Content
December 2021, Volume 14, Issue 12
- 1-17 Analysis of the Financial Information Contained in the Texts of Current Reports: A Deep Learning Approach
by Maciej Wujec - 1-17 Audit Committees and COVID-19-Related Disclosure Tone: Evidence from Oman
by Badar Alshabibi & Shanmuga Pria & Khaled Hussainey - 1-18 Does the Exchange Rate and Its Volatility Matter for International Trade in Ethiopia?
by Tiblets Nguse & Betgilu Oshora & Maria Fekete-Farkas & Anita Tangl & Goshu Desalegn - 1-18 The Relationship between LGBT Executives and Firms’ Value and Financial Performance
by Isabel Costa Lourenço & Donatella Di Marco & Manuel Castelo Branco & Ana Isabel Lopes & Raquel Wille Sarquis & Mark T. Soliman - 1-18 Doping Sanctions in Sport: Knowledge and Perception of (Legal) Consequences of Doping—An Explorative Study in Austria
by Cornelia Blank & Magdalena Flatscher-Thöni & Katharina Gatterer & Elisabeth Happ & Wolfgang Schobersberger & Verena Stühlinger - 1-18 People Financing Entrepreneurs within and outside the Family: Pandemic Decline and Resilience in Cultures around the World
by Ahmed Tolba & Ayman Ismail & Thomas Schøtt - 1-18 Super RaSE: Super Random Subspace Ensemble Classification
by Jianan Zhu & Yang Feng - 1-19 GARCH (1,1) Models and Analysis of Stock Market Turmoil during COVID-19 Outbreak in an Emerging and Developed Economy
by Budi Setiawan & Marwa Ben Abdallah & Maria Fekete-Farkas & Robert Jeyakumar Nathan & Zoltan Zeman - 1-19 COVID 19 and Bank Profitability in Low Income Countries: The Case of Uganda
by Lorna Katusiime - 1-19 Climate Transition Risk and the Impact on Green Bonds
by Yevheniia Antoniuk & Thomas Leirvik - 1-19 Determinants of Bank M&As in Central and Eastern Europe
by Alin Marius Andrieș & Sabina Cazan & Nicu Sprincean - 1-20 Performance, Risk, and Cost of Capital: Trends and Opportunities for Future CSR Research
by Asif Saeed & Robert Sroufe - 1-20 Support Mechanisms for Canada’s Cultural and Creative Sectors during COVID-19
by Charlie Wall-Andrews & Emma Walker & Wendy Cukier - 1-20 The Impact of Instrumental Stakeholder Management on Blockchain Technology Adoption Behavior in Agri-Food Supply Chains
by Michael Paul Kramer & Linda Bitsch & Jon H. Hanf - 1-20 Conceptual Framework—Artificial Intelligence and Better Entrepreneurial Decision-Making: The Influence of Customer Preference, Industry Benchmark, and Employee Involvement in an Emerging Market
by George Amoako & Paul Omari & Desmond K. Kumi & George Cudjoe Agbemabiase & George Asamoah - 1-21 COVID-19 Vaccinations and the Volatility of Energy Companies in International Markets
by Ender Demir & Renatas Kizys & Wael Rouatbi & Adam Zaremba - 1-22 Designing a Roadmap for Human Resource Management in the Banking 4.0
by Iwa Kuchciak & Izabela Warwas - 1-22 A Bayesian Semiparametric Realized Stochastic Volatility Model
by Jia Liu - 1-23 Ownership Structure and Firm Performance in the Middle East: A Meta-Analysis
by Yaseen Al-Janadi - 1-23 Effects of COVID-19 on Variations of Taxpayers in Tourism-Reliant Regions: The Case of the Mexican Caribbean
by Oliver Cruz-Milan & Sergio Lagunas-Puls - 1-23 Firm Sustainable Development Goals and Firm Financial Performance through the Lens of Green Innovation Practices and Reporting: A Proactive Approach
