Content
May 2022, Volume 15, Issue 6
- 1-13 Exploring a Three-Factor Dependence Structure of Conditional Volatilities: Some Quantile Regression Evidence from Real Estate Investment Trusts
by Kim Hiang Liow - 1-13 Economic Growth, Exchange Rate and Remittance Nexus: Evidence from Africa
by Adedoyin Isola Lawal & Afees Adebare Salisu & Abiola John Asaleye & Ezeikel Oseni & Bukola Bose Lawal-Adedoyin & Samuel Olatunde Dahunsi & Emmanuel Oluwasola Omoju & Abigail Oyeronke DickTonye & Elizabeth Bolatito Ogunwole & Abiola Ayopo Babajide - 1-15 Estimation and Inference for the Threshold Model with Hybrid Stochastic Local Unit Root Regressors
by Chaoyi Chen & Thanasis Stengos - 1-16 A Study of Private Equity Rounds of Entrepreneurial Finance in EU: Are Buyout Funds Uninvited Guests for Startup Ecosystems?
by Hiroyuki Miyamoto & Cristian Mejia & Yuya Kajikawa - 1-16 The ESG Disclosure and the Financial Performance of Norwegian Listed Firms
by George Giannopoulos & Renate Victoria Kihle Fagernes & Mahmoud Elmarzouky & Kazi Abul Bashar Muhammad Afzal Hossain - 1-17 Consumer Perceptions of the Use of Nondegradable Plastic Packaging and Environmental Pollution: A Review of Theories and Empirical Literature
by Virimai Victor Mugobo & Herbert Ntuli & Chux Gervase Iwu - 1-18 Are Structural Funds a Real Solution for Regional Development in the European Union? A Study on the Northeast Region of Romania
by Ionel Bostan & Andrei-Alexandru Moroşan & Cristian-Valentin Hapenciuc & Pavel Stanciu & Iulian Condratov - 1-18 The Generalized Gamma Distribution as a Useful RND under Heston’s Stochastic Volatility Model
by Benzion Boukai - 1-19 A Fuzzy Imperfect Production Inventory Model Based on Fuzzy Differential and Fuzzy Integral Method
by Amalesh Kumar Manna & Leopoldo Eduardo Cárdenas-Barrón & Jayanta Kumar Dey & Shyamal Kumar Mondal & Ali Akbar Shaikh & Armando Céspedes-Mota & Gerardo Treviño-Garza - 1-20 A New Look at the Swing Contract: From Linear Programming to Particle Swarm Optimization
by Tapio Behrndt & Ren-Raw Chen - 1-22 Politically Connected Firms and Forward-Looking Disclosure in the Era of Oman Vision 2040
by Hidaya Al Lawati - 1-24 Optimal Portfolio Allocation between Global Stock Indexes and Safe Haven Assets: Gold versus the Swiss Franc (1999–2021)
by Marco Tronzano - 1-37 The Use of Principal Component Analysis (PCA) in Building Yield Curve Scenarios and Identifying Relative-Value Trading Opportunities on the Romanian Government Bond Market
by Andreea Oprea - 1-61 The Great Game Will Never End: Why the Global Financial Crisis Is Bound to Be Repeated
by David Blake
April 2022, Volume 15, Issue 5
- 1-10 Were Culture and Heritage Important for the Resilience of Tourism in the COVID-19 Pandemic?
