Content
June 2025, Volume 13, Issue 3
- 1-17 Developing an Enhanced Proxy Benchmark for the Private Debt Market
by Seung Kul Lee & Hohyun Kim - 1-17 Loans to Family and Friends and the Formal Financial System in Latin America
by Susana Herrero & Jeniffer Rubio & Micaela León - 1-20 Banks’ Sustainability Reporting in Brazil
by Alexandre Pacheco & Manuel Branco
July 2025, Volume 13, Issue 3
- 1-11 Analyzing Climate Change Exposure and CEO Turnover: Evidence from U.S. Firms
by Dmitriy Chulkov - 1-18 Training Set Optimization for Machine Learning in Day Trading: A New Financial Indicator
by Angelo Darcy Molin Brun & Adriano César Machado Pereira - 1-18 Comparison of the CAPM and Multi-Factor Fama–French Models for the Valuation of Assets in the Industries with the Highest Number of Transactions in the US Market
by Karime Chahuán-Jiménez & Luis Muñoz-Rojas & Sebastián Muñoz-Pizarro & Erik Schulze-González - 1-19 The Effect of Corporate Environmental Performance (CEP) of an Acquirer on Post-Merger Firm Value: Evidence from the US Market
by Md Shahiduzzaman & Priyantha Mudalige & Omar Al Farooque & Mohammad Alauddin - 1-21 An Empirical Analysis of the Impact of Global Risk Sentiment, Gold Prices, and Interest Rate Differentials on Exchange Rate Dynamics in South Africa
by Palesa Milliscent Lefatsa & Simiso Msomi & Hilary Tinotenda Muguto & Lorraine Muguto & Paul-Francios Muzindutsi - 1-22 Financial Pathways to Sustainability—The Effects of Financial Inclusion, Development, and Innovation on Shaping ESG Readiness in Low- and Middle-Income Countries
by Yongsheng Guo & Mirza Muhammad Naseer - 1-23 Harnessing the Power of Past Triumphs: Unleashing the MAX Effect’s Potential in Emerging Market Returns
by Ştefan Cristian Gherghina & Durmuş Yıldırım & Mesut Dogan - 1-24 Financial Performance and Corporate Governance on Firm Value: Evidence from Spain
by Leslie Rodríguez Valencia - 1-25 Blockchain, Cryptocurrencies, and Decentralized Finance: A Case Study of Financial Inclusion in Morocco
by Soukaina Abdallah-Ou-Moussa & Martin Wynn & Omar Kharbouch - 1-27 Corporate Social Responsibility and Firm Financial Performance: Evidence from America’s Best Corporate Citizens
by Kelly Huang & Yanglin Li & Kabir Oyewale & Emily Tworoger - 1-29 Optimal Portfolio Analysis Using Power and Natural Logarithm Utility Functions with E-Commerce Data
by Apni Diyanti & Moch. Fandi Ansori & Susilo Hariyanto & Ratna Herdiana - 1-30 Digital Finance, New Quality Productive Forces, and Government Environmental Governance: Empirical Evidence from Chinese Provincial Panel Data
by Yunsong Xu & Shanfei Zhang - 1-34 ESG, Climate Risk, and Debt Management—Evidence from Chinese Listed Companies
by Yang Zhao & Kamarul Bahrain bin Abdul Manaf & Hazeline bt Ayoup
March 2025, Volume 13, Issue 2
- 1-29 Does Ownership Structure Influence the Financial Performance of Chinese Listed Companies? An Analysis of ESG Practices and Accounting-Based Outcomes
by Jiangshan Zhu & Rong Li & Zixuan Chen & Tiantian Zhang
May 2025, Volume 13, Issue 2
- 1-15 Thailand Sustainability Investment Performance on Thailand’s Stock Market and Financial Assets
by Pitipat Nittayakamolphun & Wiwatwong Bunnun & Nathaporn Phong-a-ran & Raweepan Uttarin & Panjamapon Pholkerd - 1-17 The Influence of Bank Loans and Deposits on Ecuador’s Economic Growth: A Cointegration Analysis
by Freddy Naula & Cristian Zamora & Kevin Gomez - 1-17 Firm Profitability and Economic Crises: The Non-Linear Role of the Cash Conversion Cycle
by Agim Kukeli & Benjamin Widner & Fitim Deari & Gevorg Sargsyan & Nicoleta Barbuta-Misu - 1-18 Factors Affecting the Financial Sustainability of Startups During the Valley of Death: An Empirical Study in an Innovative Ecosystem
by Cesar Zapata-Molina & Mauricio Bedoya-Villa & Johnatan Castro-Gómez & Santiago Gutiérrez-Broncano & Edith Román & Elkin Rave-Gómez - 1-18 From Tweets to Trades: A Bibliometric and Systematic Review of Social Media’s Influence on Cryptocurrency
by Sheela Sundarasen & Farida Saleem - 1-20 Voluntary International Financial Reporting Standards Application: A Bibliometric Review and Future Research Directions
by Ngoc Giau Nguyen & Ngoc Tien Nguyen - 1-20 Is the ESG Score Part of the Set of Information Available to Investors? A Conditional Version of the Green Capital Asset Pricing Model
by Lucía Galicia-Sanguino & Rubén Lago-Balsalobre - 1-22 Financial Development and Economic Growth in Sub-Saharan Africa Revisited: Disentangling the Role of Banks and Stock Markets
by Mayoro Diop & Mamadou Moustapha Ka & Ababacar Sedikh Gueye & Babacar Sène - 1-23 National Culture, Institutional Quality, and Financial Development: International Evidence Before and After Financial Crisis
by Selma Izadi & Frankie J. Weinberg & Mamunur Rashid - 1-23 The Inflationary Episode of 1603 in Light of the Austrian Economic Theory
by Cristóbal Matarán - 1-24 Fintech Adoption and Commercial Banks’ Environmental Performance: Do Green Accounting Practices Matter?