by Parvez Alam Khan & Satirenjit Kaur Johl & Shakeb Akhtar - 1-24 The Skewness Risk in the Energy Market
by Jungah Yoon & Xinfeng Ruan & Jin E. Zhang - 1-26 Natural Resources and Civil Conflict: The Role of Military Expenditures
by Rabah Arezki & Markus Brueckner - 1-26 Dimension Reduction via Penalized GLMs for Non-Gaussian Response: Application to Stock Market Volatility
by Tao Li & Anthony F. Desmond & Thanasis Stengos - 1-26 Central Counterparties and Liquidity Provision in Cash Markets
by Thomas Richter - 1-26 Stacking Subsidies in Factor Markets: Evidence from Market Experiments
by Anthony Baffoe-Bonnie & Christopher T. Bastian & Dale J. Menkhaus & Owen R. Phillips - 1-27 Sticky Stock Market Analysts
by Ibrahim Filiz & Jan René Judek & Marco Lorenz & Markus Spiwoks - 1-29 Green Bond: A Systematic Literature Review for Future Research Agendas
by Giuseppe Cortellini & Ida Claudia Panetta - 1-39 Forecasting Commodity Prices Using the Term Structure
by Yasmeen Idilbi-Bayaa & Mahmoud Qadan - 1-43 Inflation Co-Movement Dynamics: A Cross-Country Investigation Using a Continuous Wavelet Approach
by Aviral Kumar Tiwari & Emmanuel Joel Aikins Abakah & Luis A. Gil-Alana & Moses Kenneth Abakah
October 2021, Volume 14, Issue 11
- 1-1 RETRACTED: Salhi (2021). The Relationship between CEO Psychological Biases, Corporate Governance and Corporate Social Responsibility. Journal of Risk and Financial Management 14: 317
by Bassem Salhi - 1-14 Managing Financial Risks while Performing International Commercial Transactions. Intertemporal Lessons from Athens in Classical Times
by Emmanouil M. L. Economou & Nikolaos A. Kyriazis & Nicholas C. Kyriazis - 1-14 Australians’ Financial Wellbeing and Household Debt: A Panel Analysis
by Muhammad S. Tahir & Abdullahi D. Ahmed - 1-15 Does Board Diversity Attract Foreign Institutional Ownership? Insights from the Chinese Equity Market
by Shoukat Ali & Ramiz Ur Rehman & Muhammad Ishfaq Ahmad & Joe Ueng - 1-16 Subsidies and Economic and Financial Performance of Enterprises
by Štefan Bojnec & Sabina Žampa - 1-17 Modelling Returns in US Housing Prices—You’re the One for Me, Fat Tails
by Tamás Kiss & Hoang Nguyen & Pär Österholm - 1-17 Forecasting Stochastic Volatility Characteristics for the Financial Fossil Oil Market Densities
by Per Bjarte Solibakke - 1-17 The Impact of Corporate Social Responsibility as a Marketing Investment on Firms’ Performance: A Risk-Oriented Approach
by Mohamed M. Ibrahim & Mohamed M. El Frargy & Khaled Hussainey - 1-18 Level of Financial Performance of Selected Construction Companies in South Africa
by Emmanuel Dele Omopariola & Abimbola Windapo & David John Edwards & Hatem El-Gohary - 1-21 Efficient Variance Reduction for American Call Options Using Symmetry Arguments
by François-Michel Boire & R. Mark Reesor & Lars Stentoft - 1-23 Crypto Exchanges and Credit Risk: Modeling and Forecasting the Probability of Closure
by Dean Fantazzini & Raffaella Calabrese - 1-25 Empirical Analysis of MSCI China A-Shares
by Yan Li & Weiping Li - 1-25 Technical Analysis of Tourism Price Process in the Eurozone
by Sergej Gričar & Štefan Bojnec - 1-30 Does the Disclosure of an Audit Engagement Partner’s Name Improve the Audit Quality? A Difference-in-Difference Analysis
by Kose John & Min (Shirley) Liu - 1-40 Google Search in Exchange Rate Models: Hype or Hope?