by Krešimir Jurlin - 1-11 The Impact of Migration on Vietnam Household Living Standards
by Ngoc Hung Pham & Manh Dung Tran & Anh Duc Le & Thuy Linh Le - 1-15 Deposit Competition, Interbank Market, and Bank Profit
by Bo Jiang & Hector Tzavellas & Xiaoying Yang - 1-15 Stock Market Synchronization: The Role of Geopolitical Risk
by Kazi Sohag & Rogneda Vasilyeva & Alina Urazbaeva & Valentin Voytenkov - 1-15 Vague Pension Future: Empirical Evidence from the Israeli Radical Privatized Market
by Ishay Wolf & Smadar Levi - 1-16 The Performance and Diversification Potential of Non-Listed Value-Add Real Estate Funds in Japan
by Martin Hoesli & Graeme Newell & Muhammad Jufri Bin Marzuki & Rose Neng Lai - 1-16 An Assessment of the Association between Political Orientation and Financial Risk Tolerance
by John Grable & Dee Warmath & Eun Jin Kwak - 1-17 A Comparative Analysis of the Economic Sustainability of Cultural Work in the UK since the COVID-19 Pandemic and Examination of Universal Basic Income as a Solution for Cultural Workers
by Cécile Doustaly & Vishalakshi Roy - 1-17 Credit Risk, Regulatory Costs and Lending Discrimination in Efficient Residential Mortgage Markets
by David Nickerson - 1-17 Simulation-Based Business Valuation: Methodical Implementation in the Valuation Practice
by Dietmar Ernst - 1-18 Forecasting a Stock Trend Using Genetic Algorithm and Random Forest
by Rebecca Abraham & Mahmoud El Samad & Amer M. Bakhach & Hani El-Chaarani & Ahmad Sardouk & Sam El Nemar & Dalia Jaber - 1-18 The Impact of Corporate Governance and Political Connectedness on the Financial Performance of Lebanese Banks during the Financial Crisis of 2019–2021
by Hani El-Chaarani & Rebecca Abraham - 1-19 On the Asymptotic Behavior of the Optimal Exercise Price Near Expiry of an American Put Option under Stochastic Volatility
by Wenting Chen & Song-Ping Zhu - 1-19 The Profitability of Technical Analysis during the COVID-19 Market Meltdown
by Camillo Lento & Nikola Gradojevic - 1-20 Risk Management of Startups of Innovative Products
by Taliat Bielialov - 1-24 Machine Learning Applications to Land and Structure Valuation
by Michael Mayer & Steven C. Bourassa & Martin Hoesli & Donato Scognamiglio - 1-25 An Application of Portfolio Mean-Variance and Semi-Variance Optimization Techniques: A Case of Fiji
by Ronald Ravinesh Kumar & Peter Josef Stauvermann & Aristeidis Samitas - 1-25 Distributed Renewable Energy Management: A Gap Analysis and Proposed Blockchain-Based Architecture
by Annegret Henninger & Atefeh Mashatan - 1-26 Causality between Financial Development and Foreign Direct Investment in Asian Developing Countries
by Huy Tiet Pham & Christopher Gan & Baiding Hu - 1-30 An Investigation of the Link between Major Shareholders’ Behavior and Corporate Governance Performance before and after the COVID-19 Pandemic: A Case Study of the Companies Listed on the Iranian Stock Market
by Rezvan Pourmansouri & Amir Mehdiabadi & Vahid Shahabi & Cristi Spulbar & Ramona Birau - 1-32 What’s Different about Bank Holding Companies?
by Ralph Chami & Thomas F. Cosimano & Jun Ma & Celine Rochon
May 2022, Volume 15, Issue 5
- 1-5 Introduction to the Special Issue ‘Transnational and Transdisciplinary Lessons of COVID-19 from the Perspective of Risk and Management’
by Alistair Cole & Julien S. Baker & Emilie Tran & Yang Gao - 1-5 Deep Partial Hedging
by Songyan Hou & Thomas Krabichler & Marcus Wunsch - 1-9 Non-Fungible Token: A Systematic Review and Research Agenda
by Hong Bao & David Roubaud - 1-10 How the Closure of a U.S. Tax Loophole May Affect Investor Portfolios
by Christoph Frei & Liam Welsh - 1-12 Childhood Sporting Experience and Charitable Donations to Disaster Victims
by Eiji Yamamura - 1-13 Bank Risk-Taking and Legal Origin: What Do We Know about Dual Banking Economies?
