Content
May 2026, Volume 14, Issue 6
- 1-19 Measuring Financial Repression in CFA Franc Zones: Index Construction and Implications for Investment Activity
by Amirreza Kazemikhasragh - 1-25 The Relationship Between Geopolitical Risk and Asset Market Co-Movement: Evidence from South Africa
by Mpho Sephetho & Fabian Moodley
June 2026, Volume 14, Issue 6
- 1-19 Knowledge, Actionable Digital Skills, and Old-Age Anxiety: Evidence from Digital Financial Literacy Components Among Japanese Retail Investors
by Jargalmaa Amarsanaa & Honoka Nabeshima & Yoshihiko Kadoya - 1-21 Firm Performance and Corporate Social Responsibility: The Moderating Role of Board Skills
by Rihem Soussi Fathallah & Hamza Nizar & Houssam Bouzgarrou & Abdulrahman Alomair - 1-21 Normative Lean Performance Score Model Based on Financial and Accounting Metrics
by Attila Bányai & Judit Bárczi & Gergő Thalmeiner - 1-21 Climate Risk, CSR, and Financial Performance: An Interaction Perspective on Corporate Resilience in Europe
by Salma Zaiane & Fatma Ben Moussa & Souhir Masmoudi & Rahma Louati - 1-22 AI for Financial Advice, Fraud Loss, and the Moderating Effect of Financial Knowledge Miscalibration
by Isha Chawla & Mindy Joseph & Kenneth White & Chasity Winder Scantling - 1-24 Financial Intermediation and Provincial Economic Activity in a Dollarised Economy: Panel VAR Evidence from Ecuador
by Félix Casares-Conforme & Ángel Maridueña-Larrea & Rocío González-Reyes & Javier Patricio Cadena-Silva & Patricio Álvarez-Muñoz - 1-26 Heterogeneous Adjustment in Monetary Transmission: Short-Run Evidence from an Emerging Market on Bank Equity Valuations, Balance Sheets, and Inflation
by Adil Boutfssi & Youssef Zizi & Mehdi Bensouda
April 2026, Volume 14, Issue 5
- 1-15 The Influence of Board Attributes on Tax Avoidance and Firm’s Performance
by Muhammad Asif & Muhammad Akram Naseem & Rana Tanveer Hussain & Faisal Qadeer & Muhammad Ishfaq Ahmad - 1-16 Do Credit and Liquidity Risks Interact to Shape Bank Stability? Evidence from an Emerging Banking System
by Sana’ Atari & Ruaa Bin Saddig & Bahaa Subhi Awwad - 1-16 The Impact of Voluntary IFRS Adoption on Financial Reporting Quality and Firm Value: Evidence from Listed Firms in Vietnam
by Ngoc Giau Nguyen & Ngoc Tien Nguyen - 1-18 Temporal Dynamics of Market Microstructure in Cryptocurrency Perpetual Futures: Econometric Evidence from Centralized and Decentralized Exchanges
by Petar Zhivkov & Venelin Todorov & Slavi Georgiev - 1-21 The Double-Edged Effect of Bank Revenue Diversification: Insights from an Emerging Market
by Nour Alouane & Samira Haddou - 1-26 Banking Sector Stability and Economic Growth in Ethiopia: The Two-Step System GMM Analysis
by Daba Geremew & Seid Muhammed & Prihoda Emese
May 2026, Volume 14, Issue 5
- 1-13 Financial Development, Income Inequality, and Business Environments: A Nonlinear Analysis Across Country Income Groups
by Ebrahim Merza & Mohammad Alawin - 1-14 Corporate Financial Distress and Equity Market Contagion: Evidence from Energy Sector Collapses in the U.S. Stock Market
by Salem Hadi Al Mustanyir - 1-15 Biodiversity Mutual Funds and ETFs: Characteristics, Performance, Risk, and Fees
by Fei Fang & Di Luo - 1-17 Audit Quality Characteristics and Financial Reporting Quality Among Jordanian Small and Medium Enterprises: A PLS-SEM Approach
by Ahmad Farhan Alshira’h - 1-17 Blockchain-Enabled Transparency and Organizational Value: Evidence from Chinese Firms Referencing DAO Concepts
by Chaoyang Chen & Ziting Wang - 1-18 Unsupervised Machine Learning-Based Financial Anomalies, ESG, and Accounting Conservatism
by Prawat Benyasrisawat & Pakawat Kuboonya-arags - 1-19 The Impact of Climate Change Disclosure on Cost of Debt: The Moderating Effect of Political Connections and ESG Disclosure
by Abdullah Almutairi - 1-19 The Conduit, Constraint, and Containment: A Framework for Analyzing Global Stablecoin Risk Transmission and China’s Regulatory Response
by Tian Meng & Gaojin Yu & Minfeng Lu - 1-19 Volatility Spillovers and Interdependencies: The Nexus of Biofuel, Food, and Crude Oil Prices During the COVID-19 Pandemic-A VECM-CCC-GARCH
by Caner Özdurak - 1-20 Are Female Leadership and Innovation Determinants of Tunisian Firms’ Participation in Global Value Chains?