by Ywana Maher Lamey Badrous & Omar Ikbal Tawfik & Hamada Elsaid Elmaasrawy & Mohamed Ibrahim Srour & Mohammed Ahmed Ahmed Sharaf - 1-25 Applications of the Shapley Value to Financial Problems
by Olamide Ayodele & Sunday Timileyin Ayodeji & Kayode Oshinubi - 1-25 Impact of Asset Bubbles on Exercise of Executive Stock Options
by Amin Mawani & Saikat Sarkar - 1-26 Green Finance and Regional Technological Innovation in China: The Mediating Role of R&D Investment
by Ading Li & Adul Supanut & Jianxu Liu - 1-26 The Effects of Environmental, Social, and Governance Factors on Financial Performance and Market Valuation in the European Automotive Industry
by Jozef Glova & Matúš Panko - 1-27 Financial Sentiment Analysis and Classification: A Comparative Study of Fine-Tuned Deep Learning Models
by Dimitrios K. Nasiopoulos & Konstantinos I. Roumeliotis & Damianos P. Sakas & Kanellos Toudas & Panagiotis Reklitis - 1-28 Mapping Extent of Spillover Channels in Monetary Space: Study of Multidimensional Spatial Effects of US Dollar Liquidity
by Changrong Lu & Lian Liu & Fandi Yu & Jiaxiang Li & Guanghong Zheng - 1-30 Tax Compliance Determinants in a Challenging Fiscal Environment: Evidence from a Greek Experiment
by Skoura V. Angeliki & Dasaklis K. Thomas - 1-30 Exchange Rates and Inflation Dynamics in Multicurrency Regimes: The Case of Zimbabwe (2014 to 2024)
by Simion Matsvai - 1-31 Financial Exploitation: A Qualitative Analysis from Türkiye
by Mustafa Can Samirkas & Meryem Samirkas Komsu & Ufuk Cem Komsu & Samet Evci - 1-31 Markov-Modulated and Shifted Wishart Processes with Applications in Derivatives Pricing
by Behzad-Hussein Azadie Faraz & Hamid Arian & Marcos Escobar-Anel - 1-39 Financial Literacy and Financial Well-Being Amid Varying Economic Conditions: Evidence from the Survey of Household Economics and Decisionmaking 2017–2022
by Vivekananda Das - 1-46 Decoding the Dynamics of Sustainable Finance: Spillover, Risk, and Connectivity Through a Bibliometric Lens
by Ke Peng & Muhammad Munir & Jifan Ren & Mariem Mejri
June 2025, Volume 13, Issue 2
- 1-16 Bitcoin Return Dynamics Volatility and Time Series Forecasting
by Punit Anand & Anand Mohan Sharan - 1-17 Dynamic Financial Valuation of Football Players: A Machine Learning Approach Across Career Stages
by Danielle Khalife & Jad Yammine & Elias Chbat & Chamseddine Zaki & Nada Jabbour Al Maalouf - 1-18 Consumer Expenditure-Based Portfolio Optimization
by Attila Bányai & Tibor Tatay & Gergő Thalmeiner & László Pataki - 1-19 Financial Attention and Household Consumption Upgrading
by Han Li & Rui Zhang - 1-19 Highlighting the Role of Morality in News Framing and Its Short-Term Effects on Stock Market Fluctuations
by Paula T. Wang & Musa Malik & René Weber - 1-19 Analysis of the Behavior of Insider Traders Who Disclose Information to External Traders
by Xingxing Cao & Jing Wang & Zhi Yang - 1-21 Dynamic Spillover Effects Among China’s Energy, Real Estate, and Stock Markets: Evidence from Extreme Events
by Fusheng Xie & Jingbo Wang & Chunzi Wang - 1-21 Do Board Characteristics Affect Non-Performing Loans? GCC vs. Non-GCC Insights
by Abdelaziz Hakimi & Hichem Saidi & Soumaya Saidi - 1-23 The Impact of Geographical Factors on the Banking Sector in El Salvador
by Anders Lundvig Hansen & Luís Lima Santos - 1-24 The Effect of Fat Tails on Rules for Optimal Pairs Trading: Performance Implications of Regime Switching with Poisson Events