by Mohsin Ali & Nafis Alam & Mudeer Ahmed Khattak & Wajahat Azmi - 1-15 Understanding Post-Privatisation Performance of Statutory Bodies Subject to Government Shareholding—A Suggested Theoretical Framework, for Malaysian Researchers
by Philip Sinnadurai & Susela Devi - 1-16 Climate Insurance for Agriculture in Europe: On the Merits of Smart Contracts and Distributed Ledger Technologies
by Reimund Schwarze & Oleksandr Sushchenko - 1-16 Attributes of Business Incubators: A Conjoint Analysis of Venture Capitalist’s Decision Making
by Michele Manconi & Salvatore Bellomo & Anna Nosella & Lara Agostini - 1-16 Issues in Islamic Derivatives and Proposals for Reforms in the OTC Market in Indonesia
by Romi Adetio Setiawan - 1-17 Does Ownership Structure Moderate the Relationship between Systemic Risk and Corporate Governance? Evidence from Gulf Cooperation Council Countries
by Ilyes Abidi & Mariem Nsaibi & Khaled Hussainey - 1-17 Nudges and Networks: How to Use Behavioural Economics to Improve the Life Cycle Savings-Consumption Balance
by David Blake - 1-17 Impact of Liquidity Coverage Ratio on Performance of Select Indian Banks
by Anureet Virk Sidhu & Shailesh Rastogi & Rajani Gupte & Venkata Mrudula Bhimavarapu - 1-18 An Investigation of the Beta Anomaly in Emerging Markets: A South African Case
by Mabekebeke Segojane & Godfrey Ndlovu - 1-18 Dynamics between Power Consumption and Economic Growth at Aggregated and Disaggregated (Sectoral) Level Using the Frequency Domain Causality
by Ashutosh Dash & Sangram Keshari Jena & Aviral Kumar Tiwari & Shawkat Hammoudeh - 1-18 Gender Differences in Risk-Taking Investment Strategies in Defined Contribution Plans
by Christos I. Giannikos & Efstathia Korkou - 1-18 Linking Supply Chain Disruption Orientation to Supply Chain Resilience and Market Performance with the Stimulus–Organism–Response Model
by Aaron Rae Stephens & Minhyo Kang & Charles Arthur Robb - 1-19 Green Insurance: A Roadmap for Executive Management
by Lukas Stricker & Carlo Pugnetti & Joël Wagner & Angela Zeier Röschmann - 1-19 Development of Risk Index and Risk Governance Index: Application in Indian Public Sector Undertakings
by Suneel Maheshwari & Vasudha Gupta & Deepak Raghava Naik - 1-19 Founding Family Ownership and Firm Performance: Some Evidence from the Italian Stock Market
by Pierluigi Pierni & Dennis Marco Montagna & Mario Maggi - 1-20 Modelling Seasonal Short-Run Effects in Time-Series Tourism Prices
by Sergej Gricar & Stefan Bojnec - 1-23 Portfolio Optimization on Multivariate Regime-Switching GARCH Model with Normal Tempered Stable Innovation
by Cheng Peng & Young Shin Kim & Stefan Mittnik - 1-28 Theories of Crowdfunding and Token Issues: A Review
by Anton Miglo
March 2022, Volume 15, Issue 4
- 1-12 Monetary Policy Shocks in Open Economies and the Inflation Unemployment Trade-Off: The Case of the Euro Area
by Antonio Ribba - 1-13 The Impact of Quality of Public Administration on Local Economic Growth in Vietnam
by Thanh Hung Pham & Thi Thanh Hang Hoang & Eleftherios I. Thalassinos & Hoang Anh Le - 1-13 Homebuyer Purchase Decisions: Are They Anchoring to Appraisal Values or Market Prices?
by Ka-Shing Cheung & Chung-Yim Yiu & Yihan Guan - 1-14 Non-Parametric Statistic for Testing Cumulative Abnormal Stock Returns
by Seppo Pynnonen - 1-14 Predicting Inflation—A Holistic Approach
by Kujtim Avdiu & Stephan Unger - 1-16 The MAX Effect in an Oil Exporting Country: The Case of Norway
by Muhammad Kashif & Thomas Leirvik - 1-16 Inferences from Portfolio Theory and Efficient Market Hypothesis to the Impact of Social Media on Sovereign Debt: Colombia, Ecuador, and Peru
by Esteban Serrano-Monge - 1-17 The Effects of Carbon Emissions and Agency Costs on Firm Performance
by Muhammad Nurul Houqe & Solomon Opare & Muhammad Kaleem Zahir-ul-Hassan & Kamran Ahmed - 1-18 Antecedents of Behavioural Intention to Adopt Internet Banking Using Structural Equation Modelling
