Content
March 2026, Volume 14, Issue 3
- 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 - 1-22 The Impact of Tax Avoidance on Earnings Management: The Moderating Role of Board Governance Characteristics
by Abdullah Almulhim & Abdelmoneim Bahyeldin Mohamed Metwally - 1-22 Promoting Financial Inclusion by Optimising Financial Interest Rates Based on Artificial Intelligence in Microfinance Institutions
by Ana Martín-Schubert & Juan Lara-Rubio & Andrés Navarro-Galera - 1-22 Executive Pay-Rank Inversion and M&A Decisions: Evidence from Chinese State-Owned Enterprises
by Shaoni Zhou & Qiyue Du & Zhitian Zhou - 1-22 Does the Change in Financial Statement Format Influence Stock Price Crash Risk?
by Qinqin Wu & Manjing Xiao & Wenli Zuo & Lingling Dai & Ping Cheng - 1-23 Cross-Market Risk Spillovers and Tail Dependence Between U.S. and Chinese Technology-Related Equity Markets
by Xinmiao Zhou & Huihong Liu - 1-25 The Influence of Investor Sentiment on the South African Property Market: A Comparative Assessment of JSE Indices
by Charlize Nel & Fabian Moodley & Sune Ferreira-Schenk - 1-31 Corporate Income Tax Differential and Subsidiaries’ Profitability in Morocco: Profit-Shifting Evidence from a Pseudo-Ordinary Least Squares Framework
by Mohamed Rachidi & Abdeslam El Moudden - 1-32 Sustainable Finance, Green Bonds and Financial Performance—A Literature Review
by Roberto Rodrigues Loiola & Herbert Kimura & Ludmila de Melo Souza - 1-33 Quantile Connectedness Between Stock Market Development and Macroeconomic Factors for Emerging African Economies
by Maroua Ben Salem & Naif Alsagr & Samir Belkhaoui & Sahbi Farhani - 1-33 Data Asset Disclosure and Stock Price Crash Risk: A Double Machine Learning Study of Chinese A Share Firms
by Junzuo Zhou & Zhaoyang Zhu & Huimeng Wang & Yuki Gong & Yuge Zhang & Frank Li - 1-35 Smart Tangency Portfolio: Deep Reinforcement Learning for Dynamic Rebalancing and Risk–Return Trade-Off
by Jiayang Yu & Kuo-Chu Chang - 1-36 From ESG to Financial Stability: Unpacking the Multi-Dimensional Impact of AI-Driven FinTech-Related Technology Adoption on Bank Performance
by Amina Hamdouni - 1-39 Mapping Financial Contagion in Emerging Markets: The Role of the VIX and Geopolitical Risk in BRICS Plus Spillovers
by Chourouk Kasraoui & Naif Alsagr & Ahmed Jeribi & Sahbi Farhani
August 2025, Volume 13, Issue 3
- 1-16 Hospitality in Crisis: Evaluating the Downside Risks and Market Sensitivity of Hospitality REITs
by Davinder Malhotra & Raymond Poteau - 1-16 Do Climate Stock and Low-Carbon Stock Respond to Oil Prices and Energy Stocks During an Oil Crisis? Implications for Sustainable Development
by Minh Thi Hong Dinh - 1-18 Islamic vs. Conventional Banking in the Age of FinTech and AI: Evolving Business Models, Efficiency, and Stability (2020–2024)
by Abdelrhman Meero - 1-20 Evolutions in the Financial Reporting Quality: A Comparative Analysis of Romanian Companies Listed on the Bucharest Stock Exchange
by Costel Istrate - 1-20 More Money, More Ethical Commitment? How Corporate Financial Performance Influences Environmental Social and Governance Practices
by Ertz Myriam & Gautier George Yao Quenum & Mouhamadou Moustapha Gueye & Chourouk Ouerghemmi & Moussa Sacko - 1-22 An X-Ray Using NLP Techniques of Financial Reporting Quality in Central and Eastern European Countries
by Tatiana Dănescu & Roxana Maria Stejerean - 1-23 ESG Rating Divergence and Stock Price Crash Risk
by Chuting Zhang & Wei-Ling Hsu - 1-24 Liquidity Drivers in Illiquid Markets: Evidence from Simulation Environments with Heterogeneous Agents