by Pablo García-Risueño & Eduardo Ortas & José M. Moneva - 1-24 Bridging Digital Finance and ESG Success: The Role of Financing Constraints, Innovation, and Governance
by Zhengren Luo & Pick Schen Yip & Robert Brooks - 1-25 A Framework for Gold Price Prediction Combining Classical and Intelligent Methods with Financial, Economic, and Sentiment Data Fusion
by Gergana Taneva-Angelova & Stefan Raychev & Galina Ilieva - 1-25 Does Disproportionate Financial Inclusion Reduce Gender and Income-Group Inequality? Global Evidence
by Soon Suk Yoon & Ingyu Oh & Shawn S. Park - 1-25 Dynamics of Green and Conventional Bonds: Hedging Effectiveness and Sustainability Implication
by Rihab Belguith - 1-26 ESG Risks and Market Valuations: Evidence from the Energy Sector
by Rahul Verma & Arpita A. Shroff - 1-27 The Effect of Corporate Venture Capital on Labor Income Share: Evidence from China
by Lanlan Sun & Lu Zhang & Shaolei Qu - 1-29 Derivative Complexity and the Stock Price Crash Risk: Evidence from China
by Willa Li & Yuki Gong & Yuge Zhang & Frank Li - 1-33 From Policy Mandates to Market Signals: Causal and Dynamic Effects of Carbon Information Disclosure on Firm Value
by Runyu Liu & Mara Ridhuan Che Abdul Rahman & Ainul Huda Jamil - 1-35 From Short-Term Volatility to Long-Term Growth: Restricted Stock Units’ Impact on Earnings per Share and Profit Growth Across Sectors
by Won (Albert) Park & Elena Sernova & Cheong-Yeul Park - 1-47 Past, Present, and Future Research Trajectories on Retail Investor Behaviour: A Composite Bibliometric Analysis and Literature Review
by Finn Christian Simonn
April 2025, Volume 13, Issue 2
- 1-13 Mining Frequent Sequences with Time Constraints from High-Frequency Data
by Ewa Tusień & Alicja Kwaśniewska & Paweł Weichbroth - 1-15 Do Trade Frictions Distort the Purchasing Power Parity (PPP) Hypothesis? A Closer Look
by Lumengo Bonga-Bonga - 1-15 The Impact of Uncertain Welfare Quality on Equity Market Performance
by Tarek Eldomiaty & Islam Azzam & Hoda El Kolaly & Nermeen Youssef & Marwa Anwar Sedik & Rehab ElShahawy - 1-17 Spillovers Between Euronext Stock Indices: The COVID-19 Effect
by Luana Carneiro & Luís Gomes & Cristina Lopes & Cláudia Pereira - 1-18 A Tool for Detecting Neobanking Users
by Aleksandra Amon & Timotej Jagrič - 1-18 A Study on Factors Influencing Continuous Usage Intention of Chatbot Services in South Korean Financial Institutions
by Yeun-su Choi & Seung-zoon Lee & Jeongil Choi - 1-19 Financial Policies and Corporate Income Tax Administration in Nigeria
by Cordelia Onyinyechi Omodero & Joy Limaro Yado - 1-19 Behavioral Risk Management in Investment Strategies: Analyzing Investor Psychology
by Jacob Odei Addo & Juraj Cúg & Solomon Abekah Keelson & John Amoah & Zora Petráková - 1-19 Analyzing Influence Factors of Consumers Switching Intentions from Cash Payments to Quick Response Code Indonesian Standard (QRIS) Digital Payments
by Ahmad Alim Bachri & Mutia Maulida & Yuslena Sari & Sunardi Sunardi - 1-20 Modeling Factors Influencing Blockchain Adoption in Retail Banking: A DEMATEL-Based Approach
by Michail D. Papagiannis & Panos T. Chountalas & Anastasios I. Magoutas & Thomas K. Dasaklis - 1-21 Financial Stability and Environmental Sentiment Among Millennials: A Cross-Cultural Analysis of Greece and The Netherlands
by Michalis Skordoulis & Androniki Kavoura & Angelos-Stavros Stavropoulos & Alexandros Zikas & Petros Kalantonis - 1-22 Do Financial Development and Exchange Rates Drive the Tourism–Growth Relationship?
