understanding Organisational Risks and Opportunities Associated with Implementing Australia’s National Disability Insurance Scheme from the Nonprofit Service Provider Perspective—Findings from Quantitative Research
by Hamin Hamin & David Rosenbaum & Elizabeth More - 1-28 The Role of ERM and Corporate Governance in Managing COVID-19 Impacts: SMEs Perspective
by Monika Wieczorek-Kosmala & Thomas Henschel - 1-30 Financial Inclusion in West African Economic and Monetary Union’s Economies: Performance Analysis Using Data Envelopment Analysis
by Pawoumodom Matthias Takouda & Mohamed Dia & Alassane Ouattara
November 2022, Volume 15, Issue 12
- 1-9 Transactional Leadership and Innovative Behavior as Factors Explaining Emotional Intelligence: A Mediating Effect
by Diego Norena-Chavez & Eleftherios I. Thalassinos - 1-10 Information and Communication Technology Adoption and Life Insurance Market Development: Evidence from Sub-Saharan Africa
by Athenia Bongani Sibindi - 1-12 Cultural Differences between University Students in Online Learning Quality and Psychological Profile during COVID-19
by Simone Nomie Sato & Emilia Condes Moreno & Adriana Rico Villanueva & Paulo Orquera Miranda & Pascual Chiarella & Jose Francisco Tornero-Aguilera & Vicente Javier Clemente-Suárez - 1-12 Housing Affordability, Public Policy and Economic Dynamics: An Analysis of the City of Lisbon
by Miguel Lorga & João Fragoso Januário & Carlos Oliveira Cruz - 1-13 Bibliometric Analysis of Green Finance and Climate Change in Post-Paris Agreement Era
by Martin Kamau Muchiri & Szilvia Erdei-Gally & Mária Fekete-Farkas & Zoltán Lakner - 1-13 Virtual IBAN as a Service in the Law of the European Union and Poland
by Michał Grabowski - 1-15 Disclosure of Risks and Opportunities in the Integrated Reports of South African Banks
by Khuthadzo Ramabulana & Riyad Moosa - 1-15 The Impact of Intellectual Capital and Ownership Structure on Firm Performance
by Znar Ahmed & Muhammad Rosni Amir Hussin & Kashan Pirzada - 1-15 The Influence of Audit Committee Chair Characteristics on Financial Reporting Quality
by Abdalwali Lutfi & Saleh Zaid Alkilani & Mohamed Saad & Malek Hamed Alshirah & Ahmad Farhan Alshirah & Mahmaod Alrawad & Malak Akif Al-Khasawneh & Nahla Ibrahim & Abeer Abdelhalim & Mujtaba Hashim Ramadan - 1-16 Factors Influencing the Financial Situation and Management of Small and Medium Enterprises
by Nurul Mohammad Zayed & Isse Sudi Mohamed & Khan Mohammad Anwarul Islam & Iryna Perevozova & Vitalii Nitsenko & Olena Morozova - 1-17 Compositional Classification of Financial Statement Profiles: The Weighted Case
by Pol Jofre-Campuzano & Germà Coenders - 1-17 Board Directorships and Carbon Emissions: Curvilinear Relationships and Moderating Roles of Other Board Characteristics
by Kwok Yip Cheung & Chung Yee Lai - 1-17 Institutional Ownership and Firm Performance: Evidence from an Emerging Economy