by Mohamed Ilyes Gritli & Teheni El Ghak & Fatma Marrakchi Charfi - 1-21 A Risk Minimization Model for Capital Asset Portfolios
by Stoyan Zlatev & Milena Petkova & Mariyan Milev & Nadya Velinova-Sokolova - 1-21 The Impact of Financial Liberalization, Political Connection and Audit Quality on the Cost of Debt
by Ben Le & Nischala Reddy & Phong Nguyen & Paula Hearn Moore - 1-22 Machine Learning-Driven Portfolio Optimization Using Money Flow Index-Based Sentiment Signals
by Prapassara Singsiri & Jiraphat Yokrattanasak - 1-22 Preparing Financial Reporting Professionals for Virtual Asset Disclosure and Assurance: Stakeholder Readiness for Metaverse-Based Accounting Systems
by Rabindra Kumar Jena - 1-22 Uncertainty and Innovation Markets: Horizon-Dependent Connectedness Under Market and Geopolitical Risk
by Huthaifa Alqaralleh - 1-23 Financial Adaptability and Firm Performance Under Macroeconomic Shocks: Evidence from a Commodity-Dependent Emerging Economy
by Khurelbaatar Ganbat & Tsolmon Sodnomdavaa & Asralt Buyantsogt & Ganbat Dangaa - 1-23 Evidence-Based Analysis of Asset Profitability Drivers in the Automotive Sector
by Marius Sorin Dincă & Frank Akomeah - 1-23 The Effect of IFRS Adoption on Foreign Investment in the Japanese Equity Market
by Yoshitaka Kubota & Fumiko Takeda - 1-25 The Influence of Operational Efficiency (SFA Modeling), Credit Risk, and Third-Party Funds on Stock Prices with Financial Performance as a Mediating Variable
by Satria Amiputra Amimakmur & Sutrisno T & Aulia Fuad Rahman & Sari Atmini - 1-25 A Design Science Approach to Predicting ESG Performance Using Ensemble Machine Learning
by Yara Ibrahim & Khaled Hussainey & Taghred Mokhtar Sayed Moawad - 1-26 Inclusive Growth of Russian Companies as a Driver of Socio-Economic Development: Insights from the Metallurgical Sector
by Irina Ivashkovskaya & Sergei Grishunin & Elena Makeeva & Egor Pashkov - 1-26 Greenwashing as a Corporate Strategy: A Bibliometric Analysis of Risks, Governance, and Heterogeneity
by Fukai Wang & Wei Zhou & Zhen Zhang - 1-27 Dynamics of Financial Decisions for 21st-Century Economic Environments: The Link Between Business Performance, Inclusion, and Financial Literacy of Entrepreneurs in Latin America
by Wladimir Chuquimia-Rivero & Elizabeth Emperatriz García-Salirrosas & Dany Yudet Millones-Liza & Miluska Villar-Guevara - 1-27 From Enforcement to Capability: Tax Planning Capacity and Corporate Tax Compliance in Foreign Investment Enterprises in Azerbaijan
by Mubariz Mammadli & Natavan Namazova & Zivar Zeynalova - 1-28 Development of a Predictive Tool for Real Estate Analysis Using Machine Learning Techniques
by Ricardo Francisco Reier Forradellas & Gregorio Acedo Benítez - 1-29 Liquidity Recovery Dynamics Following Volatility Shocks: Evidence from an Emerging Equity Market
by Ashok Kumar Panigrahi & Anita Sharma & Varun Sarda - 1-31 Designing Retail Central Bank Digital Currencies: A Systematic Literature Review of Trade-Offs Between Security, Privacy, and Financial Stability
by Jwa Emma Said & Jan Lánský - 1-34 Integrated Reporting Quality, Tax Avoidance, and Sustainable Development: Evidence from South Africa
by Sarah Yasser Abdel-Fattah & Tânia Menezes Montenegro
March 2026, Volume 14, Issue 4
- 1-5 Editorial for Special Issue “Sustainable Investing and Financial Services”
by Michael C. S. Wong - 1-25 Do Technical Indicators Enhance the Predictability of the Equity Market Risk Premium? Evidence from Korea
by Hyunah Lee & Sungju Chun
April 2026, Volume 14, Issue 4
- 1-13 What Explains Bitcoin Volatility? Evidence from an Extended HAR Framework
by Zhaoying Lu & Yuanju Fang - 1-13 Expectations, Credibility, and the Persistence of Currency Substitution
by Mohammad Alawin - 1-18 The Integration-Contagion Paradox: Global Linkages and Crisis Transmission in South Asian Stock Markets