by Shivani Inder & Kiran Sood & Simon Grima - 1-19 The Effect of Index Option Trading on Stock Market Volatility in China: An Empirical Investigation
by Kai Wu & Yi Liu & Weiyang Feng - 1-20 Shareholder Activism and Its Impact on Profitability, Return, and Valuation of the Firms in India
by Sudam Shingade & Shailesh Rastogi & Venkata Mrudula Bhimavarapu & Abhijit Chirputkar - 1-21 COVID-19—A Black Swan for Foreign Direct Investment: Evidence from European Countries
by Eglantina Hysa & Erinda Imeraj & Nerajda Feruni & Mirela Panait & Valentina Vasile - 1-23 A Singular Stochastic Control Approach for Optimal Pairs Trading with Proportional Transaction Costs
by Haipeng Xing - 1-26 Multifactor Market Indexes
by Wei Liu & James W. Kolari - 1-41 The Impact of ESG Ratings on the Systemic Risk of European Blue-Chip Firms
by Mustafa Hakan Eratalay & Ariana Paola Cortés Ángel
April 2022, Volume 15, Issue 4
- 1-5 COVID-19 Impact on the Sport Sector Economy and Athletic Performance
by Huw D. Wiltshire & Rashmi Supriya & Julien S. Baker - 1-9 Digital Twin: Financial Technology’s Next Frontier of Robo-Advisor
by Muhammad Anshari & Mohammad Nabil Almunawar & Masairol Masri - 1-10 Time to Assess Bias in Machine Learning Models for Credit Decisions
by Liming Brotcke - 1-10 Business Closures and (Re)Openings in Real-Time Using Google Places: Proof of Concept
by Daniel E. Rigobon & Thibaut Duprey & Artur Kotlicki & Philip Schnattinger & Soheil Baharian & Thomas R. Hurd - 1-11 Asymmetric Exchange Rate Pass-Through in Turkish Imports of Cocoa Beans
by Nazif Durmaz & John Kagochi - 1-13 Household Portfolio Allocations: Evidence on Risk Preferences from the Household, Income, and Labour Dynamics in Australia (HILDA) Survey Using Tobit Models
by Safdar Ullah Khan & Satyanarayana Ramella & Habib Ur Rahman & Zulfiqar Hyder - 1-13 The Impact of Investment Efficiency on Firm Value and Moderating Role of Institutional Ownership and Board Independence
by Mahdi Salehi & Grzegorz Zimon & Arash Arianpoor & Fatemeh Eidi Gholezoo - 1-14 Xenocentrism and Formal Education: Evaluating Its Impact on the Behavior of Chilean Consumers
by Luis J. Camacho & Patricio Ramírez-Correa & Cristian Salazar-Concha - 1-14 False Friends? On the Effect of Bureaucracy, Informality, Corruption and Conflict in Ukraine on Foreign and Domestic Acquisitions
by Viktoriya Gonchar & Oleksandr Kalinin & Olena Khadzhynova & Killian J. McCarthy - 1-15 Best-Arm Identification Using Extreme Value Theory Estimates of the CVaR
by Dylan Troop & Frédéric Godin & Jia Yuan Yu - 1-15 Tourism Activity as an Engine of Growth: Lessons Learned from the European Union
by Velisaria Matzana & Aikaterina Oikonomou & Michael Polemis - 1-16 Theoretical Investigation on the Optimal Contracting for Directors Holding Multiple Directorships
by Guoyu Lin & Anna Bergman Brown - 1-16 Corporate Fraud and Accounting Firm Involvement: Evidence from China
by Jun Wang & Duo Wang - 1-16 To Trust or Not to Trust? COVID-19 Facemasks in China–Europe Relations: Lessons from France and the United Kingdom
by Emilie Tran & Yu-chin Tseng - 1-17 Model Selection and Post Selection to Improve the Estimation of the ARCH Model
by Marwan Al-Momani & Abdaljbbar B. A. Dawod - 1-17 The Impact of Fashion Brand Sustainability on Consumer Purchasing Decisions
by Doroteja Mandarić & Anica Hunjet & Dijana Vuković - 1-18 Enacting Economic Resilience: A Synthesis of Economic and Communication Frameworks
by Timothy Betts & Patrice M. Buzzanell - 1-18 Goal Setting, Personality Traits, and the Role of Insurers and Other Service Providers for Swiss Millennials and Generation Z
by Carlo Pugnetti & Pedro Henriques & Ulrich Moser - 1-18 Impact of COVID-19, Political, and Financial Events on the Performance of Commercial Banking Sector
by Ghulam Ghouse & Muhammad Ishaq Bhatti & Muhammad Hassam Shahid - 1-19 Redevelopment of Brownfields for Cultural Use from ERDF Fund—The Case of Hungary between 2014 and 2020