by Lars Fluri & Ahmet Ege Yilmaz & Denis Bieri & Thomas Ankenbrand & Aurelio Perucca - 1-24 Monetary Policy Tightening and Financial Market Reactions: A Comparative Analysis of Soft and Hard Landings
by Gimede Gigante & Fernando Piccolantonio & Francesca Scarlini - 1-24 When Models Fail: Credit Scoring, Bank Management, and NPL Growth in the Greek Recession
by Vasileios Giannopoulos & Spyridon Kariofyllas - 1-24 Time-Varying Efficiency and Economic Shocks: A Rolling DFA Test in Western European Stock Markets
by Christophe Musitelli Boya - 1-25 Has US (Un)Conventional Monetary Policy Affected South African Financial Markets in the Aftermath of COVID-19? A Quantile–Frequency Connectedness Approach
by Mashilana Ngondo & Andrew Phiri - 1-25 A Study of the Impact of Corporate Financialisation on Capital-Deepening Enterprises’ Output—Empirical Evidence from China’s A-Share Market
by Yunsong Wang - 1-26 The Impact of Green Bond Issuance on Corporate Environmental and Financial Performance: An Empirical Study of Japanese Listed Firms
by Yutong Bai - 1-27 What’s Trending? Stock-Level Investor Sentiment and Returns
by Karolina Krystyniak & Hongqi Liu & Huajing Hu - 1-29 Exchange Rate Forecasting: A Deep Learning Framework Combining Adaptive Signal Decomposition and Dynamic Weight Optimization
by Xi Tang & Yumei Xie - 1-30 From Fields to Finance: Dynamic Connectedness and Optimal Portfolio Strategies Among Agricultural Commodities, Oil, and Stock Markets
by Xuan Tu & David Leatham - 1-30 The Role of Accounting Conservatism in the Decreasing Book Equity of U.S. Firms
by Haowen Luo & Bing Luo & S. Drew Peabody - 1-30 A Fusion of Statistical and Machine Learning Methods: GARCH-XGBoost for Improved Volatility Modelling of the JSE Top40 Index
by Israel Maingo & Thakhani Ravele & Caston Sigauke - 1-31 Corporate Digital Transformation and Capacity Utilization Rate: The Functionary Path via Technological Innovation
by Yang Liu & Hongyan Zhang & Xiang Gao & Yanxiang Xie - 1-31 Strategic Risk Spillovers from Rare Earth Markets to Critical Industrial Sectors
by Oana Panazan & Catalin Gheorghe
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
September 2025, Volume 13, Issue 3
- 1-14 Debt, Equity, and the Pecking Order: Evidence from Financing Decisions of Dividend-Paying Firms
by Konstantinos Kakouris & Dimitrios Psychoyios - 1-15 Bank Risk-Taking During COVID-19: The Role of Private and Public Ownership in GCC
by Abdullah Aldousari & Ahmed Mohammed & Sarah Lindop - 1-19 Monetary Governance and Currencies Resilience in Times of Crisis
by Ayyoub Ben El Rhadbane & Abdeslam El Moudden - 1-19 Financing Constraints and High-Quality Development of Chinese Listed Firms: Mechanisms of Investment Efficiency and Contingent Factors
by Jun Yan & Zexia Zhao & Yan Liu - 1-20 Estimating the Impact of ESG on Financial Forecast Predictability Using Machine Learning Models
by Marius Sorin Dincă & Vlad Ciotlăuși & Frank Akomeah - 1-20 The Role of Fear of Missing out (FOMO), Loss Aversion, and Herd Behavior in Gold Investment Decisions: A Study in the Vietnamese Market
by Xuan Hung Nguyen & Dieu Anh Bui & Nam Anh Le & Quynh Trang Nguyen - 1-21 The Philosophy of Financial Performance: A Bibliometric and Conceptual Review
by Ionela Munteanu & Liliana Ionescu-Feleagă & Bogdan Ștefan Ionescu & Alexandra-Maria Spânu & Mircea Iosif Rus - 1-23 The Impact of Non-Performing Loans on Bank Growth: The Moderating Roles of Bank Size and Capital Adequacy Ratio—Evidence from U.S. Banks
by Richard Arhinful & Leviticus Mensah & Bright Akwasi Gyamfi & Hayford Asare Obeng - 1-23 Dynamics of Cryptocurrencies, DeFi Tokens, and Tech Stocks: Lessons from the FTX Collapse
