Content
November 2022, Volume 15, Issue 11
- 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 - 1-12 ERP and Performance of Companies in Romania
by Alin Marius Andrieș & Iulia Ungureanu - 1-14 The Analysis of Risk and Return Using Sharia Compliance Assets Pricing Model with Profit-Sharing Approach (Mudharabah) in Energy Sector Company in Indonesia
by Ahmad Faisol & Sulaeman Rahman Nidar & Aldrin Herwany - 1-14 Attaining Standardization in Islamic Banking Institutions in Pakistan: Analysis on Ijarah Financing
by Shujaat Saleem & Umair Baig & Ieva Meidute Kavaliauskiene & Mehboob Ul Hassan & Fadillah Mansor - 1-14 The Economic Impact of Flood Zone Designations on Residential Property Valuation in Miami-Dade County
by Evelyn G. Shu & Jeremy R. Porter & Bradley Wilson & Mark Bauer & Mariah L. Pope - 1-16 Grocery Apps and Consumer Purchase Behavior: Application of Gaussian Mixture Model and Multi-Layer Perceptron Algorithm
by Aidin Salamzadeh & Pejman Ebrahimi & Maryam Soleimani & Maria Fekete-Farkas - 1-16 Optimizing Portfolio Risk of Cryptocurrencies Using Data-Driven Risk Measures
by Sulalitha Bowala & Japjeet Singh - 1-16 The Sectoral Effects of Value-Added Tax: Evidence from UAE Stock Markets
by Anagha Ann Gopakumar & Avneet Kaur & Vikash Ramiah & Krishna Reddy - 1-16 Sustainable versus Conventional Cryptocurrencies in the Face of Cryptocurrency Uncertainty Indices: An Analysis across Time and Scales
by Inzamam UI Haq & Elie Bouri - 1-17 Insight into Predicted Shocks in Tourism: Review of an Ex-Ante Forecasting
by Sergej Gricar & Stefan Bojnec & Tea Baldigara - 1-17 Cross-Border Acquisitions and Shareholders’ Wealth: The Case of the Indian Pharmaceutical Sector
by Abdul Wajid & Anjim Sabiha & Shakeb Akhtar & Mosab I. Tabash & Linda Nalini Daniel - 1-17 The Robustness of the Determinants of Overall Bank Risks in the MENA Region
by Tarek Eldomiaty & Amr Youssef & Heba Mahrous - 1-18 Earnings Management and Corporate Performance in the Scope of Firm-Specific Features
by Dominika Gajdosikova & Katarina Valaskova & Pavol Durana - 1-18 COVID-19’s Impact on Fintech Adoption: Behavioral Intention to Use the Financial Portal
by Arfan Shahzad & Nurhana Zahrullail & Ahsan Akbar & Hana Mohelska & Arsalan Hussain - 1-18 Firm Performance during COVID-19 Pandemic: Does Ownership Identity Matter? Evidence from Indonesia
by Dian Perwitasari & Doddy Setiawan & An Nurrahmawati & Isna Putri Rahmawati - 1-19 Knowledge Collaboration among Tax Professionals through the Lens of a Community of Practice
by Nurhidayah Bahar & Shamshul Bahri & Zarina Zakaria - 1-20 Testing of a Volatility-Based Trading Strategy Using Behavioral Modified Asset Allocation
by Jonas Freibauer & Silja Grawert - 1-20 A State-of-the-Art Fund Performance Index: Higher-Order Omega and Its Consistency with Almost Stochastic Dominance
by Hengzhen Lu & Yingying Zhang & Ling Xiao & Gurjeet Dhesi - 1-21 Multi-Criteria Decision Making in Production Fields: A Structured Content Analysis and Implications for Practice
by Gerarda Fattoruso - 1-21 Review of the Literature on Merger Waves
