Content
February 2023, Volume 16, Issue 3
- 1-14 A Study on the Barriers to Entrepreneurship in the UAE
by Jamal Mohammad Ibrahim Abdulla Alnassai - 1-14 Modelling of Loan Non-Payments with Count Distributions Arising from Non-Exponential Inter-Arrival Times
by Yeh-Ching Low & Seng-Huat Ong - 1-15 Venture Capitalists on Boards and Corporate Innovation
by Li Jing & Huiying Zhang - 1-15 Enablers for Growth of Cryptocurrencies: A Fuzzy–ISM Benchmarking
by Santosh Kumar & Sujit Kumar Patra & Ankit Kumar & Kamred Udham Singh & Sandeep Varshneya - 1-16 Factors Influencing the Success of Online Education during COVID-19: A Case Analysis of Odisha
by Barada Prasanna Mohapatra & Sudhansu Sekhar Nanda & Chetan V. Hiremath & Mahantesh Halagatti & Suresh Chandra Das & Anindita Das - 1-16 Syrian SMEs in Times of COVID-19 Pandemic: Challenges, Adaptation, and Policy Measures
by Bana Abdulmajid Akkad & Sulaiman Mouselli - 1-16 Geopolitical Risks and Yield Dynamics in the Australian Sovereign Bond Market
by Milan Christian De Wet - 1-17 Forecasting Methods of Key Ratios and Their Impact in Company’s Value
by Angelos Liapis & Stylianos Artsidakis & Christos Galanos - 1-17 Does Geopolitical Risk Matter for Sovereign Credit Risk? Fresh Evidence from Nonlinear Analysis
by Nader Naifar & Shumokh Aljarba - 1-17 Technology Shocks and the Efficiency of Equity Markets in the Developed and Emerging Economies: A Global VAR Approach
by Yinka S. Hammed & Afees A. Salisu - 1-19 Russian Companies’ Motivations for Making Green Investments
by Liudmila S. Kabir & Ivan D. Rakov - 1-20 ESG Investing in “White Gold”: The Case of Lebanese Salinas
by Nada Mallah Boustani & Sana Abidib - 1-20 Stylized Facts of the FOMC’s Longer-Run Forecasts
by Jaime Marquez - 1-22 Role of Governance in Developing Disaster Resiliency and Its Impact on Economic Sustainability
by Stavros Kalogiannidis & Dimitrios Kalfas & Fotios Chatzitheodoridis & Efthymios Lekkas - 1-22 How Do Sustainability Stakeholders Seize Climate Risk Premia in the Private Cleantech Sector?
by Lingyu Li & Xianrong Zheng - 1-28 A Multidimensional View of Intellectual Capital and Dynamic Innovative Performance
by Mostafa A. Ali & Nazimah Hussin & Hakeem Hammood Flayyih & Hossam Haddad & Nidal Mahmoud Al-Ramahi & Tareq Hammad Almubaydeen & Sahraa Anwer Hussein & Areej Saad Hasan Abunaila
February 2023, Volume 16, Issue 2
- 1-2 Correction: Hamin et al. (2022). Understanding Organisational Risks and Opportunities Associated with Implementing Australia’s National Disability Insurance Scheme from the Nonprofit Service Provider Perspective—Findings from Quantitative Research. Journal of Risk and Financial Management 15: 614
by Hamin Hamin & David Rosenbaum & Elizabeth More - 1-7 Exploring Access to Financial Services by Visually Impaired People
by Sam Goundar & Milind Sathye - 1-11 Impact of Environmental, Social, and Governance Activities on the Financial Performance of Indian Health Care Sector Firms: Using Competition as a Moderator
by Bhakti Agarwal & Rahul Singh Gautam & Pooja Jain & Shailesh Rastogi & Venkata Mrudula Bhimavarapu & Saumya Singh - 1-11 Predicting Explicit and Valuing Tacit Synergies of High-Tech Based Transactions: Amazon.com’s Acquisition of Dubai-Based Souq.com
by Andrejs Čirjevskis - 1-11 Capabilities and Reputation Risks Towards Firm Performance
by Noraznira Abd Razak & Najihah Hanisah Marmaya & Mohd Zailani Othman & Idris Osman & Suhailah Kassim & Fatin Aqilah Maskuri & Nik Kutina Mat Tahir - 1-12 Managers’ Perception and Attitude toward Financial Risks Associated with SMEs: Analytic Hierarchy Process Approach
by Mahmaod Alrawad & Abdalwali Lutfi & Mohammed Amin Almaiah & Adi Alsyouf & Akif Lutfi Al-Khasawneh & Hussin Mostafa Arafa & Nazar Ali Ahmed & Ahmad M. AboAlkhair & Magdy Tork - 1-12 Corporate Social Responsibility Funding and Its Impact on India’s Sustainable Development: Using the Poverty Score as a Moderator