by Dinesh Gajurel & Bharat Singh Thapa - 1-18 The Effects of Technology and Liquidity on Bank Capital Structure
by Ndonwabile Zimasa Mabandla - 1-19 Supply Chain Integration and Firm Performance: A Bibliometric Analysis of Emerging Trends, Sustainability, and Digital Transformation
by Abdul Aziz Abdul Rahman & Uswa Imran & Farah Naz & Ayesha Irfan - 1-20 Gender Dynamics and Banks’ Performance: Does Cybersecurity Disclosure Matter? Evidence from Jordan
by Maha Shehadeh & Omar Arabiat & Hashem Alshurafat & Khaled Hussainey & Abdalmuttaleb M. A. Musleh Al-Sartawi - 1-20 Non-Linear Effects of REER Misalignment on Banking Stability: New Evidence from Emerging Countries
by Nouredine Belhadj & Sami Ben Mim - 1-23 Central Bank Digital Currencies: Digital Euro and Its Implications for Uncovered and Covered Deposits
by Mattia Calosci & Antonino Crisafulli & Mattia Giantomassi & Saverio Giorgio - 1-23 Perceived Cognitive Assistance in LLM-Augmented Retail Trading: Construct Definition and Content Validation
by Dmitrii Gimmelberg & Iveta Ludviga - 1-23 Financial and Collaborative Drivers of Green Innovation Investment Quality in Heavily Polluting Firms: A Quadruple Helix Configuration Analysis
by Puxuan Wang & Shuangjin Wang & Maggie Foley & Jingjing Li - 1-23 Crowding Out or Ricardian Behaviour? Evidence from South Africa
by Kazeem Abimbola Sanusi & Zandri Dickason-Koekemoer - 1-24 From Knowledge to Choice: How Financial Literacy Shapes Decision Making Through Behavioral Finance Mechanisms—A Systematic Bibliometric Study
by Antonija Mandić & Katerina Fotova Čiković & Tanja Jakšić - 1-25 The Impact of ESG Performance on Non-Performing Loans, Capital Adequacy, Liquidity Risk, and Net Balance Sheet Position in Banks
by Ayşegül Ciğer & Filiz Yetiz & Bülent Kınay - 1-25 Augmented Finance for Climate Action: A Systematic Review of AI, IoT, and Blockchain Applications in Sustainable Finance
by Nadia Mansour - 1-26 Digital Reputation Risk Disclosure and Firm Value: Novel Evidence Using Textual Analysis of Saudi Non-Financial Listed Companies
by Khaled Muhammad Hosni Sobehy & Lassaad Ben Mahjoub & Ahmed Gomaa Ahmed Radwan - 1-27 The Risk Premia from the European Equity Market: An Application of the Three-Pass Estimation Methodology
by Elisa Ossola & Irina Trifan - 1-27 Observation of Tax Transparency Reporting by Top 40 JSE-Listed Firms
by Nontuthuko Khanyile & Masibulele Phesa - 1-28 Artificial Intelligence in Banking Risk Management: A Bibliometric Analysis
by Laura Aibolovna Kuanova & Aizhan Nartaiqyzy Otegen - 1-29 Sustainability Reporting Between Financial Market Forces and Regulatory Mandates: A Global Bibliometric Analysis
by Anissa Naouar & Hajer Zarrouk & Teheni El Ghak - 1-29 Geopolitical Risks and Global Stock Market Dynamics: A Quantile-Based Approach
by Adrian-Gabriel Enescu & Monica Răileanu Szeles - 1-36 Predicting the Volatility of Cryptocurrencies’ Returns Using High-Frequency Data: A Comparative Analysis of GARCH, EGARCH, IGARCH, GJR-GARCH, LRE, and HAR Models
by Abdulrahman Alsamaani & Huda Aldhahi - 1-46 A Hybrid Genetic Algorithm with Learning-to-Rank-to-Optimization for US Equity Portfolio Construction
by Ferdinantos Kottas
March 2026, Volume 14, Issue 3
- 1-15 Liquidity, Leverage and Financial Performance Nexus: Insights from Sub-Saharan Africa’s Healthcare Sector
by Ayuba Zakka Dangs & Stephen Aanu Ojeka & Ahmad Bukola Uthman & Lucky O. Onmonya - 1-16 Beyond the Playing Field: Financial Literacy Competencies for Professional Athletes in Team Sports
by Jaco Moolman - 1-16 A Cointegrating Linkage of Financial Inclusion, Institutional Quality and Economic Growth in Sub-Saharan African Countries
by Morgak Kassem Golpet & Patricia Lindelwa Makoni & Godfrey Marozva - 1-16 Does Hyperbolic Discounting Mediate the Association Between Financial Literacy and Investment in Risky Assets?