by Mariann Szabó & Fruzsina Bozsoki - 1-20 Mean Reversions in Major Developed Stock Markets: Recent Evidence from Unit Root, Spectral and Abnormal Return Studies
by James Nguyen & Wei-Xuan Li & Clara Chia-Sheng Chen - 1-21 Sail Away to a Safe Harbor? COVID-19 Vaccinations and the Volatility of Travel and Leisure Companies
by Ender Demir & Renatas Kizys & Wael Rouatbi & Adam Zaremba - 1-22 Deployment of Interpretive Structural Modeling in Barriers to Industry 4.0: A Case of Small and Medium Enterprises
by Pankaj Goel & Raman Kumar & Harish Kumar Banga & Swapandeep Kaur & Rajesh Kumar & Danil Yurievich Pimenov & Khaled Giasin - 1-24 What If? Electricity as Money
by David A. Gautschi & Heidi C. Gautschi & Christopher L. Tucci - 1-25 An Early Warning System for Currency Crises in Emerging Countries
by Lutfa Tilat Ferdous & Khnd Md Mostafa Kamal & Amirul Ahsan & Nhung Hong Thuy Hoang & Munshi Samaduzzaman - 1-25 A Survey of the Accounting Industry on Holdings of Cryptocurrencies in Xiamen City, China
by Huqin Yan & Kejia Yan & Rakesh Gupta - 1-27 Audit Committee Diversity, Analysts’ Forecast Accuracy and Earnings Management: Evidence from Malaysia
by Marziana Madah Marzuki
March 2022, Volume 15, Issue 3
- 1-3 Housing Real Estate Economics and Finance
by Rita Yi Man Li - 1-7 Outliers and Time-Varying Jumps in the Cryptocurrency Markets
by Anupam Dutta & Elie Bouri - 1-9 A Study of the Machine Learning Approach and the MGARCH-BEKK Model in Volatility Transmission
by Prashant Joshi & Jinghua Wang & Michael Busler - 1-11 Impact of Financial Innovation and Institutional Quality on Financial Development in Emerging Markets
by Suha Mahmoud Alawi & Wajih Abbassi & Rukhma Saqib & Madeeha Sharif - 1-11 The COVID-19 Health Crisis and Its Impact on China’s International Relations
by Jean-Pierre Cabestan - 1-11 Responses of the International Bond Markets to COVID-19 Containment Measures
by Bao Cong Nguyen To & Tam Van Thien Nguyen & Nham Thi Hong Nguyen & Hoai Thu Ho - 1-12 Financial Institution Type and Firm-Related Attributes as Determinants of Loan Amounts
by Edmund Mallinguh & Zeman Zoltan - 1-12 Semiparametric Time-Series Model Using Local Polynomial: An Application on the Effects of Financial Risk Factors on Crop Yield
by Syed Ejaz Ahmed & Dursun Aydin & Ersin Yilmaz - 1-13 Do Post-Corona European Economic Policies Lift Growth Prospects? Exploring an ML-Methodology
by Bodo Herzog - 1-14 Metatheoretical Issues of the Evolution of the International Political Economy
by Aleksy Kwilinski & Nataliya Dalevska & Vyacheslav V. Dementyev - 1-14 Intended Use of IPO Proceeds and Survival of Listed Companies in Malaysia
by Siti Sarah Alyasa-Gan & Norliza Che-Yahya - 1-15 Examining Farm Financial Management: How Do Small US Farms Meet Their Agricultural Expenses?
by Omobolaji Omobitan & Aditya R. Khanal - 1-17 Application of Social Network Analysis to Visualization and Description of Industrial Clusters: A Case of the Textile Industry
by Marina Y. Sheresheva & Lilia A. Valitova & Elena R. Sharko & Ekaterina V. Buzulukova - 1-18 The Effect of Monetary Policy and Private Investment on Green Finance: Evidence from Hungary
by Goshu Desalegn & Maria Fekete-Farkas & Anita Tangl - 1-18 The Elephant in the Dark: A New Framework for Cryptocurrency Taxation and Exchange Platform Regulation in the US
by Koray Caliskan - 1-18 Monetization of the Economies as a Priority of the New Monetary Policy in the Face of Economic Sanctions
by Svetlana Zenchenko & Wadim Strielkowski & Luboš Smutka & Tomáš Vacek & Yana Radyukova & Vladislav Sutyagin - 1-19 Fintech and Financial Health in Vietnam during the COVID-19 Pandemic: In-Depth Descriptive Analysis
by Robert Jeyakumar Nathan & Budi Setiawan & Mac Nhu Quynh - 1-19 Optimal Control Strategies for the Premium Policy of an Insurance Firm with Jump Diffusion Assets and Stochastic Interest Rate
by Dalila Guerdouh & Nabil Khelfallah & Josep Vives - 1-20 The Effect of Financial Inclusion and Competitiveness on Financial Stability: Why Financial Regulation Matters in Developing Countries?