by Rahul Singh Gautam & Venkata Mrudula Bhimavarapu & Shailesh Rastogi & Jyoti Mehndiratta Kappal & Hitesh Patole & Aman Pushp - 1-12 Threshold of Depression Measure in the Framework of Sentiment Analysis of Tweets: Managing Risk during a Crisis Period Like the COVID-19 Pandemic
by Jules Clement Mba & Mduduzi Biyase - 1-12 The Impact of Fintech and Digital Financial Services on Financial Inclusion in India
by Mohammad Asif & Mohd Naved Khan & Sadhana Tiwari & Showkat K. Wani & Firoz Alam - 1-12 The AGP Model for Risk Management in Agile I.T. Projects
by Sanjeet Singh & Geetika Madaan & Amrinder Singh & Kiran Sood & Simon Grima & Ramona Rupeika-Apoga - 1-13 Financing for a Sustainable Dry Bulk Shipping Industry: What Are the Potential Routes for Financial Innovation in Sustainability and Alternative Energy in the Dry Bulk Shipping Industry?
by George Pangalos - 1-13 Impact of Financial Distress on the Dividend Policy of Banks in India
by Anureet Virk Sidhu & Pooja Jain & Satyendra Pratap Singh & Jagjeevan Kanoujiya & Aashi Rawal & Shailesh Rastogi & Venkata Mrudula Bhimavarapu - 1-13 Managing Household Finances: How Engaging in Financial Management Activities Relates to the Experiential Well-Being of Americans
by Thomas Korankye & Blain Pearson - 1-14 Impacts of Drought on Loan Repayment
by Joseph L. Breeden - 1-14 India’s Total Natural Resource Rents (NRR) and GDP: An Augmented Autoregressive Distributed Lag (ARDL) Bound Test
by Sanjay Taneja & Mukul Bhatnagar & Pawan Kumar & Ramona Rupeika-Apoga - 1-14 Sustaining Growth or Boosting Profit: Accounting Tools under Process-Based Management in a Transition Economy
by Alexey Bobryshev & Lyubov Chaykovskaya & Vasilii Erokhin & Anna Ivolga - 1-14 Herding Trend in Working Capital Management Practices: Evidence from the Non-Financial Sector of Pakistan
by Umar Farooq & Mosab I. Tabash & Ahmad A. Al-Naimi & Linda Nalini Daniel & Mohammad Ahmad Al-Omari - 1-15 Performance Analysis of Gold- and Fiat-Backed Cryptocurrencies: Risk-Based Choice for a Portfolio
by Muhammad Irfan & Mubeen Abdur Rehman & Sarah Nawazish & Yu Hao - 1-16 Deconstructing Risk Factors for Predicting Risk Assessment in Supply Chains Using Machine Learning
by Guy Burstein & Inon Zuckerman - 1-16 How Did Swiss Small and Medium Enterprises Weather the COVID-19 Pandemic? Evidence from Survey Data
by Christina Nicolas & Nathalie Brender & David Maradan - 1-16 Better Not Forget: On the Memory of S&P 500 Survivor Stock Companies
by Klaus Grobys & Yao Han & James W. Kolari - 1-16 Demystifying the Effect of the News (Shocks) on Crypto Market Volatility
by Mukul Bhatnagar & Sanjay Taneja & Ramona Rupeika-Apoga - 1-17 Digital Technologies for Firms’ Competitive Advantage and Improved Supply Chain Performance
by M M Hussain Shahadat & Abu Hena Mohammed Yeaseen Chowdhury & Robert Jeyakumar Nathan & Maria Fekete-Farkas - 1-17 Risk Spillovers between Bitcoin and ASEAN+6 Stock Markets before and after COVID-19 Outbreak: A Comparative Analysis with Gold
by Parichat Sinlapates & Tanit Sriwong & Surachai Chancharat - 1-17 Emerging Research Trends in Green Finance: A Bibliometric Overview
by Sagarika Mohanty & Sudhansu Sekhar Nanda & Tushar Soubhari & Vishnu N S & Sthitipragyan Biswal & Shalini Patnaik - 1-17 A Statistical Analysis of Companies’ Financing Strategies in Portugal during the COVID-19 Pandemic
by Fernando Tavares & Eulália Santos & Mafalda Venâncio de Vasconcelos & Vasco Capela Tavares - 1-17 Development of Approaches and Organizational Models for the Mass Implementation of Information Modeling Technologies in the Investment and Construction Sphere
by Anatoly Platonov & Viola Larionova & Yury Davy - 1-17 Development of the Financial Flow Model for the Sustainable Development of an Industrial Enterprise
by Farida F. Galimulina & Marina V. Shinkevich & Naira V. Barsegyan - 1-18 What Can District Migration Rates Tell Us about London’s Functional Urban Area?