by Syeda Humayra Abedin & Humaira Haque & Tanjina Shahjahan & Md Nurul Kabir - 1-18 Regional Economic and Financial Interconnectedness and the Impact of Sanctions: The Case of the Commonwealth of Independent States
by Mirzosaid Sultonov - 1-19 Determinants of Dividend Policy: The Case of the Casablanca Stock Exchange
by Reda Louziri & Khadija Oubal - 1-19 Employee Compensation, Training and Financial Performance during the COVID-19 Pandemic
by Rabie Mahssouni & Mohamed Noureddine Touijer & Mohamed Makhroute - 1-21 An Entrepreneurial Definition of the Blockchain Technology and a Stacked Layer Model of the ICO Marketplace Using the Text Mining Approach
by Ahmed Gomaa & Yibai Li - 1-21 Predicting Volatility Based on Interval Regression Models
by Hui Qu & Mengying He - 1-23 Explainable AI for Credit Assessment in Banks
by Petter Eilif de Lange & Borger Melsom & Christian Bakke Vennerød & Sjur Westgaard - 1-24 God’s Stewards: A Global Overview of Christian-Influenced Mutual Fund Providers
by Joel Diener & André Habisch - 1-24 Assessment of Readiness of Croatian Companies to Introduce I4.0 Technologies
by Rajka Hrbić & Tomislav Grebenar - 1-26 Forecasting the Direction of Daily Changes in the India VIX Index Using Machine Learning
by Akhilesh Prasad & Priti Bakhshi - 1-27 Portfolios under Different Methods and Scenarios: A Case of Fiji’s South Pacific Stock Exchange
by Ronald Ravinesh Kumar & Peter Josef Stauvermann - 1-31 Sustainability Reporting and Management Control System: A Structured Literature Review
by ABM Fazle Rahi & Jeaneth Johansson & Arne Fagerström & Marita Blomkvist
November 2022, Volume 15, Issue 11
- 1-7 When Does Pairs Trading Outperform Cross-Sectional Momentum?
by Oh Kang Kwon & Stephen Satchell - 1-10 Accounting and Econometrics: From Paweł Ciompa to Contemporary Research
by Marek Gruszczyński - 1-11 A Comparative Analysis of Reputation in Enlisted Firms on the Iraq Stock Exchange
by Hind Shafeeq Nimr Al-Maliki - 1-12 Market Intraday Momentum with New Measures for Trading Cost: Evidence from KOSPI Index
by Chien-Yuan Lai & Zhen-Yu Lin & Cheoljun Eom & Ping-Chen Tsai - 1-13 The Different Dividend Signaling Effect under Tax Deduction around Ex-Right Day: Evidence from Taiwan Stock Exchange
by Hsing-Hua Hsiung & Juo-Lien Wang & Hong-Wei Huang - 1-13 Examining the Link between Technical Efficiency, Corporate Governance and Financial Performance of Firms: Evidence from Nigeria
by Adedoyin Isola Lawal & Lawal-Adedoyin Bose Bukola & Olujide Olakanmi & Timothy Kayode Samson & Nwanji Tony Ike & Abiodun Samuel Ajayi & Fakile Samuel Adeniran & Oseni Ezekiel & Opeyemi Oyelude & Grace Adigun - 1-13 Net Stable Funding Ratio (NSFR) and Bank Performance: A Study of the Indian Banks
by Anureet Virk Sidhu & Shailesh Rastogi & Rajani Gupte & Aashi Rawal & Bhakti Agarwal - 1-13 Family Communication, Privacy Orientation, & Financial Literacy: A Survey of U.S. College Students
by Thomas A. Hanson - 1-13 Can EU Bonds Serve as Euro-Denominated Safe Assets?