by João Jungo & Mara Madaleno & Anabela Botelho - 1-20 Copulas and Portfolios in the Electric Vehicle Sector
by Andrej Stenšin & Daumantas Bloznelis - 1-21 Influence of Senior Executives Characteristics on Corporate Environmental Disclosures: A Bibliometric Analysis
by Hafiz Muhammad Arslan & Ye Chengang & Bilal & Muhammad Siddique & Yusra Yahya - 1-21 Market Misreaction? Leverage and Mergers and Acquisitions
by C. N. V. Krishnan & Vasiliy Yakimenko - 1-22 The Determinants of Outward Foreign Direct Investment from Latin America and the Caribbean: An Integrated Entropy-Based TOPSIS Multiple Regression Analysis Framework
by Henrique Correa da Cunha & Vikkram Singh & Shengkun Xie - 1-22 A 3-Dimensional Frame of Reference for Prevention of Risk in Supply Chain
by Han-Khanh Nguyen - 1-23 The Interplay between Digitalization, Education and Financial Development: A European Case Study
by Alexandra Horobet & Irina Mnohoghitnei & Emanuela Marinela Luminita Zlatea & Lucian Belascu - 1-23 Further Tests of the ZCAPM Asset Pricing Model
by James W. Kolari & Jianhua Z. Huang & Wei Liu & Huiling Liao - 1-24 COVID-19 and the Mortgage Market in Luxembourg
by François Koulischer & Pauline Perray & Thi Thu Huyen Tran - 1-25 Are GARCH and DCC Values of 10 Cryptocurrencies Affected by COVID-19?
by Kejia Yan & Huqin Yan & Rakesh Gupta - 1-25 The Impact of the U.S. Macroeconomic Variables on the CBOE VIX Index
by Akhilesh Prasad & Priti Bakhshi & Arumugam Seetharaman - 1-25 Spatial Analysis and Modeling of the Housing Value Changes in the U.S. during the COVID-19 Pandemic
by Xinba Li & Chihwa Kao - 1-29 Corporate Failure Risk Assessment for Knowledge-Intensive Services Using the Evidential Reasoning Approach
by Meng-Meng Tan & Dong-Ling Xu & Jian-Bo Yang - 1-29 The Crowdfunding of Altruism
by Luisa Faust & Maura Kolbe & Sasan Mansouri & Paul P. Momtaz - 1-42 Measures of Volatility, Crises, Sentiment and the Role of U.S. ‘Fear’ Index (VIX) on Herding in BRICS (2007–2021)
by Hang Zhang & Evangelos Giouvris
February 2022, Volume 15, Issue 3
- 1-11 Copula Modelling to Analyse Financial Data
by Paul R. Dewick & Shuangzhe Liu - 1-11 Balance and Stability of Polish Pension Insurance System
by Marta Maciejasz & Bartosz Chorkowy - 1-12 Implementation Risk Factors of Collaborative Housing in Poland: The Case of ‘Nowe Żerniki’ in Wrocław
by Piotr Lis & Zuzanna Rataj & Katarzyna Suszyńska - 1-15 Family Ownership, Corporate Governance and Risk-Taking
by Luis Otero-González & Luis-Ignacio Rodríguez-Gil & Milagros Vivel-Búa & Aracely Tamayo-Herrera - 1-16 Mean–Variance Portfolio Efficiency under Leverage Aversion and Trading Impact
by Chanaka Edirisinghe & Jaehwan Jeong - 1-16 The Mediating Effects of Implied Volatility and Exchange Rate on the U.S. Tourism-Growth Nexus
by Pat Obi & Godwin-Charles Ogbeide - 1-17 Imperfect Competition, Real Estate Prices and New Stylized Facts
by Ronald R. Kumar & Peter J. Stauvermann - 1-18 Corporate Social Responsibility and Capital Allocation Efficiency in Australia and New Zealand
by Alexandre Garel & Alireza Tourani-Rad & Shengze Xu - 1-19 Dynamic and Static Volatility Interruptions: Evidence from the Korean Stock Markets
by Kyong Shik Eom & Kyung Yoon Kwon & Sung Chae La & Jong-Ho Park - 1-20 The Effect of Mandatory Audit Firm Rotation on Earnings Management and Audit Fees: Evidence from Iran
by Mahdi Salehi & Grzegorz Zimon & Hossein Tarighi & Javad Gholamzadeh - 1-21 Information Jumps, Liquidity Jumps, and Market Efficiency
by Michael C. Tseng & Soheil Mahmoodzadeh - 1-21 Good Practice Principles in Modelling Defined Contribution Pension Plans
by Kevin Dowd & David Blake - 1-22 Dependence Structures between Sovereign Credit Default Swaps and Global Risk Factors in BRICS Countries