by Pat Obi & Kwaku Addae-Ankrah & Emmanuel Sarpong-Kumankoma - 1-22 Sustainability-Linked Bonds Research: A Bibliometric and Content Analysis Review
by Clarisse Heck Machado & Miguel Sousa & Manuel Castelo Branco - 1-22 Research on the Reverse Technology Spillover Effect from China’s CVC Overseas Investments
by Xiaoli Wang & Yi Tan - 1-24 The Impact of Audit Quality and Corporate Governance on Financial Segment Disclosure in Egypt
by Engy Elsayed Abdelhak & Khaled Hussainey - 1-24 Moderating Effect of Sustainable Innovation on Internal Audit Effectiveness and Sustainability Auditing Practices: Evidence from Libya’s Public Sector
by Najeb Masoud - 1-24 The Effects of Investor Sentiment on Stock Return Indices Under Changing Market Conditions: Evidence from South Africa
by Fabian Moodley & Sune Ferreira-Schenk & Kago Matlhaku - 1-27 The Impact of Bank Fintech on Corporate Short-Term Debt for Long-Term Use—Based on the Perspective of Financial Risk
by Weiyu Wu & Xiaoyan Lin - 1-29 The Impact of Income Inequality on Energy Poverty in the European Union
by Mihaela Simionescu - 1-31 Improving Financial Sustainability Through Effective Credit Risk Management and Human Talent Development in Microfinance Institutions
by Fabricio Miguel Moreno-Menéndez & Vicente González-Prida & Diana Pariona-Amaya & Victoriano Eusebio Zacarías-Rodríguez & Víctor Zacarías-Vallejos & Sara Ricardina Zacarías-Vallejos & Luis Alberto Aguilar-Cuevas & Lisette Paola Campos-Carpena - 1-37 Exploring Complexity: A Bibliometric Analysis of Agent-Based Modeling in Finance and Banking
by Ștefan Ionescu & Camelia Delcea & Ionuț Nica & Gabriel Dumitrescu & Claudiu-Emanuel Simion & Liviu-Adrian Cotfas - 1-38 Monte Carlo Simulations for Resolving Verifiability Paradoxes in Forecast Risk Management and Corporate Treasury Applications
by Martin Pavlik & Grzegorz Michalski
March 2025, Volume 13, Issue 1
- 1-16 Capital Structure Decisions in Swedish Biotechnology Firms: The Role of Intellectual Capital and Innovation Activities
by Kritthana Kimuam & Björn Berggren & Ida Ayu Agung Faradynawati - 1-18 AI in Banking: What Drives Generation Z to Adopt AI-Enabled Voice Assistants in Saudi Arabia?
by Rotana S. Alkadi & Salma S. Abed - 1-18 Robust Portfolio Selection Under Model Ambiguity Using Deep Learning
by Sadegh Miri & Erfan Salavati & Mostafa Shamsi - 1-18 The Impact of CEO Narcissism on Corporate Financialization
by Linan Wang & Rixin Li & Ruotong Zhao - 1-18 Do Financial Market Openness and Stock Market Returns Drive Economic Growth in GCC Countries? New Investigation from Panel Structural Breaks
by Hichem Saidi & Houssem Rachdi & Abdelaziz Hakimi & Khalil Alnabulsi - 1-19 Pricing the Audit Risk of Innovation: Intangibles and Patents
by Daqun Zhang & Donald R. Deis & Hsiao-Tang Hsu - 1-19 The Effects of Financial Knowledge, Skill, and Self-Assessed Knowledge on Financial Well-Being, Behavior, and Objective Situation
by Nathan Phelps & Adam Metzler - 1-20 The Interplay of Financial Safety Nets, Long-Term Goals, and Saving Habits: A Moderated Mediation Study
by Congrong Ouyang & Mindy Joseph & Yu Zhang & Khurram Naveed - 1-21 Financial Bootstrapping: A Case of Women Entrepreneurs in Context of Digital Economy
by Saeed Alhammadi & Syed Abidur Rahman - 1-22 Strategic Impacts of RSUs on Company Performance: Insights into EPS and Profitability Growth
by Won (Albert) Park & Elena Sernova & Cheong-Yeul Park - 1-22 How Foreign and Domestic Ownership Influenced Risk-Taking in GCC Banks
by Abdullah Aldousari & Ahmed Mohammed & Sarah Lindop - 1-24 Towards Common Prosperity: Accelerated Depreciation Policy of Fixed Assets and Labor Income Share
by Ying Yang & Bing Zeng - 1-25 A Real Option Approach to the Valuation of the Default Risk of Residential Mortgages
by Angela C. De Luna López & Prosper Lamothe-López & Walter L. De Luna Butz & Prosper Lamothe-Fernández - 1-30 Navigating Uncertainty in an Emerging Market: Data-Centric Portfolio Strategies and Systemic Risk Assessment in the Johannesburg Stock Exchange