by David Gray - 1-18 On the Measurement of Hedging Effectiveness for Long-Term Investment Guarantees
by Maciej Augustyniak & Alexandru Badescu & Mathieu Boudreault - 1-18 The Moderating Effect of Financial Knowledge on Financial Risk Tolerance
by John E. Grable & Abed Rabbani - 1-19 A New Multi-Dimensional Framework for Start-Ups Lifespan Assessment Using Bayesian Networks
by Mohammadreza Valaei & Vahid Khodakarami - 1-19 Consumer Segmentation of Green Financial Products Based on Sociodemographic Characteristics
by Sándor Gáspár & László Pataki & Ákos Barta & Gergő Thalmeiner & Zoltán Zéman - 1-19 Agent-Based Modeling of Construction Firms’ Organizational Behavior in Public Tenders
by Valeriya Gladkikh & Aleksandr Alekseev - 1-19 Dynamic Conditional Correlation and Volatility Spillover between Conventional and Islamic Stock Markets: Evidence from Developed and Emerging Countries
by Mohammad Sahabuddin & Md. Aminul Islam & Mosab I. Tabash & Md. Kausar Alam & Linda Nalini Daniel & Imad Ibraheem Mostafa - 1-19 Value and Contrarian Investment Strategies: Evidence from Indian Stock Market
by Sharneet Singh Jagirdar & Pradeep Kumar Gupta - 1-19 Assessment of Project Management Maturity Models Strengths and Weaknesses
by Valentin Nikolaenko & Anatoly Sidorov - 1-19 The Relationship between Changes in Corporate Governance Characteristics and Intellectual Capital
by Farzaneh Nassirzadeh & Davood Askarany & Solmaz Arefi-Asl - 1-19 Pre-IPO Financial Performance and Offer Price Estimation: Evidence from India
by Ajay Yadav & Jaya Mamta Prosad & Sumanjeet Singh - 1-20 Modeling the Optimal Combination of Proportional and Stop-Loss Reinsurance with Dependent Claim and Stochastic Insurance Premium
by Suci Sari & Arief Hakim & Ikha Magdalena & Khreshna Syuhada - 1-21 The Usefulness of Accounting Information and Management Accounting Practices under Environmental Uncertainty
by Rui Pires & Maria-Ceu Gaspar Alves & Catarina Fernandes - 1-21 Institutional Investors’ Distraction and Executive Compensation Stickiness Based on Multiple Regression Analysis
by Yizhao Hong & Chongyan Cao - 1-21 Growth of Venture Firms under State Capitalism with Chinese Characteristics: Qualitative Comparative Analysis of Fuzzy Set
by Kyung Hwan Yun & Chenguang Hu - 1-22 The Effect of Social Capital on Auditor’s Performance
by Maryamalsadat Mousavi Azghandi & Sahar Jabbari & Hossien Rezaei Ranjbar & Ahmed Al-janabi - 1-23 Econometric Modeling of Input-Driven Output Risk through a Versatile CES Production Function
by Ali Zeytoon-Nejad & Barry K. Goodwin - 1-23 Board Gender Diversity and Carbon Proactivity: The Influence of Cultural Factors
by Haifei Wang & Qingliang Tang & Ting Guo - 1-24 Portfolio Volatility Estimation Relative to Stock Market Cross-Sectional Intrinsic Entropy
by Claudiu Vințe & Marcel Ausloos - 1-26 Surviving Black Swans II: Timing the 2020–2022 Roller Coaster
by Pankaj Topiwala - 1-28 The Relationship between Intellectual Capital and Audit Fees
by Mahmoud Lari Dashtbayaz & Amjed Hameed Mezher & Khalid Haitham Khalid Albadr & Bashaer Khudhair Abbas Alkafaji - 1-29 Risk Aversion and Perception of Farmers about Endogenous Risks: An Empirical Study for Maize Producers in Awi Zone, Amhara Region of Ethiopia
by Yohannes Girma & Berhanu Kuma & Amsalu Bedemo - 1-31 Spot–Futures Price Adjustments in the Nikkei 225: Linear or Smooth Transition? Financial Centre Leadership or Home Bias?