by Sangjun Cho & Chune Young Chung - 1-21 Social Networks Marketing, Value Co-Creation, and Consumer Purchase Behavior: Combining PLS-SEM and NCA
by Farzin Arbabi & Seyed Mohammad Khansari & Aidin Salamzadeh & Abbas Gholampour & Pejman Ebrahimi & Maria Fekete-Farkas - 1-22 Shari’a Governance in Bahrain: Analysing the Islamic Banking Industry’s Implementation of the Newly Issued Regulatory Shari’a Governance Module
by Abdulrahman Al-Saadi & M. Kabir Hassan & Ahmed Mansoor Alkhan - 1-23 Assessment of the Financial Benefits from Wind Farms in US Rural Locations
by Francisco Haces-Fernandez - 1-23 A Taxonomy of Product–Service System Perturbations through a Systematic Literature Review
by Hanfei Wang & Yuya Mitake & Yusuke Tsutsui & Salman Alfarisi & Yoshiki Shimomura - 1-25 The Effects of Securitization for Managing Banking Risk Using Alternative Tranching Schemes
by Pedro Cadenas & Henryk Gzyl - 1-27 Board Attributes and Bank Performance in Light of Saudi Corporate Governance Regulations
by Omer Saeed Habtoor - 1-28 Mapping the Literature on Social Responsibility and Stakeholders’ Pressures in the Mining Industry
by Margarida Rodrigues & Maria-Ceu Alves & Rui Silva & Cidália Oliveira
September 2022, Volume 15, Issue 9
- 1-9 Saddlepoint Method for Pricing European Options under Markov-Switching Heston’s Stochastic Volatility Model
by Mengzhe Zhang & Leunglung Chan - 1-11 Carbon Futures and Clean Energy Stocks: Do They Hedge or Safe Haven against the Climate Policy Uncertainty?
by Mohammad Enamul Hoque & Sourav Batabyal - 1-12 Human Resource Skill Adjustment in Service Sector: Predicting Dynamic Capability in Post COVID-19 Work Environment
by Nurul Mohammad Zayed & Friday Ogbu Edeh & Saad Darwish & K. M. Anwarul Islam & Halyna Kryshtal & Vitalii Nitsenko & Olena Stanislavyk - 1-12 Herding Behavior in Developed, Emerging, and Frontier European Stock Markets during COVID-19 Pandemic
by Siniša Bogdan & Natali Suštar & Bojana Olgić Draženović - 1-12 Does the Impact of Transparency and Disclosure on the Firm’s Valuation Depend on the ESG?
by Venkata Mrudula Bhimavarapu & Shailesh Rastogi & Rajani Gupte & Geetanjali Pinto & Sudam Shingade - 1-12 Exploring Coupled Open Innovation for Digital Servitization in Grocery Retail: From Digital Dynamic Capabilities Perspective
by Andrejs Čirjevskis - 1-13 The Impact of Microfinance Institutions on Poverty Alleviation
by Collin Chikwira & Edson Vengesai & Petronella Mandude - 1-13 Paradigm Shift in Finance: The Transformation of the Theory from Perfect to Imperfect Capital Markets Using the Example of Company Valuation
by Dietmar Ernst & Werner Gleißner - 1-14 An Extended Fama-French Multi-Factor Model in Direct Real Estate Investing
by Chung-Yim Yiu & Chuyi Xiong & Ka-Shing Cheung - 1-14 A Framework for Short- vs. Long-Term Risk Indicators for Outsourcing Potential for Enterprises Participating in Global Value Chains: Evidence from Western Balkan Countries
by Jolta Kacani & Lindita Mukli & Eglantina Hysa - 1-15 The Effect of Tax Fairness, Peer Influence, and Moral Obligation on Sales Tax Evasion among Jordanian SMEs
by Nayef Mohammad Al-Rahamneh & Zainol Bidin - 1-15 Does FDI Promote the Resource Curse in Nigeria?