by John W. M. Mwamba & Jules C. Mba & Anaclet K. Kitenge - 1-30 Profitability, Efficiency, and Market Structure in the Meat and Milk Processing Industry: Evidence from Central Europe
by Zdeňka Žáková Kroupová & Gabriela Trnková - 1-32 Uncertainty, Risk, and Opaque Stock Markets
by José Gabriel Astaíza-Gómez - 1-36 Cryptocurrency Taxation: A Bibliometric Analysis and Emerging Trends
by Georgiana-Iulia Lazea & Maria-Roxana Balea-Stanciu & Ovidiu-Constantin Bunget & Anca-Diana Sumănaru & Ana-Maria Georgiana Coraș
January 2025, Volume 13, Issue 1
- 1-17 Macroeconomic Determinants of Effective Corporate Tax Rates: The Case of the Slovak Republic
by Alena Andrejovská & Jozef Glova - 1-18 Multi-Objective Portfolio Optimization: An Application of the Non-Dominated Sorting Genetic Algorithm III
by John Weirstrass Muteba Mwamba & Leon Mishindo Mbucici & Jules Clement Mba - 1-19 Digital Financial Inclusion and Economic Growth: The Moderating Role of Institutions in SADC Countries
by Christelle Meniago - 1-19 Tax Compliance Pattern Analysis: A Survey-Based Approach
by Marius-Răzvan Surugiu & Valentina Vasile & Camelia Surugiu & Cristina Raluca Mazilescu & Mirela-Clementina Panait & Elena Bunduchi - 1-20 Examining the Impact of Environmental, Social, and Corporate Governance Factors on Long-Term Financial Stability of the European Financial Institutions: Dynamic Panel Data Models with Fixed Effects
by Georgia Zournatzidou & Konstantina Ragazou & George Sklavos & Nikolaos Sariannidis - 1-20 The Impact of Inflation on the U.S. Stock Market After the COVID-19 Pandemic
by Willem Thorbecke - 1-24 Do Short Sales Reduce Post-Shock Anomalies in Stock Prices? Evidence from the Chinese Stock Market
by Haojun Chen - 1-24 Disclosure of Sustainability Information Under the Corporate Social Responsibility Directive: The Degree of Compliance of Portuguese Stock Index Companies
by Graça Azevedo & Jonas Oliveira & Ivone Sousa & Maria Fátima Borges & Maria C. Tavares & José Vale - 1-26 Macroeconomic Conditions, Speculation, and Commodity Futures Returns
by Ramesh Adhikari & Kyle J. Putnam - 1-27 How Has the Renminbi’s Role in Non-USD Currency Markets Evolved After COVID-19? An Analysis Based on Spillover Effects
by Changrong Lu & Fandi Yu & Jiaxiang Li & Guanghong Zheng & Lian Liu - 1-30 Factors Influencing FinTech Adoption Among Bank Customers in Palestine: An Extended Technology Acceptance Model Approach
by Jamal Hurani & Mohammed Kayed Abdel-Haq - 1-31 Determinants of Debt Financing Behavior of Unlisted Moroccan Family SMEs: A Panel Data Analysis
by Zouhair Boumlik & Badia Oulhadj & Olivier Colot - 1-41 Impact of Indices on Stock Price Volatility of BRICS Countries During Crises: Comparative Study
by Nursel Selver Ruzgar
February 2025, Volume 13, Issue 1
- 1-14 Hard to Borrow vs. Easy to Borrow: Insights from Japan’s Centralized Lendable Stock Market
by Mostafa Saidur Rahim Khan - 1-17 Financial Literacy and Credit Card Payoff Behaviors: Using Generalized Ordered Logit and Partial Proportional Odds Models to Measure American Credit Card Holders’ Likelihood of Repaying Their Credit Cards
by Christos I. Giannikos & Efstathia D. Korkou - 1-18 The Varying Impact of Cryptocurrency Investments on a Company’s Liquidity in Korean Companies
by Namryoung Lee - 1-19 Financial Markets Effect on Cryptocurrency Volatility: Pre- and Post-Future Exchanges Collapse Period in USA and Japan
by Faizah Alsulami & Ali Raza - 1-19 Exploring the Roles of IPOs and Main Bank Relationships on Debt Maturity: The Case of Japan
by Jieting Chen & Jinbin Fan - 1-19 Economic Growth in Rural Areas, Resource Agglomeration, and Stock Market Performance: Evidence from China
by Guojing Geng - 1-20 Post-Prime Football Player Valuations: Depreciation Difference Between the English Premier League and the Top European Leagues