by Mostafa Saidur Rahim Khan & Yoshihiko Kadoya - 1-17 False Reality Bias in Treasury Management
by Óscar de los Reyes Marín & Iria Paz Gil & Jose Torres-Pruñonosa & Raul Gómez-Martínez - 1-18 Regime- and Tail-Dependent Performance of CVaR-Based Portfolio Strategies in Cryptocurrencies
by Tsolmon Sodnomdavaa - 1-18 Bond–Stock Price Comovements: Evidence from the 1960s to the 1990s
by Willem Thorbecke - 1-18 Digital Accounting and Financial Performance of MSMEs in Indonesia: The Mediating Role of Digital Innovation
by Maryanti & Mediaty & Andi Harmoko Arifin & Anis Anshari Mas’ud - 1-19 Board Gender Diversity and the Value Effect of Climate Change Reporting: Empirical Evidence from an Emerging Market
by Musaab Alnaim & Abdelmoneim Bahyeldin Mohamed Metwally - 1-21 Mapping Firm Debt and Productivity with Spatial Analysis in the Visegrad Countries
by Beáta Reider-Pesti & Alex Suta & Árpád Tóth - 1-21 Trends in Capital Structure: A Bibliometric Analysis to Support the Construction of Decision-Support Methodologies
by José Matheus Ferreira Gomes dos Passos & Marcelo Nunes Fonseca & Rodrigo Martins Baptista & Wilson Toshiro Nakamura & Jonas Poutilho de Morais Pereira - 1-21 Financial Education in the Age of Artificial Intelligence: A Systematic Review with Text Mining and Natural Language Processing
by Eveling Sussety Balcazar-Paiva & Alexander Fernando Haro-Sarango & Juan Amilcar Villanueva-Calderón - 1-22 From Risk to Resourcefulness: How Does Financial Uncertainty Shape Waste Management and Circularity?
by Afef Slama & Imen Khelil - 1-22 A Novel AI-Based Trading Framework for Futures Markets: Evidence from the MTX Case Study
by Yu-Heng Hsieh & Chiung-Han Lai & Shyan-Ming Yuan - 1-25 Reconceptualizing Central Bank Transparency: A Multidimensional Index and Its Implications for International Equity Portfolio Allocation
by Sana Bhiri & Houda BenMabrouk - 1-25 Poverty Dynamics Under Changing Measurement Frameworks: The Role of Foreign Direct Investment in Vietnam
by Phuc Tran Nguyen - 1-26 Corporate Governance Role in Greenwashing and Firm Value Nexus
by Islahuddin Islahuddin & Yossi Diantimala & Zera Ayudiastika & Muhammad Putra Aprullah - 1-26 Governance and Fiscal Sustainability: Evidence from Developed and Emerging Economies
by Seydou Nourou Ndiaye & Zakari-yaou Doulla Harouna & Adama Sow Badji & Babacar Sène - 1-27 Governance and Financial Outcomes of ESG Implementation in Tourism Enterprises: A Case Study from Greece
by Alexandros Garefalakis & Filia Stratidaki & Erasmia Angelaki & Danai Antonaki & Christos Papademetriou - 1-27 Chaotic Scaling and Network Turbulence in Crude Oil-Equity Systems Using a Coupled Multiscale Chaos Index
by Arash Sioofy Khoojine & Lin Xiao & Hao Chen & Congyin Wang - 1-30 Managerial Myopia, Willingness for Proactive Risk-Taking, and Digital Transformation in Commercial Banks: Evidence from China
by Yuanyuan Huo & Shengnan Wang & Wenlong Miao - 1-31 Modeling the Probability of Default Term Structure Using Different Methodologies Under IFRS 9
by Kgotso Rudolf Moremoholo & Sandile Charles Shongwe & Frans Frederick Koning - 1-33 Interpretable Deep Learning for REIT Return Forecasting: A Comparative Study of LSTM, TVP–VAR Proxy, and SHAP-Based Explanations
by Eddy Suprihadi & Nevi Danila & Zaiton Ali & Gede Pramudya Ananta - 1-37 Banking Efficiency Under Systemic Uncertainty: A Bibliometric Lens on Sustainability
by Alina Georgiana Manta & Claudia Gherțescu & Roxana Maria Bădîrcea & Nicoleta Mihaela Doran - 1-41 A Hierarchical Signal-to-Policy Learning Framework for Risk-Aware Portfolio Optimization
by Jiayang Yu & Kuo-Chu Chang - 1-44 From ESG Alignment to Value: Post-Merger ESG Dynamics and Market Valuation in Global M&As
by Selin Kamiloğlu & Elif Güneren Genç
February 2026, Volume 14, Issue 2
- 1-10 The Impact of Gender on Tax Compliance in Southern Albania
by Blerina Dervishaj & Melaize Gropa - 1-12 The Impact of EPU on the Relation Between International Oil Price Shocks and the Chinese Stock Market: Industry and Transnational Perspectives
by Xin Huang & Yang Gao - 1-16 Financial Information Quality Between Numerical Accuracy and Comprehensibility: Effects on Investment Decisions in the Context of the Bucharest Stock Exchange
by Daniela Mogîldea & Mihai Carp - 1-16 CSR Disclosure and the Zero-Leverage Phenomenon: Evidence from Pakistan Listed Firms