by Olatunji Abdul Shobande - 1-16 Board Characteristics and Earnings Management: Evidence from the Vietnamese Market
by Sangjun Cho & Chuneyoung Chung - 1-17 Analysing Drivers of Knowledge Leakage in Collaborative Agreements: A Magnetic Processing Case Firm
by Samuel Foli & Susanne Durst - 1-17 Interest Rates, House Prices, Fertility, and the Macroeconomy
by Ermanno Affuso & Khandokar Istiak & James Swofford - 1-17 Emissions Reduction Policies and Their Effects on Economy
by Apoorva Gurtu & Vidhisha Vyas & Amulya Gurtu - 1-18 The Determinants of Immigrants’ Skill Composition
by Esra Karapınar Kocağ & Yutong Li & Cristina Raluca Gh. Popescu - 1-18 Season Ticketing as a Risk Management Tool in Professional Team Sports: A Pricing Analysis of German Soccer and Basketball
by Christopher Huth & Markus Kurscheidt - 1-18 Target Date Funds, Drawdown Risk, and Central Bank Intervention: Evidence during the COVID-19 Pandemic
by Arjun K. Iyer & Seth A. Hoelscher & Cédric L. Mbanga - 1-18 Accounting Conservatism and Earnings Quality
by Farzaneh Nassir Zadeh & Davood Askarany & Solmaz Arefi Asl - 1-19 Tracing the Optimal Level of Political and Social Change under Risks and Uncertainties: Some Lessons from Ancient Sparta and Athens
by George E. Halkos & Emmanouil M. L. Economou & Nicholas C. Kyriazis - 1-20 Fractile Graphical Analysis in Finance: A New Perspective with Applications
by Anil K. Bera & Aurobindo Ghosh - 1-21 An Alternative to Coping with COVID-19—Knowledge Management Applied to the Banking Industry in Taiwan
by Chih-Hsiung Chang & Wu-Hua Chang & Hsiu-Chin Hsieh & Yi-Yu Shih - 1-22 Corporate Governance and CSR Disclosure: International Evidence for the Period 2006–2016
by Zeynab Miniaoui & Faten Chibani & Khaled Hussainey - 1-23 Mapping the Trend, Application and Forecasting Performance of Asymmetric GARCH Models: A Review Based on Bibliometric Analysis
by Neenu Chalissery & Suhaib Anagreh & Mohamed Nishad T. & Mosab I. Tabash - 1-25 CO 2 Emissions in G20 Nations through the Three-Sector Model
by Kejia Yan & Rakesh Gupta & Victor Wong - 1-25 Direct and Indirect Implications of the COVID-19 Pandemic on Amazon’s Financial Situation
by Zixuan Qin & Abeer Hassan & Mahalaxmi Adhikariparajuli - 1-36 Effect of Structural Economic Vulnerability on the Participation in International Trade
by Sena Kimm Gnangnon - 1-39 Volatility Spillovers between Stock Market and Hedge Funds: Evidence from Asia Pacific Region
by Sameen Fatima & Christopher Gan & Baiding Hu
August 2022, Volume 15, Issue 9
- 1-8 “Empirical Corporate Finance: Opportunities and Challenges”—Editorial Synthesis of the Special Issue
by Philip Sinnadurai - 1-11 Breaking Cournot: The Effects of Capacity-Adjusting Technology
by Richard J. Arend - 1-12 Trading Activity in Public Real Estate Markets
by Thomas Richter - 1-12 Risks and Challenges Associated with NEOM Project in Saudi Arabia: A Marketing Perspective
by Areej Algumzi - 1-14 Financial Inclusion and Intersectionality: A Case of Business Funding in the South African Informal Sector
by Munacinga Simatele & Martin Kabange - 1-14 Impact of the COVID-19 Pandemic on EU Convergence
by Josef Abrhám & Milan Vošta - 1-15 Investigating the Co-Volatility Spillover Effects between Cryptocurrencies and Currencies at Different Natures of Risk Events
by Shu-Han Hsu - 1-15 Issues of Letter of Credit in Malaysian Islamic Banks
by Sharifah Faigah Syed Alwi & Ismah Osman & Mohd Bahroddin Badri & Amirul Afif Muhamat & Ruhaini Muda & Uzaimah Ibrahim - 1-15 Volatility Spillover Effects during Pre-and-Post COVID-19 Outbreak on Indian Market from the USA, China, Japan, Germany, and Australia
by Mohanasundaram Thangamuthu & Suneel Maheshwari & Deepak Raghava Naik - 1-15 Assessing the Decision Usefulness of Integrated Reports of Namibian Listed Companies
by Daniel W. Kamotho & Tankiso S. Moloi & Simone Halleen - 1-17 Developing Novel Technique for Investigating Guidelines and Frameworks: A Text Mining Comparison between International and Japanese Green Bonds
by Kentaka Aruga & Md. Monirul Islam & Yoshihiro Zenno & Arifa Jannat - 1-17 Can Entrepreneurs Who Experienced Business Closure Bring Their New Start-Up to a Successful M&A?