by Bodo Herzog & Lana dos Santos
November 2021, Volume 14, Issue 11
- 1-4 Alcohol Consumption Pre and Post COVID-19. Implications for Health, Underlying Pathologies, Risks and Its Management
by Julien S. Baker & Rashmi Supriya & Dan Tao & Yang Gao - 1-11 An Assessment of Post-COVID-19 EU Recovery Funds and the Distribution of Them among Member States
by María-Dolores Guillamón & Ana-María Ríos & Bernardino Benito - 1-11 Unleveraged Portfolios and Pure Allocation Return
by Barbara Alemanni & Mario Maggi & Pierpaolo Uberti - 1-12 Political Stress and the Sustainability of Funded Pension Schemes: Introduction of a Financial Theory
by Ishay Wolf - 1-13 Expectations Concordance and Stock Market Volatility: Knightian Uncertainty in the Year of the Pandemic
by Roman Frydman & Nicholas Mangee - 1-13 Technology Adoption and Learning-by-Doing: The Case of Bt Cotton Adoption in China
by Guang Tian & Xiaoxue Du & Fangbin Qiao & Andres Trujillo-Barrera - 1-13 Determinants of the Economic Vulnerability of Businesses to Pandemics and Similar Events
by Clement A. Tisdell - 1-13 Choosing a Price and Cost Combination—The Role of Correlation
by Avner Bar-Ilan & Yishay D. Maoz - 1-13 Infrastructure and Economic Growth
by Markus Brueckner - 1-13 External Shocks and Volatility Overflow among the Exchange Rate of the Yen, Nikkei, TOPIX and Sectoral Stock Indices
by Mirzosaid Sultonov - 1-13 Financial Literacy as a Driver of Financial Inclusion in Kenya and Tanzania
by Ashenafi Fanta & Kingstone Mutsonziwa - 1-14 The Determinants of Investment Account Holders’ Disclosure in Islamic Banks: International Evidence
by Raoudha Saidani & Neila Boulila Taktak & Khaled Hussainey - 1-15 Skewed Binary Regression to Study Rental Cars by Tourists in the Canary Islands
by Nancy Dávila-Cárdenes & José María Pérez-Sánchez & Emilio Gómez-Déniz & José Boza-Chirino - 1-15 Overconfidence, Financial Advice Seeking and Household Portfolio Under-Diversification
by Stijn P. M. Broekema & Marc M. Kramer - 1-15 Short-Term Impact of COVID-19 on Indian Stock Market
by Yashraj Varma & Renuka Venkataramani & Parthajit Kayal & Moinak Maiti - 1-15 Creating Unbiased Machine Learning Models by Design
by Joseph L. Breeden & Eugenia Leonova - 1-16 Approval of an Arrangement in the Restructuring Proceedings and the Financial Condition of Companies Listed on the Stock Exchanges in Warsaw. Is There Any Relationship?
by Błażej Prusak & Paweł Galiński - 1-16 An Investigation into the Sources of Depreciations in Mongolian Tugrik Exchange Rate: A Structural VAR Approach
by Gunbileg Ganbayar - 1-16 Can Sustainable Corporate Governance Enhance Internal Audit Function? Evidence from Omani Public Listed Companies
by Ali Rehman - 1-16 Contingent Effect of Board Gender Diversity on Performance in Emerging Markets: Evidence from the Egyptian Revolution
by Melsa Ararat & Moataz El-Helaly & Alan Lowe & Nermeen Shehata - 1-16 Volatility and Depth in Commodity and FX Futures Markets
by Alexandre Aidov & Olesya Lobanova - 1-16 Foreign Direct Investment and Trade—Between Complementarity and Substitution. Evidence from European Union Countries
by Marian Catalin Voica & Mirela Panait & Eglantina Hysa & Arjona Cela & Otilia Manta - 1-17 Optimization of a Portfolio of Investment Projects: A Real Options Approach Using the Omega Measure
by Javier G. Castro & Edison A. Tito & Luiz E. Brandão - 1-17 Investment Decisions with Two-Factor Uncertainty
by Tine Compernolle & Kuno J. M. Huisman & Peter M. Kort & Maria Lavrutich & Cláudia Nunes & Jacco J. J. Thijssen - 1-17 The Impact of Unsystematic Factors on Bitcoin Value
by Zvonko Merkaš & Vlasta Roška - 1-17 The Effects of ERM Adoption on European Insurance Firms Performance and Risks
by Doureige J. Jurdi & Sam M. AlGhnaimat - 1-18 Bank Risk Capital and Its Effectiveness in Selected Euro Area Banking Sectors
by Irena Pyka & Aleksandra Nocoń - 1-19 The Nexus among Competitively Valued Exchange Rates, Price Level, and Growth Performance in the Turkish Economy; New Insight from the Global Value Chains
by Umar Aliyu Shuabiu & Mohammed A. M. Usman & Behiye Çavuşoğlu - 1-20 Simultaneous Analysis of Insurance Participation and Acreage Response from Subsidized Crop Insurance for Cotton
by Ibrahima Sall & Russell Tronstad - 1-21 Stress Spillovers among Financial Markets: Evidence from Spain
by Julián Andrada-Félix & Adrian Fernandez-Perez & Simón Sosvilla-Rivero - 1-21 An Empirical Investigation into Alarming Signals Ignored by the U.S. Multi-Brand Retailer J. Crew Incorporation during COVID-19 Pandemic