by Tilman Bletzinger & William Greif & Bernd Schwaab - 1-14 A Scientometric Study on Management Literature in Southeast Asia
by Egi Arvian Firmansyah & Hairunnizam Wahid & Ardi Gunardi & Fahmi Ali Hudaefi - 1-14 An Empirical Study of Volatility in Cryptocurrency Market
by Hemendra Gupta & Rashmi Chaudhary - 1-14 The Effects of Imports and Economic Growth in Chinese Economy: A Granger Causality Approach under VAR Framework
by Khalid Usman & Usman Bashir - 1-14 Examining the Role of Personality Traits, Digital Technology Skills and Competency on the Effectiveness of Fraud Risk Assessment among External Auditors
by Nurul Izzaty Mat Ridzuan & Jamaliah Said & Fazlida Mohd Razali & Dewi Izzwi Abdul Manan & Norhayati Sulaiman - 1-15 Does Limited Liability Reduce Leveraged Risk?: The Case of Loan Portfolio Management
by Deb Narayan Barik & Siddhartha P. Chakrabarty - 1-15 Forecastability of Agricultural Commodity Futures Realised Volatility with Daily Infectious Disease-Related Uncertainty
by Sisa Shiba & Goodness C. Aye & Rangan Gupta & Samrat Goswami - 1-15 Assessing Productivity Channels of Human Capital in the Southern African Development Community: New Insights from Women’s Empowerment
by Abiola John Asaleye & Kariena Strydom - 1-15 The Effectiveness of Management Ability on Firm Value and Tax Avoidance
by Maryam Seifzadeh - 1-16 Institutional Investors’ Willingness to Pay for Green Bonds: A Case for Shanghai
by Yoshihiro Zenno & Kentaka Aruga - 1-16 Corporate Governance and Financial Stability: The Case of Commercial Banks in Vietnam
by Thi Nhu Quynh Nguyen & Duc Trung Nguyen & Hoang Anh Le & Dinh Luan Le - 1-17 Entrepreneurial Financing in Africa during the COVID-19 Pandemic
by Lenny Phulong Mamaro & Athenia Bongani Sibindi - 1-17 Selected Issues of (Good) Governance in North American Professional Sports Leagues
by Nelson Morales & Mathias Schubert - 1-17 Should Firms in Emerging Markets Invest in R&D? Evidence from China’s Manufacturing Sector
by Dachen Sheng & Heather Montgomery - 1-17 Uncertainty and Risk in the Cryptocurrency Market
by Dora Almeida & Andreia Dionísio & Isabel Vieira & Paulo Ferreira - 1-17 A Bibliometric Analysis of Machine Learning Econometrics in Asset Pricing
by Hector O. Zapata & Supratik Mukhopadhyay - 1-17 Effects of Supplier’s Competitive Factors on Relationship Performance and Product Recommendation in Crop Protection Retail Sector
by Byungok Ahn & Boyoung Kim & Jongpil Yu - 1-18 Towards True Climate Neutrality for Global Aviation: A Negative Emissions Fund for Airlines
by Sascha Nick & Philippe Thalmann - 1-18 Institutional Motivations for Conversion from Public Sector Unit to a Social Business: The Case Study of Burgundy School of Business in France
by Arvind Ashta - 1-18 Blockchain Platforms in Energy Markets—A Critical Assessment
by Christoph Burger & Jens Weinmann - 1-18 Time Dependence of CAPM Betas on the Choice of Interval Frequency and Return Timeframes: Is There an Optimum?
by Pankaj Agrrawal & Faye W. Gilbert & Jason Harkins - 1-18 Impacts of Emissions Trading Scheme Initiatives on Corporate Carbon Proactivity and Financial Performance
by Guiliang Zha & Yongqing Li & Qingliang Tang - 1-18 Mindsponge-Based Reasoning of Households’ Financial Resilience during the COVID-19 Crisis
by Minh-Hoang Nguyen & Quy Van Khuc & Viet-Phuong La & Tam-Tri Le & Quang-Loc Nguyen & Ruining Jin & Phuong-Tri Nguyen & Quan-Hoang Vuong - 1-18 Developing a Model of Insurance Securitisation in Iranian Environmental Conditions
by Mahshid Peivandi & Mehdi Zeynali & Mahdi Salehi & Ali Paytakhti Oskooe & Younes Badavar Nahandi - 1-19 GHG Emissions and Economic Growth in the European Union, Norway, and Iceland: A Validated Time-Series Approach Based on a Small Number of Observations
by Sergej Gricar & Stefan Bojnec & Tea Baldigara - 1-20 The Asymmetric Overnight Return Anomaly in the Chinese Stock Market
by Yahui An & Lin Huang & Youwei Li - 1-22 Evaluate the Causal Relations among the Criteria in Successful CSR Practices
by Chia-Chi Sun & Shu-Ni Yen - 1-22 CSR and Firm Risk: Is Shareholder Activism a Double-Edged Sword?