by Shai Harel & Eliran Solodoha & Stav Rosenzweig - 1-19 The Impact of Organizational Culture on the Effectiveness of Corporate Governance to Control Earnings Management
by José Ignacio Jarne-Jarne & Susana Callao-Gastón & Miguel Marco-Fondevila & Fernando Llena-Macarulla - 1-20 The Financial Determinants of Integrated Reporting Disclosure by Jordanian Companies
by Hamzeh Al Amosh & Saleh F. A. Khatib & Khaled Hussainey - 1-22 Financial Inclusion in Rural South Africa: A Qualitative Approach
by Munacinga Simatele & Loyiso Maciko - 1-23 How Does Market Competition Affect Shareholder Voting? Evidence from Branching Deregulation in the U.S. Banking Market
by Karel Hrazdil & Jeong-Bon Kim & Lijing Tong & Min Zhang - 1-32 A Fourier Interpolation Method for Numerical Solution of FBSDEs: Global Convergence, Stability, and Higher Order Discretizations
by Polynice Oyono Ngou & Cody Hyndman
August 2022, Volume 15, Issue 8
- 1-12 Corporate Financial Strategy in an Emerging Market: Evidence from Indonesia
by Erik Syawal Alghifari & Atang Hermawan & Ardi Gunardi & Agus Rahayu & Lili Adi Wibowo - 1-13 Systematic and Idiosyncratic Risks of the U.S. Airline Industry
by Rafiqul Bhuyan & André Varella Mollick & Md Ruhul Amin - 1-14 Promotion Pressures of Local Leaders and Real Estate Investments: China and Leader Heterogeneity
by Zhuo Chen & Mingzhi Hu & Zhiyi Qiu - 1-14 The Influence of Information Transparency and Disclosure on the Value of Listed Companies: Evidence from Vietnam
by Loc Dong Truong & Thai Xuan Le & H. Swint Friday - 1-14 How Have District-Based House Price Earnings Ratios Evolved in England and Wales?
by David Paul Gray - 1-14 How Market Orientation Impacts Customer’s Brand Loyalty and Buying Decisions
by Elizabeth Serra & Mariana de Magalhães & Rui Silva & Galvão Meirinhos - 1-15 Hedging Policies to Reduce Agency Costs in Brazil
by Vinícius Medeiros Magnani & Marcelo Augusto Ambrozini & Rafael Moreira Antonio & Rafael Confetti Gatsios - 1-16 Do You Feel Safe Here? The Role of Psychological Safety in the Relationship between Transformational Leadership and Turnover Intention Amid COVID-19 Pandemic
by Abu Elnasr E. Sobaih & Hassane Gharbi & Ahmed E. Abu Elnasr - 1-16 A Synergy Value Analysis of Sustainable Management Projects: Illustrated by the Example of the Aesthetic Medicine Industry
by Tyrone T. Lin & Hui-Tzu Yen & Shu-Yen Hsu - 1-16 Can Ensemble Machine Learning Methods Predict Stock Returns for Indian Banks Using Technical Indicators?