by James Liu - 1-20 Drivers of Merger and Acquisition Activities in Vietnam: Insights from Targets’ Perspectives and Deal Characteristics
by Khoa Bui & Tu Le & Thanh Ngo - 1-22 Digital Transformation and the Quality of Accounting Information Systems in the Public Sector: Evidence from Developing Countries
by Arafat Hamdy & Ahmed Diab & Aref M. Eissa - 1-24 Modeling a Sustainable Decision Support System for Banking Environments Using Rough Sets: A Case Study of the Egyptian Arab Land Bank
by Mohamed A. Elnagar & Jaber Abdel Aty & Abdelghafar M. Elhady & Samaa M. Shohieb - 1-26 Debt Capital and Dividend Policy as Complementary Indicators of Firm Valuation
by Okechukwu Enyeribe Njoku & Younghwan Lee - 1-30 Interplay of Alternative Energy Sub-Sectors, Oil Prices, and Oil Volatility: Exploring Simultaneous Relationships
by Minh Thi Hong Dinh - 1-33 Forecasting Financial Literacy Levels with Respect to Consumer Shopping Behaviour
by Eva Kicova & Lucia Svabova & Olga Ponisciakova & Zuzana Rosnerova - 1-36 Towards Economic Sustainability: A Comprehensive Review of Artificial Intelligence and Machine Learning Techniques in Improving the Accuracy of Stock Market Movements
by Atoosa Rezaei & Iheb Abdellatif & Amjad Umar - 1-38 The Impact of Artificial Intelligence Adoption on the Quality of Financial Reports on the Saudi Stock Exchange
by Abdulkarim Hamdan J. Alhazmi & Sardar M. N. Islam & Maria Prokofieva
December 2024, Volume 13, Issue 1
- 1-20 Effects of Financial Literacy and Financial Behavior on Financial Well-Being: Meta-Analytical Review of Experimental Studies
by Phaktada Choowan & Hanvedes Daovisan & Charin Suwanwong - 1-24 Digital Financial Inclusion and Inclusive Green Growth: Evidence from China’s Green Growth Initiatives
by Ruixin Peng & Bing Zeng
September 2024, Volume 12, Issue 4
- 1-17 Corporate Governance and Employee Productivity: Evidence from Jordan
by Abdullah Ajlouni & Francisco Bastida & Mohammad Nurunnabi - 1-23 Examining the Impact of International Financial Reporting Standards Adoption on Financial Reporting Quality of Multinational Companies
by Amar Johri
November 2024, Volume 12, Issue 4
- 1-13 A Hybrid of Box-Jenkins ARIMA Model and Neural Networks for Forecasting South African Crude Oil Prices
by Johannes Tshepiso Tsoku & Daniel Metsileng & Tshegofatso Botlhoko - 1-14 Developing a Measure of Financial Privacy: A Pilot Study of U.S. College Students
by Thomas A. Hanson & Andrew J. Byrd - 1-16 Anonymity in Dealer-to-Customer Markets
by Daniela T. Di Cagno & Paola Paiardini & Emanuela Sciubba - 1-17 Black–Scholes 50 Years Later: Has the Outperformance of Passive Option Strategies Finally Faded?
by Andrew Kumiega & Greg Sterijevski & Eric Wills - 1-19 Factors Influencing Hotel Revenue Management in Times of Crisis: Towards Financial Sustainability
by Luís Lima Santos & Conceição Gomes & Cátia Malheiros & Catarina Crespo & Carla Bento - 1-20 Unraveling Youth Indebtedness in China: A Case Study Based on the “Debtors Avengers” Community on Douban
by Junan Zhang & Dong Liu - 1-20 Mobile Financial Services and the Shadow Economy in Southern African Countries: Does Regulatory Quality Matter?
by Adewale Hassan - 1-21 Unveiling Intangible Assets: Exploring Voluntary Disclosure and Its Interaction with Accounting Conservatism and Analyst Attention on Financing Constraints
by Congrong Li & Zhe Ning - 1-22 Quantile Spillovers and Connectedness Between Real Estate Investment Trust, the Housing Market, and Investor Sentiment
by Elroi Hadad & Thai Hong Le & Anh Tram Luong - 1-51 Corporate Social Responsibility and Country Governance: An International Comparative Study Amid the COVID-19 Pandemic
by Dimitrios Vortelinos & Ioannis Passas & Christos Floros & Alexandros Garefalakis
December 2024, Volume 12, Issue 4
- 1-15 Does the Size of a Bank Moderate the Relationship Between Income, Asset Diversification, and Bank Stability?
by Tabassum Chowdhury & Rashed Al Karim & Aisyah Awanis & Abrar Rownak - 1-18 More Quality, Less Trust?