by Jieye Qin & Christopher J. Green & Kavita Sirichand - 1-34 Performance of US and European Exchange Traded Funds: A Base Point-Slack-Based Measure Approach
by Carla O. Henriques & Maria E. Neves & Jeremias A. Conceição & Elisabete S. Vieira - 1-36 Effect of Aid-for-Trade Flows on Investment-Oriented Remittance Flows
by Sèna Kimm Gnangnon - 1-38 Retirement Income Sufficiency: A Comparison Study in Australia and New Zealand
by Xiaobo Xu & Martin Young & Liping Zou & Jiali Fang
January 2023, Volume 16, Issue 2
- 1-9 Factors Affecting R&D Share in University Revenues: Case of Russia
by Dmitry Gladyrev - 1-11 Analysis of Demand and Supply for Mobile Payments in the UAE during COVID-19
by Ahmad Ghandour & Hussein Al-Srehan & Alhanof Almutairi - 1-11 Empirical Research Study on the Determinants of Market Indicators for 41 Financial Institutions
by Larissa M. Batrancea & Alin Fetita - 1-12 Is There Any Pattern Regarding the Vulnerability of Smart Contracts in the Food Supply Chain to a Stressed Event? A Quantile Connectedness Investigation
by Bikramaditya Ghosh & Dimitrios Paparas - 1-12 Determinants of Financial Risk Tolerance: An Analysis of Psychological Factors
by Mahfuzur Rahman & Mohamed Albaity & Tarannum Azim Baigh & Md. Abdul Kaium Masud - 1-13 Housing Price and Interest Rate Hike: A Tale of Five Cities in Australia
by Fennee Chong - 1-14 Acknowledgment to the Reviewers of Journal of Risk and Financial Management in 2022
by JRFM Editorial Office - 1-14 Last-Passage American Cancelable Option in Lévy Models
by Zbigniew Palmowski & Paweł Stȩpniak - 1-15 Assessment of Attractiveness of the Baltic States for Foreign Direct Investment: The TOPSIS Approach
by Renata Činčikaitė & Ieva Meidute-Kavaliauskiene - 1-15 Ecosystems as an Innovative Tool for the Development of the Financial Sector in the Digital Economy
by Alexey I. Shinkevich & Svetlana S. Kudryavtseva & Vera P. Samarina - 1-15 The Influences of Procedural Justice on Turnover Intention and Social Loafing Behavior among Hotel Employees
by Hussein N. E. Edrees & Abu Elnasr E. Sobaih & Hassane Gharbi & Ahmed E. Abu Elnasr - 1-16 Hedging Performance and Fair-Value Financial Reporting: Evidence from Bank Holding Companies
by Hui Zhou - 1-16 A Natural Quasi-Experiment of the Monetary Policy Shocks on the Housing Markets of New Zealand during COVID-19
by Chung Yim Yiu - 1-17 The Effect of Tourist Destination Image (TDI) on Intention to Visit through Tourism Risk Perception (TRP) of COVID-19 in the Tourism Industry in the New Normal Era in Indonesia: Case Study in East Java
by Christina Esti Susanti & Yustinus Budi Hermanto & Benny Suwito - 1-18 Effects of Crude Oil Price Shocks on Stock Markets and Currency Exchange Rates in the Context of Russia-Ukraine Conflict: Evidence from G7 Countries
by Bhaskar Bagchi & Biswajit Paul - 1-18 Balance of Risks and the Anchoring of Consumer Expectations
by Jane M. Ryngaert - 1-20 Markov-Regime Switches in Oil Markets: The Fear Factor Dynamics
by Hiroyuki Okawa - 1-20 CSR, Risk Management Practices, and Performance Outcomes: An Empirical Investigation of Firms in Different Industries
by Nitya Singh & Paul Hong - 1-20 Insurance Inclusion in Uganda: Impact of Perceived Value, Insurance Literacy and Perceived Trust
by Archillies Kiwanuka & Athenia Bongani Sibindi - 1-21 Does Corporate Social Responsibility Affect the Timeliness of Audited Financial Information? Evidence from “100 Best Corporate Citizens”