by Ganga Bhavani & Reena Agrawal & Suhan Mendon & Cristi Spulbar & Ramona Birau - 1-21 Offsetting Risk in a Neoliberal Environment: The Link between Asset-Based Welfare and NIMBYism
by Matthew C. Record - 1-21 Green and Sustainable Life Insurance: A Bibliometric Review
by Haitham Nobanee & Ghaith Butti Alqubaisi & Abdullah Alhameli & Helal Alqubaisi & Nouf Alhammadi & Shahla Alsanah Almasahli & Noora Wazir - 1-22 A Neutrosophic Fuzzy Optimisation Model for Optimal Sustainable Closed-Loop Supply Chain Network during COVID-19
by Agnieszka Szmelter-Jarosz & Javid Ghahremani-Nahr & Hamed Nozari - 1-22 Volatility Spillover Dynamics between Large-, Mid-, and Small-Cap Stocks in the Time-Frequency Domain: Implications for Portfolio Management
by Sangram Keshari Jena & Aviral Kumar Tiwari & Ashutosh Dash & Emmanuel Joel Aikins Abakah - 1-23 Whose Policy Uncertainty Matters in the Trade between Korea and the U.S.?
by Mohsen Bahmani-Oskooee & Jungho Baek - 1-24 Impact of COVID-19 on the Stock Market by Industrial Sector in Chile: An Adverse Overreaction
by Pedro Antonio González & José Luis Gallizo - 1-25 Maximum Drawdown, Recovery, and Momentum
by Jaehyung Choi - 1-25 Churn Management in Telecommunications: Hybrid Approach Using Cluster Analysis and Decision Trees
by Mirjana Pejić Bach & Jasmina Pivar & Božidar Jaković - 1-30 How Many Stocks Are Sufficient for Equity Portfolio Diversification? A Review of the Literature
by Azra Zaimovic & Adna Omanovic & Almira Arnaut-Berilo - 1-30 Complementary Currencies for Humanitarian Aid
by Leanne Ussher & Laura Ebert & Georgina M. Gómez & William O. Ruddick - 1-32 A Focus on Ethical Value under the Vision of Leadership, Teamwork, Effective Communication and Productivity
by Víctor Mercader & Esthela Galván-Vela & Rafael Ravina-Ripoll & Cristina Raluca Gh. Popescu - 1-32 Impact of Geopolitical Risk on the Information Technology, Communication Services and Consumer Staples Sectors of the S&P 500 Index
by Gerard Atabong Fossung & Vasileios Chatzis Vovas & A. M. M. Shahiduzzaman Quoreshi - 1-32 Order Routing Decisions for a Fragmented Market: A Review
by Suchismita Mishra & Le Zhao - 1-34 Application of Artificial Intelligence in Stock Market Forecasting: A Critique, Review, and Research Agenda
by Ritika Chopra & Gagan Deep Sharma - 1-34 Solvency Risk and Corporate Performance: A Case Study on European Retailers
by Alexandra Horobet & Stefania Cristina Curea & Alexandra Smedoiu Popoviciu & Cosmin-Alin Botoroga & Lucian Belascu & Dan Gabriel Dumitrescu - 1-48 Return Based Risk Measures for Non-Normally Distributed Returns: An Alternative Modelling Approach
by Eyden Samunderu & Yvonne T. Murahwa
October 2021, Volume 14, Issue 10
- 1-3 Transnational and Transdisciplinary Lessons from the COVID-19 Pandemic
by Frédéric Dutheil & Valentin Navel & Julien S. Baker & Emilie Tran & Alistair Cole & Binh Quach & Jiao Jiao & Jean-Baptiste Bouillon-Minois & Maëlys Clinchamps - 1-10 Changes in Consumption in the Early COVID-19 Era: Zip-Code Level Evidence from the U.S
by Hakan Yilmazkuday - 1-10 Univariate and Multivariate Machine Learning Forecasting Models on the Price Returns of Cryptocurrencies
by Dante Miller & Jong-Min Kim - 1-11 Gender Differences in Intra-Household Financial Decision-Making: An Application of Coarsened Exact Matching
by Frederik Booysen & Sevias Guvuriro - 1-12 The Preventive Role of Exercise on the Physiological, Psychological, and Psychophysiological Parameters of Coronavirus 2 (SARS-CoV-2): A Mini Review
by Julien S. Baker & Alistair Cole & Dan Tao & Feifei Li & Wei Liang & Jojo Jiao & Yang Gao & Rashmi Supriya - 1-12 Modeling of Social Risks in the Labor Sphere
by Olha Shulha & Tatiana Kostyshyna & Maryna Semykina & Liudmyla Katan & Hanna Smirnova - 1-12 Volatility Spillovers among Cryptocurrencies
by Lee A. Smales - 1-13 Failure Prediction in the Condition of Information Asymmetry: Tax Arrears as a Substitute When Financial Ratios Are Outdated
by Oliver Lukason & Germo Valgenberg - 1-14 Propagation of International Supply-Chain Disruptions between Firms in a Country
by Hiroyasu Inoue - 1-14 The Influence of the Independent Non-Executive Board Members on the Financial Performance of the Companies Listed in the Bucharest Stock Exchange
by Bogdan Aurelian Mihail & Carmen Daniela Micu - 1-14 Do Overlapped Audit Committee Directors Affect Tax Avoidance?