by Michael Dreyfuss & Yahel Giat & Eran Manes - 1-18 The Mediating Role of Mobile Banking-Based Financial Inclusion Disclosure on the Relationship Between Foreign Investment and Bank Performance
by Omar Ikbal Tawfik & Mohammed Ali Ahmed & Hamada Elsaid Elmaasrawy - 1-19 Digital Financial Knowledge Scale (DFKS): Insights from a Developing Economy
by Kelmara Mendes Vieira & Taiane Keila Matheis & Eliete dos Reis Lehnhart & Fernando Oliveira Tavares - 1-19 GINI’s Odyssey in Greece: Econometric Analysis of Income Inequality, GDP, and Unemployment Through Economic Phases (Pre-Crisis, Crisis, Memoranda, and Post-Memoranda)
by Panagiotis Karountzos & Nikolaos T. Giannakopoulos & Damianos P. Sakas & Kyriaki I. Efthalitsidou & Stavros P. Migkos - 1-20 Adapting the National Financial Capability Test to Address Generational Differences in Cognitive Biases
by Sergio Da Silva & Ana Paraboni & Raul Matsushita - 1-21 FinTech Implementation Challenges in the Palestinian Banking Sector
by Jamal Hurani & Mohammed Kayed Abdel-Haq & Emir Camdzic - 1-21 Innovation Capacity as a Mediating Mechanism Between Strategic Risk Integration and ESG Performance: Evidence from Jordanian Banks
by Munther Al-Nimer - 1-29 Food Financialization: Impact of Derivatives and Index Funds on Agri-Food Market Volatility
by María del Rosario Venegas & Jorge Feregrino & Nelson Lay & Juan Felipe Espinosa-Cristia - 1-31 Natural Cubic Spline Approximation of Risk-Neutral Density
by Shuang Zhou & Liyuan Jiang & Keren Li & Fangfang Wang & Jie Yang
October 2024, Volume 12, Issue 4
- 1-11 Do Foreign Investors Underperform or Outperform Domestic Investors in Trading Activities? Evidence from Indonesia
by Deddy P. Koesrindartoto & Aurelius Aaron & Shuqi Wang - 1-12 The Impact of Ownership Authority on Cash Conversion Cycle in Public Hospitals: A Comparative Analysis of Provincial and County Hospitals
by Bartlomiej Krzeczewski - 1-14 Estimating Tail Risk in Ultra-High-Frequency Cryptocurrency Data
by Kostas Giannopoulos & Ramzi Nekhili & Christos Christodoulou-Volos - 1-15 Overcoming Financial Constraints on Firm Innovation: The Role of R&D Human Capital
by Sung-Tae Lee & Sun-Moon Jung - 1-17 Financial Innovation and Crowdfunding: Influencing Investment Decisions in Tech Startups
by Kaimuk Panitkulpong & Amnuay Saengnoree & Thapong Teerawatananond - 1-19 The Real Value of CSR Performance in the NEV Industry: Evidence from China
by Qing Wu & Theeralak Satjawathee - 1-20 Research on the Impact of Economic Policy Uncertainty and Investor Sentiment on the Growth Enterprise Market Return in China—An Empirical Study Based on TVP-SV-VAR Model
by Junxiao Gui & Nathee Naktnasukanjn & Xi Yu & Siva Shankar Ramasamy - 1-22 The Impact of Corporate Social Responsibility on Cash Holdings: The Moderating Role of Board Gender Diversity
by Abdelmoneim Bahyeldin Mohamed Metwally & Saleh Aly Saleh Aly & Mohamed Ali Shabeeb Ali - 1-26 Exchange Rate Pass-Through on Prices in Nigeria—A Threshold Analysis
by Olajide O. Oyadeyi & Oluwadamilola A. Oyadeyi & Faith A. Iyoha - 1-29 Executive Green Perception and Green Innovation Improve New Quality Productivity in Chinese Listed Firms
by Jiaran Li & Haslindar Ibrahim - 1-30 Blockchain Tokens, Price Volatility, and Active User Base: An Empirical Analysis Based on Tokenomics
by Roberto Moncada & Enrico Ferro & Maurizio Fiaschetti & Francesca Medda - 1-31 The Impact of COVID-19 on the Fama-French Five-Factor Model: Unmasking Industry Dynamics
by Niall O’Donnell & Darren Shannon & Barry Sheehan & Badar Nadeem Ashraf
July 2024, Volume 12, Issue 3
- 1-11 Housing Price-Vacancy Dynamics—An Empirical Study of the Hong Kong Housing Market
by Chung Yim Yiu & Thomas Murray - 1-14 Normal Asset Allocations and Their Statistical Properties
by Luca Ghezzi - 1-17 Does the Bangladesh Equity Market Expose to Disposition Effects Bias under Different Market Conditions?