by Affaf Asghar Butt & Aamer Shahzad & Sadia Anis & Luís Miguel Marques & Flávio Morais - 1-17 Macro-Financial Blind Spots in Emerging Markets: Non-Bank Intermediation, Funding Liquidity, and the Persistence of Global Shock Transmission
by Gustavo Henrique Rodrigues Pessoa & Ricardo Ratner Rochman - 1-17 Campus Affinity Card Agreements Under the CARD Act: Portfolio Scale, Governance, and the Limits of Transparency
by Peter G. Kreysa - 1-19 Drivers of Net Interest Margin in Ethiopia’s Banking Sector
by Seid Muhammed & Douglas Mwirigi & Prihoda Emese - 1-19 Understanding Millennials’ Financial Behavior: The Role of Fintech Adoption, Financial Literacy, and the Mediating Effect of Financial Attitudes in a Crisis-Affected Emerging Economy
by Dani Aoun & Rita Rahal & Layal Sfeir & Nada Jabbour Al Maalouf - 1-19 The Relevance of Expected Shortfall Models in Different Time Window Sizes
by Marcelo Fukui & Leonardo Fernando Cruz Basso - 1-19 Exploring Market Efficiency with GRU-D Neural Networks: Evidence from Global Stock Markets
by Abdelhamid Ben Jbara & Marjène Rabah Gana & Mejda Dakhlaoui - 1-20 Efficiency, Concentration, and Diversification: Portfolio Lessons from Indian Technology Equities
by Davinder K. Malhotra & Shaurya Batra & Rahul Singh - 1-20 Institutional Investors, Dividend Policy, and Idiosyncratic Volatility: Evidence from European Equity Markets
by Adrian-Gabriel Enescu & Monica Răileanu Szeles - 1-21 Online Search Activity and Market Reaction to Earnings Announcements
by Saurabh Ahluwalia - 1-21 Bankruptcy Law Reform and Its Impact on Firms’ Borrowing: A South Asian Experience
by Swati Kumaria Puri & Jiali Fang & Udomsak Wongchoti & Wei Hao - 1-21 Enhancing Intraday Momentum Prediction: The Role of Volume-Based Information Uncertainty in the Chinese Stock Market
by Decheng Yang & Qiang He - 1-22 Industry Expertise of Independent Directors and Firm Misconduct: Evidence from China
by Huiling Tang & Shili Tang & Jiyuan Li - 1-23 Taxes, Growth, and Equity: The Illusions of Fiscal Policy
by Anil Hira & Tim Swartz & Jiguo Cao - 1-26 Index of the Cycle of Money: The Case of Cyprus
by Constantinos Challoumis & Nikolaos Eriotis & Dimitrios Vasiliou - 1-27 ESG Integration and the Financial Stability Trade-Off in Emerging Markets
by Luis Ángel Meneses Cerón & Julián Mauricio Gómez López & Yudith Cristina Caicedo Domínguez & Juana Patricia Diaz Olaya - 1-28 Quantile–Frequency Connectedness Among Artificial Intelligence, FinTech, and Blue Economy Markets
by Imen Jellouli - 1-28 How Does Artificial Intelligence Reshape Bank Profitability in China?—Evidence from a Multi-Period Difference-in-Differences Model
by Xiaoli Li & Dongsheng Zhang & Na Zeng & Defeng Meng - 1-30 Exploring the Impact of Executives’ Digital Attention on Corporate Sustainable Development: Evidence from China
by Quan Zhang & Yichuan Wang & Le Zhu & Suying Song - 1-31 Creative Accounting Practices and Their Perceived and Actual Impact on Financial Reporting: Evidence from Romanian Listed Companies
by Adriana Horaicu & Victor Munteanu & Marilena-Roxana Zuca & Gabriel Cucui & Luiza Ionescu & Mihaela-Denisa Coman & Aura-Oana Mustățea - 1-44 Particle Swarm Optimization with Stretching and Clustering for Asset Allocation
by Julien Chevallier - 1-46 Financial Risk Prediction Models Integrating Environmental, Social and Governance Factors: A Systematic Review
by Cristina Caro-González & Daniel Jato-Espino & Yudith Cardinale
January 2026, Volume 14, Issue 2
- 1-22 Digital Financial Literacy and Investment Grip: A Study of Japanese Active Investors
by Aliyu Ali Bawalle & Sumeet Lal & Mostafa Saidur Rahim Khan & Yoshihiko Kadoya
January 2026, Volume 14, Issue 1
- 1-1 Correction: Moreno-Menéndez et al. (2025). Improving Financial Sustainability Through Effective Credit Risk Management and Human Talent Development in Microfinance Institutions. International Journal of Financial Studies , 13 (2), 60
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 - 1-12 Has IPO Market Structure Fundamentally Changed? Evidence from Negative Binomial Regression with Structural Breaks
by Michael D. Herley - 1-17 Market Structure, Efficiency, and the Quest for Banking Performance: New Insights from an Evolving Banking Market
by Naveed Khan & Muhammad Asim Afridi & Muhammad Tahir & Umar Burki - 1-17 Corporate Governance Structures and Firm Value: The Mediating Role of Financial Distress in ASEAN Construction Companies