by Prayer M. Rikhotso & Beatrice D. Simo-Kengne - 1-24 Vinculum of Sustainable Development Goal Practices and Firms’ Financial Performance: A Moderation Role of Green Innovation
by Parvez Alam Khan & Satirenjit Kaur Johl & Shakeb Akhtar - 1-25 Cryptocurrencies, Diversification and the COVID-19 Pandemic
by David E. Allen - 1-30 Are Incurred Loss Standards Countercyclical? A Case Study Using U.S. Bank Holding Company Data
by Fang Du & Diana Hancock & Alexander H. von Hafften - 1-45 The Heterogeneous Impact of Sectoral Foreign Aid Inflows on Sectoral Growth: SUR Evidence from Selected Sub-Saharan African and MENA Countries
by Nadeem Abdulmalik Abdulrahman Aljonaid & Fengming Qin & Zhaoyong Zhang
February 2022, Volume 15, Issue 2
- 1-9 The Drivers of Policies to Limit the Spread of COVID-19 in Europe
by Sebastien Bourdin & Slimane Ben Miled & Jamil Salhi - 1-10 Forecasting the Price of the Cryptocurrency Using Linear and Nonlinear Error Correction Model
by Jong-Min Kim & Chanho Cho & Chulhee Jun - 1-10 State Health Insurance Benefit Mandates and Health Care Affordability
by James Bailey - 1-11 Certificate of Need Laws and Health Care Use during the COVID-19 Pandemic
by Agnitra Roy Choudhury & Sriparna Ghosh & Alicia Plemmons - 1-12 Urban Leverage and Housing Price in China
by Wanying Lu & Jianfu Shen - 1-13 Breakdown of Government Debt into Components in Euro Area Countries
by Török László - 1-13 Sustainable Blueprint: Do Stock Investors Increase Emissions?
by Olatunji Abdul Shobande & Lawrence Ogbeifun - 1-14 Price and Volatility Transmissions among Natural Gas, Fertilizer, and Corn Markets: A Revisit
by Zhengliang Yang & Xiaoxue Du & Liang Lu & Hernan Tejeda - 1-14 Is There Any Witching in the Cryptocurrency Market?
by Alex Plastun & Ludmila Khomutenko & Serhii Bashlai - 1-14 The Bucharest Stock Exchange: A Starting Point in Structuring a Valuable CSR Index
by Mirela Clementina Panait & Marian Catalin Voica & Eglantina Hysa & Alfonso Siano & Maria Palazzo - 1-15 Fight Alone or Together? The Influence of Risk Perception on Helping Behavior
by Liping Yin & Yen-Chun Jim Wu - 1-15 Do Ethical Companies Have High Stock Prices or High Returns?
by Bing Yu & Shengxiong Wu & Mary Jane Lenard - 1-16 Role of Service Quality, Price, and Firm Image on Customer Satisfaction in Philippine Accounting Firms
by Sandra Brucal & Cris Corpuz & Indra Abeysekera & Raul David - 1-16 Optimum Structure of Corporate Groups
by Stylianos Artsidakis & Yiannis Thalassinos & Theofanis Petropoulos & Konstantinos Liapis - 1-17 Optimal Allocation of Retirement Portfolios
by Kevin Maritato & Morton Lane & Matthew Murphy & Stan Uryasev - 1-17 The Impact of Foreign Capital on the Level of ERM Implementation in Czech SMEs
by Lenka Syrová & Jindřich Špička - 1-17 Self-Weighted LSE and Residual-Based QMLE of ARMA-GARCH Models
by Shiqing Ling & Ke Zhu - 1-18 The Presence of Foreign Capital and the Internationalization of Portuguese Industrial SMEs
by Luís Pacheco & Carla Lobo & Isabel Maldonado - 1-19 An Assessment of the Impact of Legal Regulation on Financial Security in OECD Countries
by Robertas Vaitkus & Asta Vasiliauskaitė - 1-19 Market Misreaction? Evidence from Cross-Border Acquisitions
by CNV Krishnan & Jialun Wu - 1-20 Customers’ Risk Tolerance and Suppliers’ Investment Inefficiency
by Karel Hrazdil & Jeong-Bon Kim & Xin Li - 1-21 Effects of Real Exchange Rate Volatility on Trade: Empirical Analysis of the United States Exports to BRICS
by E. M. Ekanayake & Amila Dissanayake - 1-21 Board Information Technology Governance Mechanisms and Firm Performance among Iraqi Medium-Sized Enterprises: Do IT Capabilities Matter?