by Nader Naifar & Mohammed S. Makni - 1-24 Does Financial Development Shape the Energy–FDI–Growth Nexus? New Evidence from BRICS+ Countries Using Dynamic Panel Estimation
by Geoffrey Gatharia Gachino - 1-24 Predictive Power of ESG Factors for DAX ESG 50 Index Forecasting Using Multivariate LSTM
by Manuel Rosinus & Jan Lansky - 1-25 The Road to Tax Collection Digitalization: An Assessment of the Effectiveness of Digital Payment Systems in Nigeria and the Role of Macroeconomic Factors
by Cordelia Onyinyechi Omodero & Gbenga Ekundayo - 1-26 Financial Leverage and Firm Performance in Moroccan Agricultural SMEs: Evidence of Nonlinear Dynamics
by Imad Nassim & Salma Nassim & Abdelkarim Moussa - 1-26 Capital Structure Theories in US Corporate Divestitures: A Study on Spin-Off Firms
by Xian Chen & Sanjib Guha & Tahsina Haque Simu - 1-26 Modeling Market Expectations of Profitability Mean Reversion: A Comparative Analysis of Adjustment Models
by Miroslava Vlčková & Tomáš Buus - 1-27 Generational Insights into Herding Behavior: The Moderating Role of Investment Experience in Shaping Decisions Among Generations X, Y, and Z
by Abdul Syukur & Amron Amron & Fery Riyanto & Febrianur Ibnu Fitroh Sukono Putra & Rifal Richard Pangemanan - 1-30 Predicting the Canadian Yield Curve Using Machine Learning Techniques
by Ali Rayeni & Hosein Naderi - 1-32 Effects of Liquidity on TE and Performance of Japanese ETFs
by Atsuyuki Naka & Jiayuan Tian & Seungho Shin - 1-36 When Financial Awareness Meets Reality: Financial Literacy and Gen Z’s Entrepreneurship Interest
by Eva Kicova & Jakub Michulek & Olga Ponisciakova & Juraj Fabus
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 - 1-19 Mapping the Literature on Short-Selling in Financial Markets: A Lexicometric Analysis
by Nitika Sharma & Sridhar Manohar & Bruce A. Huhmann & Yam B. Limbu - 1-20 Mapping Trends in Green Finance: A Bibliometric and Topic Modeling Analysis
by Orlando Joaqui-Barandica & Jesús Heredia-Carroza & Sebastian López-Estrada & Daniela-Tatiana Agheorghiesei - 1-20 Banking Profitability: Evolution and Research Trends
by Francisco Sousa & Luís Almeida - 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 - 1-21 How Does Corporate Information Environment Influence CSR?
by Ehsan Poursoleyman & Amin Pourrezaei Nav & Gholamreza Mansourfar & Hamzeh Didar - 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 - 1-23 Effects of Debt Financing Decisions on Profitability: A Comparison of USA and Europe Biopharmaceutical Industry
by Emmanuel Nkansah - 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 - 1-26 Is Bitcoin a Safe-Haven Asset During U.S. Presidential Transitions? A Time-Varying Analysis of Asset Correlations
by Pathairat Pastpipatkul & Htwe Ko - 1-26 Financial Discrimination: Consumer Perceptions and Reactions
by Miranda Reiter & Di Qing & Kenneth White & Morgen Nations - 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 - 1-27 Trends and Trajectories: A Bibliometric Analysis of Financial Risk (2015–2024)
by Jiajia Liu & Yibin Liu & Lijun Ren & Xuerong Li & Shouyang Wang - 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 - 1-29 Modeling the Determinants of Stock Market Investment Intention and Behavior Among Studying Adults: Evidence from University Students Using PLS-SEM
by Dostonbek Eshpulatov & Gayrat Berdiev & Andrey Artemenkov - 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 - 1-35 AI-Based Bankruptcy Prediction for Agricultural Firms in Central and Eastern Europe
by Dominika Gajdosikova & Jakub Michulek & Irina Tulyakova
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
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