by Anton Firdaus & Nunuy Nur Afiah & Harry Suharman & Tettet Fitrijanti - 1-18 Lender of Last Resort and Financial Systemic Risks in Times of Economic Stability: Evidence from 55 Countries
by Wenlong Miao & Yuxian Ma & Yuanyuan Huo - 1-18 Quantum-Based Method to Estimate Future Tax Compositions: Application to the Case of Foreign Trade in Mexico
by Sergio Lagunas-Puls & Oliver Cruz-Milán - 1-18 Sustainability Practices and Capital Costs: Evidence from Banks and Financial Technology Firms in Global Markets
by Raminta Vaitiekuniene & Alfreda Sapkauskiene - 1-19 The Impact of Philanthropic Donations on Corporate Future Stock Returns Under the Sustainable Development Philosophy—From the Perspective of ESG Rating Constraints
by Yunqiao Chen & Yawen Wang & Cunjing Liu - 1-19 The Financial Lobster Bias
by Óscar De los Reyes Marín & Iria Paz Gil & Jose Torres-Pruñonosa & Raúl Gómez-Martínez - 1-20 Systemic Operational Risk in Morocco’s Banking Sector: An Empirical Analysis Using Panel VAR
by Kawtar El Khadi & Zakaria Firano - 1-22 Design and Evaluation of Machine Learning-Based Investment Strategies in Equity Funds
by Danillo Guimarães Cassiano da Silva & Estaner Claro Romão & Fabiano Fernandes Bargos - 1-23 Workforce Shocks and Financial Markets: Asset Pricing Perspectives
by Samreen Akhtar & Jyoti Agarwal & Alam Ahmad & Refia Wiquar & Mohd Shahid Ali - 1-23 A Bibliometric Analysis of Digital Financial Literacy and Its Role in Reducing Online Financial Fraud in the European Union
by Carol Wangari Maina & Mahdi Imani Bashokoh & Diána Koponicsné Györke - 1-24 A Review of Gender-Inclusive Green Microfinance Business Models in Tunisia: A Business Model Canvas Perspective
by Nadia Mansour - 1-24 How Environmental Uncertainty Drives Asymmetric Mispricing in China: Dual Channels and Heterogeneous Media Effect
by Shuya Hu & Shengnian Wang - 1-25 Can Soybean Tariff Shocks Trigger Abnormal Asymmetric Phenomena in Futures Markets? Evidence from the 2025 U.S.–China Trade Friction
by Arthur Walter Chen & Zichen Zhang - 1-25 Financing Startups and Impact Investing: Evidence Across MENA Countries
by Slim Mseddi - 1-26 Risk Aversion, Self-Control, Commitment Savings Device and Benchmark-Defined Undersaving Among Nano Enterprises in Urban Slums: A Logistic Regression Approach
by Edward A. Osifodunrin & José Dias Lopes - 1-27 Influence of ESG on Credit Growth: Moderating Effects of Islamic Bank and Size in MENA
by Aysha Alhamrani & Atif Awoad & Mohamed Albaity - 1-28 Information-Neutral Hedging of Derivatives Under Market Impact and Manipulation Risk
by Behzad Alimoradian & Karim Barigou & Anne Eyraud - 1-33 Distance to Governance Regulatory on Financial Performance: Evidence from Managerial Disclosure Activities at Vietnam
by Thi Ngoc Anh Nguyen & Hail Jung - 1-34 A Momentum-Based Normalization Framework for Generating Profitable Analyst Sentiment Signals
by Shawn McCarthy & Gita Alaghband - 1-34 Comparative Analysis of Tail Risk in Emerging and Developed Equity Markets: An Extreme Value Theory Perspective
by Sthembiso Dlamini & Sandile Charles Shongwe
December 2025, Volume 14, Issue 1
- 1-29 AI, Security, and Trust in the Digital Wallet: Evidence from Current Romanian FinTech Users
by Bianca-Eugenia Bodorin & Eliza Ciobanu
October 2025, Volume 13, Issue 4
- 1-14 Financial Inclusion in Zimbabwe: Lessons from the Commercial Banking Sector
by Auxilia Kawara & Binganidzo Muchara & Huibrecht M. van der Poll - 1-17 Impact of ESG Preferences on Investors in China’s A-Share Market
by Yihan Sun & Diyang Jiao & Yiqu Yang & Yumeng Peng & Sang Hu - 1-17 Determinants of Financial Fragility in Jordanian Non-Financial Firms: Empirical Evidence Based on the Financial Instability Hypothesis
by Firas Naim Dahmash & Al-Anood Khaled Melhem & Ibrahim N. Khatatbeh & Abdallah Bader AlZoubi - 1-18 Quantitative Modeling of Speculative Bubbles, Crash Dynamics, and Critical Transitions in the Stock Market Using the Log-Periodic Power-Law Model
by Avi Singh & Rajesh Mahadeva & Varun Sarda & Amit Kumar Goyal - 1-18 Empirical Analysis of Economic Impact of Monetary Policy and Fiscal Policy in China Under Global Uncertainty
by Warattaya Chinnakum & Htwe Ko & Jianming Xie & Minglang Wu & Chukiat Chaiboonsri - 1-18 Does Bitcoin Add to Risk Diversification of Alternative Investment Fund Portfolio?