by Muhammad Enamul Haque & Mahmood Osman Imam - 1-19 China’s Stock Market under COVID-19: From the Perspective of Behavioral Finance
by Kaizheng Li & Xiaowen Jiang - 1-19 Economic Policy Uncertainty and Commercial Property Performance: An In-Depth Analysis of Rents and Capital Values
by Albert Agbeko Ahiadu & Rotimi Boluwatife Abidoye & Tak Wing Yiu - 1-19 The Influence of Social Responsibility Practices on Tax Planning: An Empirical Study for Companies Listed on Euronext Lisbon
by Pedro Ferreira Silva & Cristina Sá & Teresa Eugénio - 1-20 Exploring the Influence of Earnings Management on the Value Relevance of Financial Statements: Evidence from the Bucharest Stock Exchange
by Georgiana Burlacu & Ioan-Bogdan Robu & Ionela Munteanu - 1-23 Corporate Social Responsibility, Carbon Information Disclosure, and Enterprise Value: A Study of Listed Companies in China’s Highly Polluting Industries
by Feng Shi & Yuan Wang - 1-23 Analyzing Overnight Momentum Transmission: The Impact of Oil Price Volatility on Global Financial Markets
by Huthaifa Sameeh Alqaralleh - 1-33 Assessing the Resilience of Islamic Stocks in BRIC Countries: Analyzing Coherence and Cointegration with S&P 500 Options Implied Volatility Smirk during the Global Financial Crisis
by Ariful Hoque & Tanvir Bhuiyan & Thi Le - 1-45 Corporate Social Responsibility in Canadian Family Businesses: A Socioemotional Wealth Perspective
by Imen Latrous & Jihene Kchaou & Myriam Ertz & Yosra Mnif
September 2024, Volume 12, Issue 3
- 1-11 Financial Interdependencies: Analyzing the Volatility Linkages between Real Estate Investment Trusts, Sukuk, and Oil in GCC Countries
by Nevi Danila - 1-13 Statistical Modeling of Football Players’ Transfer Fees Worldwide
by Raffaele Poli & Roger Besson & Loïc Ravenel - 1-14 Does Managerial Power Explain the Association between Agency Costs and Firm Value? The French Case
by Dabboussi Moez - 1-16 Impacts of Digital Transformation and Basel III Implementation on the Credit Risk Level of Vietnamese Commercial Banks
by Ngan Bich Nguyen & Hien Duc Nguyen - 1-18 A Comprehensive Bibliometric Analysis of Real Estate Research Trends
by Salma El Bied & Lorenzo Ros Mcdonnell & Ma Victoria de-la-Fuente-Aragón & Diego Ros Mcdonnell - 1-21 Microcredit Pricing Model for Microfinance Institutions under Basel III Banking Regulations
by Patricia Durango-Gutiérrez & Juan Lara-Rubio & Andrés Navarro-Galera & Dionisio Buendía-Carrillo - 1-22 Deregulating the Volume Limit on Share Repurchases
by Adhiraj Sodhi & Aleksandar Stojanovic - 1-31 Appraising the Role of Strategic Control in Financial Performance: The Mediating Effect of the Resource Allocation Process—The Case of the Ministry of Finance–North Lebanon
by Basma Bchennaty & Muhammad Nauman Khan & Mazen Massoud & Tamima Elhassan
August 2024, Volume 12, Issue 3
- 1-15 Enhancing Value-at-Risk with Credible Expected Risk Models
by Khreshna Syuhada & Rizka Puspitasari & I Kadek Darma Arnawa & Lailatul Mufaridho & Elonasari Elonasari & Miftahul Jannah & Aniq Rohmawati - 1-16 The Determinants of Entrepreneurial Success: An Application to Micro-Enterprises Financed by Microcredit in France
by Serge Valant Gandja & Marinette Kamaha - 1-19 Efficiency of Healthcare Financing: Case of European Countries
by Aleksy Kwilinski & Alina Vysochyna - 1-20 Risk of Economic Violence: A New Quantification
by Federica D’Agostino & Giulia Zacchia & Marcella Corsi - 1-21 Corporate Culture, Special Items, and Firm Performance
by S. Thomas Kim & Li Sun - 1-23 The Influence of Women on Boards on the Relationship between Executive and Employee Remuneration
by María L. Gallén & Carlos Peraita - 1-23 The Probability of Hospital Bankruptcy: A Stochastic Approach
by Ramalingam Shanmugam & Brad Beauvais & Diane Dolezel & Rohit Pradhan & Zo Ramamonjiarivelo - 1-24 Optimal Market-Neutral Multivariate Pair Trading on the Cryptocurrency Platform
by Hongshen Yang & Avinash Malik - 1-24 The Relationship between Financial Literacy Misestimation and Misplacement from the Perspective of Inverse Differential Information and Stock Market Participation
by Yun-Ho Lee & Weihua Ma - 1-27 Breaking the Boundaries in the Digital Age: Open Banking and Tax Evasion
by Ngoc Thang Dang & Stelios Andreadakis & Pamela Nika & Monomita Nandy - 1-28 Unpacking the Complexity of Corporate Sustainability: Green Innovation’s Mediating Role in Risk Management and Performance
by Munther Al-Nimer - 1-29 Dealing with “Do Not Know” Responses in the Assessment of Financial Literacy: The Use of a Sample Selection Model
by Anna Conte & Paola Paiardini & Jacopo Temperini
June 2024, Volume 12, Issue 3
- 1-16 Financial Development and Economic Growth: Evidence from Low-Income Nations in the SADC Region
by Courage Mlambo - 1-20 Enhancing Forecasting Accuracy in Commodity and Financial Markets: Insights from GARCH and SVR Models
by Apostolos Ampountolas - 1-20 Ownership Structure and Bank Dividend Policies: New Empirical Evidence from the Dual Banking Systems of MENA Countries
by Hicham Sbai & Slimane Ed-Dafali & Hicham Meghouar & Muhammad Mohiuddin - 1-21 Perceptions of Cryptocurrencies and Modern Money before and after the COVID-19 Pandemic in Poland and Germany
by Marta Maciejasz & Robert Poskart & Daria Wotzka - 1-23 Generalized Loss-Based CNN-BiLSTM for Stock Market Prediction
by Xiaosong Zhao & Yong Liu & Qiangfu Zhao