by Ebenezer K. Lamptey & Jin Dong Park & Isaac Bonaparte - 1-21 External vs. In-House Advising Service: Evidence from the Financial Industry Acquisitions
by Jian Huang & Han Yu & Zhen Zhang - 1-21 Estate Planning Behaviour: A Systematic Literature Review
by Faziatul Amillia Mohamad Basir & Wan Marhaini Wan Ahmad & Mahfuzur Rahman - 1-22 Price Discovery Mechanism and Volatility Spillover between National Agriculture Market and National Commodity and Derivatives Exchange: The Study of the Indian Agricultural Commodity Market
by Mohit Garg & Shelly Singhal & Kiran Sood & Ramona Rupeika-Apoga & Simon Grima - 1-24 Thematic Review of Motivational Factors, Types of Uncertainty, and Entrepreneurship Strategies of Transitional Entrepreneurship among Ethnic Minorities, Immigrants, and Women Entrepreneurs
by Lukman Raimi & Mirela Panait & Iza Gigauri & Simona Andreea Apostu - 1-25 A Study about Who Is Interested in Stock Splitting and Why: Considering Companies, Shareholders, or Managers
by Jiaquan Chen & Marcel Ausloos - 1-25 Re-Export: Assessing the Impact of Re-Export Companies on Sectors and the Economy
by Anatolijs Prohorovs - 1-30 Leadership Styles, Motivation, Communication and Reward Systems in Business Performance
by Galvão Meirinhos & António Cardoso & Maria Neves & Rui Silva & Reiville Rêgo - 1-30 Risk Mapping: Ranking and Analysis of Selected, Key Risk in Supply Chains
by Maria Richert & Marek Dudek - 1-44 Designing a Characteristics Effectiveness Model for Internal Audit
by Steven Grima & Peter J. Baldacchino & Simon Grima & Murat Kizilkaya & Norbert Tabone & Lauren Ellul
January 2023, Volume 16, Issue 1
- 1-8 A New Measure for Idiosyncratic Risk Based on Decomposition Method
by Meng-Horng Lee & Chee-Wooi Hooy & Robert Brooks - 1-10 Is More Financial Literacy Always Beneficial? An Investigation through a Mediator
by Biwei Chen & Christos I. Giannikos & Jun Lou - 1-12 How Do State-Owned and Private-Owned CVC Differ in Nurturing Innovation in China?
by Xiang Gao & Guoping Shi & Yige Wu & Luming Zhang - 1-12 Cross-Section of Returns, Predictors Credibility, and Method Issues
by Zhimin (Jimmy) Yu - 1-13 Investment Decision and Firm Value: Moderating Effects of Corporate Social Responsibility and Profitability of Non-Financial Sector Companies on the Indonesia Stock Exchange
by Jaja Suteja & Ardi Gunardi & Erik Syawal Alghifari & Audrey Amelya Susiadi & Alfina Sri Yulianti & Anggi Lestari - 1-13 Implications of Transition towards Manufacturing on the Environment: Saudi Arabia’s Vision 2030 Context
by Nasreen Alfantookh & Yousif Osman & Isam Ellaythey - 1-14 Money Market Fund Reform: Dealing with the Fundamental Problem
by Huberto M. Ennis & Jeffrey M. Lacker & John A. Weinberg - 1-14 Strengthening Formal Credit Access and Performance through Financial Literacy and Credit Terms in Micro, Small and Medium Businesses
by Maria Widyastuti & Deograsias Yoseph Yustinianus Ferdinand & Yustinus Budi Hermanto - 1-15 Risk Management in Practice: A Multiple Case Study Analysis in Italian Municipalities
by Monia Castellini & Vincenzo Riso - 1-15 Impact of Change in Promoters’ Shareholding Pattern on the Performance of Small-Cap-Value Equity Stocks in the National Stock Exchange of India
by Ritesh Khatwani & Gopala Raghuram & Mahima Mishra & Janki Mistry - 1-15 On the Risk Spillover from Bitcoin to Altcoins: The Fear of Missing Out and Pump-and-Dump Scheme Effects
by Mehmet Balcilar & Huseyin Ozdemir - 1-16 Paradoxes and Tensions in Interorganizational Relationships: A Systematic Literature Review