by Hidaya Al Lawati & Khaled Hussainey - 1-14 Behavioral Decision Making in Normative and Descriptive Views: A Critical Review of Literature
by Junyi Chai & Zhiquan Weng & Wenbin Liu - 1-14 Democracy and Corruption
by Markus Brueckner - 1-15 The Effect of U.S. Investor Sentiment on Cross-Listed Securities Returns: A High-Frequency Approach
by Juan Pablo Gutierrez Pineda & Daniel Perez Liston - 1-15 The COVID-19 Shock: A Bayesian Approach
by Oussama Abi Younes & Sumru Altug - 1-15 Questioning the Assumptions, Sustainability and Ethics of Endless Economic Growth
by Haydn Washington - 1-15 Experts’ Perspective on the Development of Experiential Marketing Strategy: Implementation Steps, Benefits, and Challenges
by Ana-Maria Urdea & Cristinel Petrișor Constantin - 1-16 Does Heterogeneity in COVID-19 News Affect Asset Market? Monte-Carlo Simulation Based Wavelet Transform
by Asima Siddique & Ghulam Mujtaba Kayani & Saira Ashfaq - 1-16 Agency-Linked Risk Management with Ownership and Board Sub-Committee Governance: Evidence from an OECD Economy
by Omar Al Farooque - 1-16 The Effect of Risk, R&D Intensity, Liquidity, and Inventory on Firm Performance during COVID-19: Evidence from US Manufacturing Industry
by Jack Clampit & Dinesh Hasija & Michael Dugan & John Gamble - 1-17 Multi-Asset Value Payoff: Is Recent Underperformance Cyclical?
by Yesim Tokat-Acikel & Marco Aiolfi & Yiwen Jin - 1-17 Make the Best from Comparing Conventional and Islamic Asset Classes: A Design of an All-Seasons Combined Portfolio
by Andrea Delle Foglie & Gianni Pola - 1-18 Self-Organising (Kohonen) Maps for the Vietnam Banking Industry
by Man Ha & Christopher Gan & Cuong Nguyen & Patricia Anthony - 1-18 Assessing Institutional Dynamics of Governance Compliance in Emerging Markets: The GCC Real Estate Sector
by Rekha Pillai & Husam-Aldin N. Al-Malkawi & M. Ishaq Bhatti - 1-20 Accounting Policies, Institutional Factors, and Firm Performance: Qualitative Insights in a Developing Country
by Daniel Badulescu & Muhammad Nouman Akhtar & Mumtaz Ahmad & Mariam Abbas Soharwardi - 1-20 Framework on Performance Management in Automotive Industry: A Case Study
by Elena Lascu & Irina Severin & Florina Daniela Lascu & Razvan Adrian Gudana & Gabriela Nalbitoru & Nicoleta Daniela Ignat - 1-20 Minimising Risk—The Application of Kotter’s Change Management Model on Customer Relationship Management Systems: A Case Study
by Danny Sittrop & Cheryl Crosthwaite - 1-21 Cost–Benefit Analysis in the Evaluation of Cultural Heritage Project Funding
by Sanja Tišma & Mira Mileusnić Škrtić & Sanja Maleković & Daniela Angelina Jelinčić - 1-22 Multiscale Decomposition and Spectral Analysis of Sector ETF Price Dynamics
by Tim Leung & Theodore Zhao - 1-22 Variable Slope Forecasting Methods and COVID-19 Risk
by Jonathan Leightner & Tomoo Inoue & Pierre Lafaye de Micheaux - 1-22 Corporate Cash Holdings and National Culture: Evidence from the Middle East and North Africa Region
by Sherif El-Halaby & Hosam Abdelrasheed & Khaled Hussainey - 1-22 Does Fixed Income Buffer against Fraud Shocks?