by Manu Sharma - 1-19 Bridging the ESG Data Gap: Transparent Metrics and Rankings for Emerging Financial Markets
by Azhar Rim Qachach & Badr El Mahrad & Omar Kharbouch & Aniss Moumen & Sara El Aoufi & Manal El Gueddari & Soukaina Abdallah-Ou-Moussa - 1-20 The Effect of Financial Mismatch on Corporate ESG Performance: Evidence from Chinese A-Share Companies
by Xiaoli Li & Wenxin Heng & Hangyu Zeng & Chengyi Xian - 1-20 Spot Volatility Measurement Using a Change-Point Duration Model in the High-Frequency Market
by Zhicheng Li & Haipeng Xing & Yan Wang - 1-21 Employee Tenure, Earnings Management, and the Moderating Role of Foreign Investors: Evidence from South Korea
by Dongkuk Lim & Dong Hyun Son - 1-21 Digital Financial Inclusion as a Mediator of Digital Financial Literacy and Government Support in MSME Performance
by Charles Tandilino & Grace T. Pontoh & Darmawati Darmawati & Aini Indrijawati - 1-22 The Measurement and Characteristic Analysis of the Chinese Financial Cycle
by Siyuan Qiu - 1-23 The Impact of Climate Risk on Corporate Financialization—Based on Empirical Evidence of Chinese A-Share Listed Companies
by Hongjian Lu & Jingjing Tang & Zhengge Song - 1-23 Implication of Digital Marketing in the Supply Chain Finance of the Beverage Industry
by Nikolaos T. Giannakopoulos & Damianos P. Sakas & Kanellos Toudas & Panagiotis Karountzos - 1-23 Stock Price Prediction Using a Stacked Heterogeneous Ensemble
by Michael Parker & Mani Ghahremani & Stavros Shiaeles - 1-24 ESG Disclosure and Firm Value: Do Audit Committee Characteristics and Sustainability Committee Matter?
by Abdelmoneim Bahyeldin Mohamed Metwally & Gaber Sallam Salem Abdalla & Saleh Aly Saleh Aly & Mohamed Ali Shabeeb Ali - 1-24 Inverse DEA for Portfolio Volatility Targeting: Industry Evidence from Taiwan Stock Exchange
by Temitope Olubanjo Kehinde & Sai-Ho Chung & Oludolapo Akanni Olanrewaju - 1-26 Harmonizing Sustainability and Resilience: The Integral Role of Internal Audit in ESG Implementation—A Review
by Spyridon D. Lampropoulos & Georgios L. Thanasas & Alexandros Garefalakis & Ioannis Passas - 1-29 AI, Sustainability and Value Creation: Empirical Insights from Saudi Banks (2015–2024)
by Amina Hamdouni - 1-30 Hedge Fund Activism, Voice and Value Creation
by Christos Bouras & Efstathios Karpouzis - 1-55 Compliance with the Euro Area Financial Criteria and Economic Convergence in the European Union over the Period 2000–2023
by Constantin Duguleana & Liliana Duguleana & Klára-Dalma Deszke & Mihai Bogdan Alexandrescu
September 2025, Volume 13, Issue 4
- 1-22 The Role of ESG Committee on Indonesian Companies in Promoting Sustainable Practice to Creditors: Symbolic or Substantive?
by Muhammad Putra Aprullah & Yossi Diantimala & Muhammad Arfan & Irsyadillah Irsyadillah - 1-22 Is U.S. CEO Equity and Cash Compensation Aligned with Agency Theory to Maximize Shareholder Returns?