by Konstantinos Bozos & Timothy King & Dimitrios Koutmos - 1-23 A Study of Banks’ Systemic Importance and Moral Hazard Behaviour: A Panel Threshold Regression Approach
by C. P. Gupta & Arushi Jain - 1-23 Relationships between ESG Disclosure and Economic Growth: A Critical Review
by Bertrand Kian Hassani & Yacoub Bahini - 1-28 Choosing a Business or Economics Study Program at University: The Role of the Economics Teacher
by Michael Jüttler & Stephan Schumann - 1-45 Energy Communities Overview: Managerial Policies, Economic Aspects, Technologies, and Models
by Grigorios L. Kyriakopoulos
October 2022, Volume 15, Issue 11
- 1-3 Mega Universities, Nanodegrees, and the Digital Disruption in Higher Education
by Babu George - 1-12 Efficient Pricing of Spread Options with Stochastic Rates and Stochastic Volatility
by Alexis Levendis & Eben Maré - 1-13 Carry Trade and Capital Market Returns in South Africa
by Lumengo Bonga-Bonga & Sefora Motena Rangoanana - 1-14 Corporate Social Responsibility Disclosure and Investment Decisions: Evidence from Saudi Indexed Companies
by Amel Kouaib & Ines Amara - 1-14 Use of Derivatives and Market Valuation of the Banking Sector: Evidence from the European Union
by Marius Cristian Miloș & Laura Raisa Miloș - 1-14 Sustainability Initiatives and Failure Risk of a Firm: How Are They Linked?
by Kertu Lääts & Oliver Lukason - 1-15 Framework for Screening and Evaluating the Competencies and Qualities of the Board of Directors in South Africa’s State-Owned Companies
by Modi Hlobo & Tankiso Moloi & Benjamin Marx - 1-16 The Consequences of a Switch to Free-to-Play for Overwatch and Its Esports League
by Thomas Newham & Nicolas Scelles & Maurizio Valenti - 1-16 Market Orientation and Hotel Industry: Literature Review and Implications for Periods of Market Turmoil
by Carlos Sampaio & Mónica Régio - 1-17 Financial Literacy of Adults in Germany FILSA Study Results
by Michael Schuhen & Susanne Kollmann & Minou Seitz & Gunnar Mau & Manuel Froitzheim - 1-17 Students’ Perception of the Use of a Rubric and Peer Reviews in an Online Learning Environment
by Letebele Mphahlele - 1-18 Dependencies and Volatility Spillovers among Chinese Stock and Crude Oil Future Markets: Evidence from Time-Varying Copula and BEKK-GARCH Models
by Xiaoling Yu & Kaitian Xiao - 1-18 How to Rate the Financial Performance of Private Companies? A Tailored Integrated Rating Methodology Applied to North-Eastern Italian Districts
by Guido Max Mantovani & Gregory Gadzinski - 1-18 On the Contaminated Weighted Exponential Distribution: Applications to Modeling Insurance Claim Data
by Abbas Mahdavi & Omid Kharazmi & Javier E. Contreras-Reyes - 1-19 An Uphill Battle: Financial Education in Romania in the Midst of Societal Transformation
by Radu Șimandan & Beatrice Leuștean & Răzvan Mihai Dobrescu - 1-20 Exchange Rate Volatility Effect on Economic Growth under Different Exchange Rate Regimes: New Evidence from Emerging Countries Using Panel CS-ARDL Model
by Karim Ameziane & Bouchra Benyacoub - 1-28 Accounting Comparability, Conservatism, Executive Compensation-Performance, and Information Quality
by Abbas Ali Daryaei & Yasin Fattahi & Davood Askarany & Saeed Askary & Mahdad Mollazamani
October 2022, Volume 15, Issue 10
- 1-8 The Impacts of the COVID-19 Pandemic on the Tour Operator Market—The Case of Slovakia
by Ján Derco - 1-9 Financial Report Readability and Accounting Conservatism
by Zhimin (Jimmy) Yu - 1-11 What Remains Unsolved in Sub-African Environmental Exposure Information Disclosure: A Review
by Abd Alwahed Dagestani & Lingli Qing & Mohamad Abou Houran - 1-14 The Convergence Evolution in Europe from a Complex Networks Perspective
by Theophilos Papadimitriou & Periklis Gogas & Fotios Gkatzoglou - 1-14 Idiosyncratic Risk Volatility: Stock Price Informativeness or Price Error?