by Steven James Lee - 1-22 Determinants of EMNEs’ Entry Mode Decision with Environmental Volatility Issues: A Review and Research Agenda
by Yameng Li & Ruosu Gao & Jingyi Wang - 1-23 Assess the Impact of the COVID-19 Pandemic and Propose Solutions for Sustainable Development for Textile Enterprises: An Integrated Data Envelopment Analysis-Binary Logistic Model Approach
by Han-Khanh Nguyen & Mai-Nam Vu - 1-23 A Novel Measure of Political Risk and Foreign Direct Investment Inflows
by Pavel Jeutang & Kwabena Kesse - 1-24 Cross-Border M&A Motives and Home Country Institutions: Role of Regulatory Quality and Dynamics in the Asia-Pacific Region
by Peter Zámborský & Zheng Joseph Yan & Erwann Sbaï & Matthew Larsen - 1-24 Predicting Bank Failures: A Synthesis of Literature and Directions for Future Research
by Li Xian Liu & Shuangzhe Liu & Milind Sathye - 1-24 A Novel Model Structured on Predictive Churn Methods in a Banking Organization
by Leonardo José Silveira & Plácido Rogério Pinheiro & Leopoldo Soares de Melo Junior - 1-24 The Nexus between Financial Development and Economic Growth: Panel Data Evidence from Developing Countries
by E. M. Ekanayake & Ranjini Thaver - 1-24 Sovereign Default Forecasting in the Era of the COVID-19 Crisis
by Tamás Kristóf - 1-26 Causality between Energy Consumption and Economic Growth in the Presence of Growth Volatility: Multi-Country Evidence
by Gulasekaran Rajaguru & Safdar Ullah Khan - 1-27 An Assessment of the Efficiency of Canadian Power Generation Companies with Bootstrap DEA
by Mohamed Dia & Shashi K. Shahi & Luckny Zéphyr - 1-29 A Wavelet Perspective of Crisis Contagion between Advanced Economies and the BRIC Markets
by Constantin Gurdgiev & Conor O’Riordan
September 2021, Volume 14, Issue 10
- 1-13 The Road from Money to Happiness
by Gabriela Mihaela Mureșan & Melinda Timea Fülöp & Cristina Ciumaș - 1-13 FinTech: Ecosystem, Opportunities and Challenges in Saudi Arabia
by Mansour Saleh Albarrak & Sara Ali Alokley - 1-15 Impact of Improved Corporate Governance and Regulations on Earnings Management Practices—Analysis of 7 Industries from the Indian National Stock Exchange
by Jose Joy Thoppan & Robert Jeyakumar Nathan & Vijay Victor - 1-16 Predicting Insolvency of the Construction Companies in the Creditworthiness Assessment Process—Empirical Evidence from Poland
by Rafał Balina & Marta Idasz-Balina & Noer Azam Achsani - 1-17 The Rich Get Richer and the Poor Get Poorer: Social Media and the Post-IPO Behavior of Investors in Biotechnology Firms: The Relationship with Twitter Volume
by Smadar Siev - 1-18 Customer Value Creation for the Emerging Market Middle Class: Perspectives from Case Studies in India
by Rifat Sharmelly & Anton Klarin - 1-20 Succession as a Risk Process in the Survival of a Family Business—Case of Slovakia
by Boris Rumanko & Zuzana Lušňáková & Monika Moravanská & Mária Šajbidorová - 1-21 Analyst Forecasts during the COVID-19 Pandemic: Evidence from REITs
by Paul Anglin & Jianxin Cui & Yanmin Gao & Li Zhang
August 2021, Volume 14, Issue 9
- 1-9 FDML versus GMM for Dynamic Panel Models with Roots Near Unity
by Adrian Mehic - 1-11 Technological Windows of Opportunity for Russian Arctic Regions: Modeling and Exploitation Prospects
by Vera P. Samarina & Tatiana P. Skufina & Diana Yu. Savon & Svetlana S. Kudryavtseva - 1-12 Market Liquidity and Its Dimensions: Linking the Liquidity Dimensions to Sentiment Analysis through Microblogging Data