by Ibrahim M. Menshawy & Rohaida Basiruddin & Raihana Mohdali & Nazahan Qahatan - 1-21 The Impact of Corporate Governance on the Financial Performance of the Banking Sector in the MENA (Middle Eastern and North African) Region: An Immunity Test of Banks for COVID-19
by Hani El-Chaarani & Rebecca Abraham & Yahya Skaf - 1-23 Testing Stock Market Efficiency from Spillover Effect of Panama Leaks
by Adeel Nasir & Ștefan Cristian Gherghina & Mário Nuno Mata & Kanwal Iqbal Khan & Pedro Neves Mata & Joaquim António Ferrão - 1-24 Sovereign Exposures of European Banks: It Is Not All Doom
by Martien Lamers & Thomas Present & Rudi Vander Vennet - 1-24 On Survivor Stocks in the S&P 500 Stock Index
by Klaus Grobys - 1-25 The Dynamic Relationship between Investor Attention and Stock Market Volatility: International Evidence
by Imene Ben El Hadj Said & Skander Slim - 1-27 A Comparative Analysis of the Nature of Stock Return Volatility in BRICS and G7 Markets
by Lorraine Muguto & Paul-Francois Muzindutsi - 1-30 Machine Learning the Carbon Footprint of Bitcoin Mining
by Hector F. Calvo-Pardo & Tullio Mancini & Jose Olmo - 1-31 Predictors of Excess Return in a Green Energy Equity Portfolio: Market Risk, Market Return, Value-at-Risk and or Expected Shortfall?
by Rebecca Abraham & Hani El-Chaarani & Zhi Tao - 1-37 Opportunities and Barriers for FinTech in SAARC and ASEAN Countries
by Tasadduq Imam & Angelique McInnes & Sisira Colombage & Robert Grose - 1-44 Statistical Analysis Dow Jones Stock Index—Cumulative Return Gap and Finite Difference Method
by Kejia Yan & Rakesh Gupta & Sama Haddad
January 2022, Volume 15, Issue 2
- 1-4 Home Countries Matter for the Internationalisation of Emerging Market Multinational Enterprises
by Yifan Zhong & Ruosu Gao & Xiao-Guang Yue - 1-5 COVID-19: Barriers to Physical Activity in Older Adults, a Decline in Health or Economy?
by Jiao Jiao & Rashmi Supriya & Bik C. Chow & Julien S. Baker & Frédéric Dutheil & Yang Gao & Sze-Hoi Chan & Wei Liang & Feifei Li & Dan Tao - 1-8 Acknowledgment to Reviewers of Journal of Risk and Financial Management in 2021
by JRFM Editorial Office - 1-9 Net Buying Pressure and Informed Trading in the Options Market: Evidence from Earnings Announcements
by Ihsan Badshah & Hardjo Koerniadi - 1-13 Shopping Behavior in the Context of the Digital Economy
by Katarina Repkova Stofkova & Dominik Laitkep & Zuzana Stofkova - 1-13 Determining Factors of FDI Flows to Selected Caribbean Countries
by Sandra Sookram & Roger Hosein & Leera Boodram & George Saridakis - 1-13 Sustainability Initiatives for Green Tourism Development: The Case of Wayanad, India
by Nimi Markose & Bindu Vazhakkatte Tazhathethil & Babu George - 1-13 Xenocentrism and Consumer Buying Behavior: A Comparative Analysis of Malaysian vs. Nigerian Consumers
by Vimala Venugopal & Mário Nuno Mata & Chiemelie Benneth Iloka & Rui D. Dantas & Anabela Batista & João Xavier Rita & José Moleiro Martins - 1-17 What Problem Is Post-Crisis QE Trying to Solve?
by Paul Atkinson & Adrian Blundell-Wignall - 1-17 Corporate Taxation and Firm-Specific Determinants of Capital Structure: Evidence from the UK and US Multinational Firms
by Sarmad Ali & Adalberto Rangone & Muhammad Farooq - 1-17 From Fragility to Resilience—How Prepared Was the Romanian Business Environment to Face the COVID-19 Crisis?
by Suzana Demyen - 1-18 The Development of an Integrated External Environment Monitoring Framework Aimed at the Internal Control of the Procurement Process of Fat and Oil Companies
by Sergei Bulgakov & Elena Makarenko - 1-19 Eurozone Stock Market Reaction to Monetary Policy Interventions and Other Covariates
by Nikolaos Petrakis & Christos Lemonakis & Christos Floros & Constantin Zopounidis - 1-20 Effect of COVID-19 on International Trade among the Visegrad Countries
by Erginbay Ugurlu & Irena Jindřichovská - 1-21 Digital Transformation of Small and Medium Enterprises: Aspects of Public Support
by Ramona Rupeika-Apoga & Larisa Bule & Kristine Petrovska