by Yuni Pristiwati Noer Widianingsih & Doddy Setiawan - 1-14 The Worst Case GARCH-Copula CVaR Approach for Portfolio Optimisation: Evidence from Financial Markets
by Tahani S. Alotaibi & Luciana Dalla Valle & Matthew J. Craven - 1-15 Social Identity Dimensions as Drivers of Consumer Engagement in Social Media Sports Club
by Željka Marčinko Trkulja & Jasmina Dlačić & Dinko Primorac - 1-15 Evidential Strategies in Financial Statement Analysis: A Corpus Linguistic Text Mining Approach to Bankruptcy Prediction
by Tobias Nießner & Daniel H. Gross & Matthias Schumann - 1-15 On Financial Distributions Modelling Methods: Application on Regression Models for Time Series
by Paul R. Dewick - 1-15 Price Stability Properties and Volatility Analysis of Precious Metals: An ICSS Algorithm Approach
by Sameen Fatima & Christopher Gan & Baiding Hu - 1-16 Money Attitude and Spiritual Well-Being
by Hok-Ko Pong - 1-17 Consumption Loan Augmented Divisia Monetary Index and China Monetary Aggregation
by William A. Barnett & Kun He & Jingtong He - 1-17 The Characteristics of the Housing Market and the Goal of Stable and Healthy Development in China’s Cities
by Guocheng Xiang & Juan Tang & Shuntian Yao - 1-17 Correlations of Taxation and Macroeconomic Indicators in the OECD Member Countries from 2014 to the First Year of the Crisis Caused by COVID-19
by Csaba Lentner & Szilárd Hegedűs & Vitéz Nagy - 1-17 Extreme Connectedness between Green Bonds, Government Bonds, Corporate Bonds and Other Asset Classes: Insights for Portfolio Investors
by Emmanuel Joel Aikins Abakah & Aviral Kumar Tiwari & Aarzoo Sharma & Dorika Jeremiah Mwamtambulo - 1-17 The Implication of IFRS Financial Instruments Disclosure on Value Relevance
by Taleb Alsarayreh & Mohammad Saleh Altarawneh & Ahmed Eltweri - 1-18 Pricing Cat Bonds for Cloud Service Failures
by Loretta Mastroeni & Alessandro Mazzoccoli & Maurizio Naldi - 1-18 International Information Spillovers and Asymmetric Volatility in South Asian Stock Markets
by Dinesh Gajurel & Akhila Chawla - 1-18 Attitude towards Online Shopping during Pandemics: Do Gender, Social Factors and Platform Quality Matter?