by Sabyasachi Mohapatra & Rohan Mukherjee & Arindam Roy & Anirban Sengupta & Amit Puniyani - 1-16 An Analysis of Whether Privately Owned Financial Planning Practices Are Transitioning to Fully Independent Advice Providers
by Darren Pawski & Robert Powell & Anna Golab - 1-16 Bubble in Carbon Credits during COVID-19: Financial Instability or Positive Impact (“Minsky” or “Social”)?
by Bikramaditya Ghosh & Spyros Papathanasiou & Vandita Dar & Konstantinos Gravas - 1-16 Spreads and Volatility in House Returns
by Peter Chinloy & Cheng Jiang & Kose John - 1-17 Factors Influencing the Take-Up of Agricultural Insurance and the Entry into the Mutual Fund: A Case Study of the Czech Republic
by Sofia Kislingerová & Jindřich Špička - 1-17 The Pervasive Role of Campaign and Product-Related Uncertainties in Inhibiting Crowdfunding Success
by Christian Hopp & Stefan Rose & Jermain Kaminski - 1-18 The Impact of Digitalization in Supporting the Performance of Circular Economy: A Case Study of Greece
by Stavros Kalogiannidis & Dimitrios Kalfas & Fotios Chatzitheodoridis & Stamatis Kontsas - 1-18 The Impact of Banking Sector Development on Economic Growth: The Case of Vietnam’s Transitional Economy
by Phuc Tran Nguyen - 1-18 How Did Amazon Achieve CSR and Some Sustainable Development Goals (SDGs)—Climate Change, Circular Economy, Water Resources and Employee Rights during COVID-19?
by Wenxuan Yu & Abeer Hassan & Mahalaxmi Adhikariparajuli - 1-20 Reforms of Corporate Governance Codes in Bangladesh: Developments and Future Directions
by Md Tariqul Islam & Mahfuzur Rahman & Shrabani Saha - 1-20 The Impacts of the Russia–Ukraine Invasion on Global Markets and Commodities: A Dynamic Connectedness among G7 and BRIC Markets
by Md. Kausar Alam & Mosab I. Tabash & Mabruk Billah & Sanjeev Kumar & Suhaib Anagreh - 1-21 Risk Management in the Internationalization of Small and Medium-Sized Spanish Companies
by Ana Cruz González Calzadilla & María Segovia Villarreal & Juan Manuel Ramón Jerónimo & Raquel Flórez López - 1-21 Earnings Less Risk-Free Interest Charge (ERIC) and Stock Returns—A Value-Based Management Perspective on ERIC’s Relative and Incremental Information Content
by Rainer Lueg & Jon Svennesen Toft - 1-22 The COVID-19 Housing Boom: Is a 2007–2009-Type Crisis on the Horizon?
by Diamando Afxentiou & Peter Harris & Paul Kutasovic - 1-23 Management Control Systems and International Entrepreneurship in Small, Young Firms from Resource-Based Theory, Contingence, and Effectuation Approach Perspectives
by Marta Pérez Sigüenza & Laura Rodríguez-León Rodríguez & Juan Manuel Ramon Jeronimo & Raquel Flórez López - 1-24 HF-SCA: Hands-Free Strong Customer Authentication Based on a Memory-Guided Attention Mechanisms
by Cosimo Distante & Laura Fineo & Luca Mainetti & Luigi Manco & Benito Taccardi & Roberto Vergallo - 1-24 Multiple Neighborhood Cellular Automata as a Mechanism for Creating an AGI on a Blockchain
by Konstantinos Sgantzos & Ian Grigg & Mohamed Al Hemairy - 1-25 Algorithm Aversion as an Obstacle in the Establishment of Robo Advisors
by Ibrahim Filiz & Jan René Judek & Marco Lorenz & Markus Spiwoks - 1-26 Oil Price Uncertainty Shocks and Global Equity Markets: Evidence from a GVAR Model
by Afees A. Salisu & Rangan Gupta & Riza Demirer - 1-28 Assessing the Risk Characteristics of the Cryptocurrency Market: A GARCH-EVT-Copula Approach