by Marcos Vinícius Bitencourt Fortes & Lara Agostini & Douglas Wegner & Anna Nosella - 1-17 The Effect of COVID-19 on Cryptocurrencies and the Stock Market Volatility: A Two-Stage DCC-EGARCH Model Analysis
by Apostolos Ampountolas - 1-17 An Evolving Risk Landscape: Insights from a Decade of Surveys of Executives and Risk Professionals
by Mark Beasley & Bruce Branson & Don Pagach - 1-17 Nexus between Intellectual Capital and Bank Productivity in India
by Ranjit Tiwari & Harishankar Vidyarthi & Anand Kumar - 1-18 Artificial Intelligence-Driven Talent Management System: Exploring the Risks and Options for Constructing a Theoretical Foundation
by Ali Faqihi & Shah Jahan Miah - 1-18 Impact of Economic Freedom Distance on India’s Inbound Cross-Border Acquisition Volume: Moderating Role of Economic Distance
by Chandrika Raghavendra & Mahesh Rampilla & Venkata Ramana Thanikella & Isha Gupta - 1-18 The Impact of the 2008 Financial Crisis on Lisbon’s Housing Prices
by João Fragoso Januário & Carlos Oliveira Cruz - 1-18 Opportunities or Threats? The Role of Entrepreneurial Risk Perception in Shaping the Entrepreneurial Motivation
by Liping Yin & Yenchun Jim Wu - 1-19 The Internal Determinants of Gender Diversity and Its Non-Linear Impact on Firms’ Performance: Evidence from the Listed Companies in Palestine Exchange
by Abdelrahman J. K. Alfar & Nariman Abuatwan & Mohamed Elheddad & Mohammad Qaki - 1-20 Analysis of 105 IT Project Risks
by Valentin Nikolaenko & Anatoly Sidorov - 1-20 COVID-19 Pandemic & Financial Market Volatility; Evidence from GARCH Models
by Maaz Khan & Umar Nawaz Kayani & Mrestyal Khan & Khurrum Shahzad Mughal & Mohammad Haseeb - 1-21 Digital Explosion and Entrepreneurship Education: Impact on Promoting Entrepreneurial Intention for Business Students
by Amal Dabbous & Nada Mallah Boustani - 1-21 Factors Influencing Consumer Behavior towards Online Shopping in Saudi Arabia Amid COVID-19: Implications for E-Businesses Post Pandemic
by Sarah S. Al Hamli & Abu Elnasr E. Sobaih - 1-21 Understanding Employees’ Energy Saving in the Workplace: DR and the Philippines’ Realities
by Luis J. Camacho & Michael Pasco & Moises Banks & Randall Pasco & Marisela Almanzar & Alvin Rodriguez & Akinlawon Amoo & Nelda Rosima - 1-24 A Hybrid Method to Predict Human Action Actors in Accounting Information System
by Hamed Samarghandi & Davood Askarany & Bahareh Banitalebi Dehkordi - 1-25 An Empirical Examination of Asymmetry on Exchange Rate Spread Using the Quantile Autoregressive Distributed Lag (QARDL) Model
by Goktug Sahin & Afsin Sahin - 1-25 Analysis of Bitcoin Price Prediction Using Machine Learning
by Junwei Chen - 1-27 The Governance and Disclosure of IFRS 9 Economic Scenarios
by Yolanda S. Stander - 1-28 Pricing European Options under Stochastic Volatility Models: Case of Five-Parameter Variance-Gamma Process
by Aubain Hilaire Nzokem - 1-29 Energy Crisis Risk Mitigation through Nuclear Power and RES as Alternative Solutions towards Self-Sufficiency
by George Halkos & Argyro Zisiadou
December 2022, Volume 16, Issue 1
- 1-3 Editorial: Special Issue “Risk in Sports and Challenges for Sports Organizations”
by Michael Barth & Martin Schnitzer & Hannes Winner - 1-11 Lackluster Adoption of Cryptocurrencies as a Consumer Payment Method in the United States—Hypothesis: Is This Independent Technology in Need of a Brand, and What Kind?
by Luke Kowalski & William Green & Simon Lilley & Nikiforos Panourgias - 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
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