by Nada Mallah Boustani & May Merhej Sayegh & Zaher Boustany - 1-19 Greek Banking Sector Stock Reaction to ECB’s Monetary Policy Interventions
by Nikolaos Petrakis & Christos Lemonakis & Christos Floros & Constantin Zopounidis - 1-19 Would You like to Work More Hours?—An Investigation on South Africa
by Cristina Raluca Gh. Popescu & Esra Karapınar Kocağ - 1-19 Appraising Executive Compensation ESG-Based Indicators Using Analytical Hierarchical Process and Delphi Techniques
by Reon Matemane & Tankiso Moloi & Michael Adelowotan - 1-19 Religiosity at the Top and Annual Report Readability
by Toufiq Nazrul & Adam Esplin & Kevin E. Dow & David M. Folsom - 1-19 Revisiting the Long-Run Dynamic Linkage between Dividends and Share Price with Advanced Panel Econometrics Techniques
by Sudatta Bharati Mohapatra & Nirmal Chandra Kar - 1-20 The Impact of Digitalization on Performance Indicators of Russian Commercial Banks in 2021
by Ekaterina A. Potapova & Maxim O. Iskoskov & Natalia V. Mukhanova - 1-20 Interplay between Finance and Institutions in the Development Process of the Industrial Sector: Evidence from South Africa
by Adewale Samuel Hassan & Daniel Francois Meyer - 1-20 Do the Underlying Portfolios Matter? A Comparative Study of Equity-Linked Pay-at-Maturity Principal Protected Notes in Canada and the UK
by Yuanshun Li & Scott Anderson & Patricia A. McGraw - 1-20 BWM—RAPS Approach for Evaluating and Ranking Banking Sector Companies Based on Their Financial Indicators in the Saudi Stock Market
by Mohammed H. Alamoudi & Omer A. Bafail - 1-20 Inflation Forecasts and European Asset Returns: A Regime-Switching Approach
by Nicolas Pesci & Jean-Philippe Aguilar & Victor James & Fabien Rouillé - 1-20 Opportunities of Development of Eco-Tourism in the Karelian Arctic in the Conditions of the Existing Environmental and Social Challenges
by Anastasia V. Vasilieva & Alexander D. Volkov & Valentina V. Karginova-Gubinova & Sergey V. Tishkov - 1-21 Information Spillovers Prior to M&A Announcements
by Danjue Clancey-Shang - 1-21 The Uneven Short-Run Effects of the COVID-19 Pandemic on Foreign Direct Investment
by Roxana Wright & Chen Wu - 1-21 Volatility Spillover among Japanese Sectors in Response to COVID-19
by Hideto Shigemoto & Takayuki Morimoto - 1-21 A Mortality Risk Analysis for OSHA’s COVID-19 Emergency Regulations
by James Broughel & Andrew Baxter - 1-22 The Methodology Matters: What Influences Market Reaction, and Post-Issue Returns in Seasoned Equity Offerings?
by C. N. V. Krishnan & Minghao Wu - 1-22 A Time Series Analysis of Judicial Foreclosures in Spain
by Rafael González-Val - 1-23 Surviving Meltdowns That Cannot Be Prevented: Review of Gaps in Managing Uncertainty and Addressing Existential Vulnerabilities
by Karamjeet S. Paul - 1-23 What Do We Know about Crowdfunding and P2P Lending Research? A Bibliometric Review and Meta-Analysis
by Mustafa Raza Rabbani & Abu Bashar & Iqbal Thonse Hawaldar & Muneer Shaik & Mohammed Selim - 1-24 Factor-Based Investing in Market Cycles: Fama–French Five-Factor Model of Market Interest Rate and Market Sentiment
by Yu-Shang Kuo & Jen-Tsung Huang - 1-25 Stochastic Conditional Duration Model with Intraday Seasonality and Limit Order Book Information
by Tomoki Toyabe & Teruo Nakatsuma - 1-26 The Interplay between COVID-19 and the Economy in Canada
by Vinicius Albani & Matheus Grasselli & Weijie Pang & Jorge P. Zubelli - 1-28 The Impact of Intellectual Capital on Dynamic Innovation Performance: An Overview of Research Methodology
by Mostafa A. Ali & Nazimah Hussin & Hossam Haddad & Nidal Mahmoud Al-Ramahi & Tareq Hammad Almubaydeen & Ibtihal A. Abed
September 2022, Volume 15, Issue 10
- 1-9 Multiplicative Methodology for Assessing Investment Attractiveness and Risk for Industries
by Yulia Vertakova & Maria Klevtsova & Anna Zadimidchenko - 1-11 Effects of the Human-Mobility Change during the COVID-19 Pandemic on Electricity Demand
by Kentaka Aruga