by Pascal Bruhn & Dietmar Ernst - 1-28 COVID-19 Mortality and Economic Losses: The Role of Policies and Structural Conditions
by Weichen Wang & Andrea Gurgone & Humberto Martínez & Maria Cristina Barbieri Góes & Ettore Gallo & Ádam Kerényi & Enrico Maria Turco & Carla Coburger & Pêdra D. S. Andrade - 1-32 Net Impact of COVID-19 on REIT Returns
by Yongpei Cai & Kuan Xu - 1-42 R&D, Industrial Policy and Growth
by Alicia H. Dang & Roberto Samaniego
July 2022, Volume 15, Issue 8
- 1-12 Health Insurance Patterns of Older Veterans: Evidence from the Health and Retirement Study
by Amanda C. Stype - 1-14 A Giant Falls: The Impact of Evergrande on Asian Stock Indexes
by Dora Almeida & Andreia Dionísio & Muhammad Enamul Haque & Paulo Ferreira - 1-14 The Role of Coefficient Drivers of Time-Varying Coefficients in Estimating the Total Effects of a Regressor on the Dependent Variable of an Equation
by Paravastu Ananta Venkata Bhattanatha Swamy & I-Lok Chang & Peter von zur Muehlen & Amit Achameesing - 1-14 Pandemic-Era Uncertainty
by Brent Meyer & Emil Mihaylov & Jose Maria Barrero & Steven J. Davis & David Altig & Nicholas Bloom - 1-14 The Use of Artificial Intelligence and Audit Quality: An Analysis from the Perspectives of External Auditors in the UAE
by Nora Azima Noordin & Khaled Hussainey & Ahmad Faisal Hayek - 1-15 Co-Movement, Portfolio Diversification, Investors’ Behavior and Psychology: Evidence from Developed and Emerging Countries’ Stock Markets
by Mohammad Sahabuddin & Md. Aminul Islam & Mosab I. Tabash & Suhaib Anagreh & Rozina Akter & Md. Mizanur Rahman - 1-15 Is Earnings Management Related to Labor Productivity Gap? Evidence from the USA
by Rafiqul Bhuyan & Fuad Hasan - 1-15 Supply Chain Risk Management in Young and Mature SMEs
by Samuel Foli & Susanne Durst & Lidia Davies & Serdal Temel - 1-16 Capital Structure and Its Determinants—A Comparison of European Top-Rated CSR and Other Companies
by Peter Krištofík & Juraj Medzihorský & Hussam Musa - 1-17 The Relationship between Audit Adjustments and Audit Quality in Iraq
by Mahdi Salehi & Mohammed Ibrahim Jebur & Saleh Orfizadeh & Ali Mohammed Abbas Aljahnabi - 1-18 Cap Rates as a Function of Real Economic Growth
by Matt Larriva - 1-19 Connectedness between Sectors: The Case of the Polish Stock Market before and during COVID-19
by Viorica Chirilă - 1-19 Overview of Social Assessment Methods for the Economic Analysis of Cultural Heritage Investments
by Sanja Tišma & Aleksandra Uzelac & Daniela Angelina Jelinčić & Sunčana Franić & Mira Mileusnić Škrtić - 1-20 Examining the Asymmetric Effects of Third Country Exchange Rate Volatility on Trade between the US and the EU
by Chien-Hui Lee & Shu-Hui Li & Jen-Yu Lee - 1-20 Modeling Bivariate Dependency in Insurance Data via Copula: A Brief Study
by Indranil Ghosh & Dalton Watts & Subrata Chakraborty - 1-21 Co-Jumps, Co-Jump Tests, and Volatility Forecasting: Monte Carlo and Empirical Evidence
by Weijia Peng & Chun Yao - 1-21 Disentangling Director Attributes: Human Capital versus Social Capital of Directors
by Angela Andersen & Alexandre Garel & Aaron Gilbert & Alireza Tourani-Rad - 1-23 Does Board Cultural Diversity Contributed by Foreign Directors Improve Firm Performance? Evidence from Australia
by Olga Dodd & Bowen Zheng