by Gurupdesh Pandher & David Koslowsky & Yosef Bonaparte
November 2025, Volume 13, Issue 4
- 1-12 Quantum Blockchain: A Theoretical Framework and Applications in Cryptocurrency
by Yosef Bonaparte - 1-13 Behavioral Biases and Report Accuracy: An Empirical Study of Investment Analysts Across Global Markets
by Vanessa Anelli Borges de Carvalho & Fabiano Guasti Lima & Vinicius Medeiros Magnani & Carolina Trinca Paulino & Rafael Confetti Gatsios - 1-20 The Dynamic Relationship Between Digital Currency and Other Financial Assets in Developed and Emerging Markets
by Lumengo Bonga-Bonga & Muhammad Khalique - 1-20 Income Taxes and Firm Competitiveness: A Case Study from the National Football League
by Benjamin Posmanick & Ryan Pinheiro & Dylan Ameis & Sean Fay - 1-21 Determinants of M&A Acquisition Premiums on the European Market in the Period of 2009 to 2022
by Marc Brixius & Jens Kai Perret & Jörg Schröder & Kamilė Taujanskaitė - 1-21 Quarterly vs. Semiannual Reporting: A Cross-Market Analysis of Earnings Announcement Reactions in the US and Europe
by Mark A. Ritter & Yusuf J. Ugras - 1-21 The Independence–Tenure Tradeoff in the Boardroom: The Impact of Excess Board Tenure on Executive Compensation and Accountability
by Paweł Mielcarz & Dmytro Osiichuk - 1-22 The Impact of Trade Secrecy Protection on Audit Pricing
by Peng Gao & Karel Hrazdil & Jiyuan Li & Jingjing Xia - 1-23 Digital Transformation in Accounting: An Assessment of Automation and AI Integration
by Carlos Sampaio & Rui Silva - 1-23 Executive Equity Incentive, Internal Control and Organizational Resilience
by Hongwei Zhao & Ruobin Li & Chunyu Jiao - 1-25 The Impact of Environmental Strategies and Accounting Practices on Corporate Environmental Performance: Evidence from Greece
by Athina Eva Voskopoulou & Petros Lois & Alkis Thrassou & George Drogalas - 1-26 Exploring the Interplay of Life Attitude and Cognitive Ability in Shaping the Intention to Stock Market Participation Among Young Professionals in the Philippines
by Eugene Burgos Mutuc - 1-27 Decentralized Finance in Business and Economics Research: A Bibliometric Analysis
by Noelia Romero-Castro & M. Ángeles López-Cabarcos & Valentín Vittori-Romero & Juan Piñeiro-Chousa - 1-27 Tail Risk Spillovers Between FinTech and Sustainability Sectors: Evidence from China Using Factor-Purged Quantile Connectedness
by Ke Peng & Muhammad Munir & Jifan Ren & Mariem Mejri - 1-27 Exploring the Psychological Drivers of Cryptocurrency Investment Biases: Evidence from Indian Retail Investors
by Manabhanjan Sahu & Furquan Uddin & Md Billal Hossain - 1-28 A New Puzzle Piece for the “Sell in May, and Go Away” Anomaly: Regulatory Disclosures
by Jan L. Schroeder - 1-30 Does ESG Performance Reduce Bankruptcy Risk?
by Bei Gao & Haodong Liu & Shenghui Tong & Yanbo Jin - 1-33 Climate Shocks and Residential Foreclosure Risk: Evidence from Property-Level Disaster and Transaction Data
by Juan Sebastián Herrera & Jasmina M. Buresch & Zachary M. Hirsch & Jeremy R. Porter - 1-33 Does the Stock Market Encourage Sustainability? Evidence from UK Investment Announcements
by Kuburat Olayinka Lawal & Edward Jones & Lucy (Jia) Lu - 1-52 Strategic Complexity and Behavioral Distortion: Retail Investing Under Large Language Model Augmentation
by Dmitrii Gimmelberg & Iveta Ludviga - 1-59 Digital Regulatory Governance: The Role of RegTech and SupTech in Transforming Financial Oversight and Administrative Capacity
by Niloufar Bagherifam & Sajjad Naghdi & Vahid Ahmadian & Alireza Fazlzadeh & Milad Baghalzadeh Shishehgarkhaneh
December 2025, Volume 13, Issue 4
- 1-17 CSR and Stock Price Crash Risk: Does the Firm Life Cycle Matter? An Emerging Economy Perspective
by Muhammad Zahid Iqbal & Sadia Ashraf & Abaid Ullah & Syed Sikander Ali Shah & Tamas-Szora Attila - 1-17 Assessing the Impact of Digital Transformation on Manufacturing Enterprises’ Performances: An Efficiency Perspective
by Chenxi Wang & Jing Yang & Yan Lin & Biao Xue - 1-18 Leverage or Bias? The Debt Behavior of High-Income Consumers
by Sergio Da Silva & Ana Luize Bertoncini & Marianne Zwilling Stampe & Raul Matsushita - 1-18 Evaluating Green Finance: Investment Patterns and Environmental Outcomes
by Lala Rukh & Shakir Ullah & Ijaz Sanober & Umar Hayat & Sangeen Khan - 1-19 The Impact of Social Trust on the Development of Digital Finance
by Fan Zeng & Benyong Hu - 1-19 Financial Traits and Convertible Bond Motives: China’s Evidence
by Jiaqi Chen & Xiuwen Lu & Xiongzhi Wang - 1-20 ESG Ratings and Financial Performance: An Empirical Analysis
by Guido Abate & Ignazio Basile & Pierpaolo Ferrari - 1-21 The Moderating Role of FinTech in the Relationship Between Customer Satisfaction and Retention in the Banking Sector
by Mousa Ajouz & Maha Shehadeh & Sara Issa & Haya Nawawra - 1-21 An Automated Machine Learning Framework for Interpretable Customer Segmentation in Financial Services
by Iveta Grigorova & Aleksandar Efremov & Aleksandar Karamfilov
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