by Francisco Guijarro & Ismael Moya-Clemente & Jawad Saleemi - 1-12 Utility Indifference Option Pricing Model with a Non-Constant Risk-Aversion under Transaction Costs and Its Numerical Approximation
by Pedro Pólvora & Daniel Ševčovič - 1-15 Stock Split Rule Changes and Stock Liquidity: Evidence from Bursa Malaysia
by S. Amir Tabibian & Zhaoyong Zhang & Abdollah Ah Mand - 1-16 A Discount Technique-Based Inventory Management on Electronics Products Supply Chain
by Md. Sujan Miah & Md. Mominul Islam & Mahmudul Hasan & Abu Hashan Md. Mashud & Dipa Roy & Shib Sankar Sana - 1-16 The Behavioural Aspects of Financial Literacy
by Florian Gerth & Katia Lopez & Krishna Reddy & Vikash Ramiah & Damien Wallace & Glenn Muschert & Alex Frino & Leonie Jooste - 1-17 Stochastic Analysis and Neural Network-Based Yield Prediction with Precision Agriculture
by Humayra Shoshi & Erik Hanson & William Nganje & Indranil SenGupta - 1-18 Financial Inclusion through Digital Financial Services (DFS): A Study in Uganda
by Jimmy Ebong & Babu George - 1-18 Conditions for the Growth of the “Silver Economy” in the Context of Sustainable Development Goals: Peculiarities of Russia
by Liudmila Reshetnikova & Natalia Boldyreva & Maria Perevalova & Svetlana Kalayda & Zhanna Pisarenko - 1-18 Bank Competition Using Networks: A Study on an Emerging Economy
by Molla Ramizur Rahman & Arun Kumar Misra - 1-19 The Turkish Cypriot Municipalities’ Productivity and Performance: An Application of Data Envelopment Analysis and the Tobit Model
by Dilber Çağlar Onbaşıoğlu - 1-20 Measuring Synergies of Banks’ Cross-Border Mergers by Real Options: Case Study of Luminor Group AB
by Andrejs Čirjevskis - 1-24 Government Subsidisation and Shareholder Wealth Impact: Evidence from Malaysia
by Philip Sinnadurai & Ravichandran Subramaniam & Susela Devi & Kyungyoung Ko - 1-36 Are Foreign Banks Disadvantaged Vis-À-Vis Domestic Banks in China?
by Li Xian Liu & Fuming Jiang & Milind Sathye & Hongbo Liu
September 2021, Volume 14, Issue 9
- 1-5 A Balanced Portfolio Can Have a Higher Geometric Return Than the Risky Asset
by Miriam Arden & Tiemen Woutersen - 1-7 Investigating the Impact of Trade Disruptions on Price Transmission in Commodity Markets: An Application of Threshold Cointegration
by Janelle Mann & Derek Brewin - 1-9 Is Industry Size a Carrier for Wage Inequality? A Panel Study Addressing Independent Variables of Inherently Different Sizes across Units
by Jarle Aarstad & Olav Andreas Kvitastein - 1-13 Understanding the Interaction of Chinese Fiscal and Monetary Policy
by Zehua Luan & Xiangyu Man & Xuan Zhou - 1-13 Market Behavior in the Face of Political Violence: Evidence from Tsarist Russia
by Christopher A. Hartwell - 1-14 The Impact of Oil Price Shocks on Oil-Dependent Countries’ Currencies: The Case of Azerbaijan and Kazakhstan
by Katarzyna Czech & Ibrahim Niftiyev - 1-14 Price Transmission in Cotton Futures Market: Evidence from Three Countries
by Amrinder Singh & Tarun Kumar Soni - 1-15 Why the Operating Performance of Post-IPO Firms Decreases: Evidence from China
by Hai Long & Xiaochen Lin & Yu Chen - 1-15 The Ascent of Bitcoin: Bibliometric Analysis of Bitcoin Research
by Ahmet Faruk Aysan & Hüseyin Bedir Demirtaş & Mustafa Saraç - 1-15 Contrasting Cryptocurrencies with Other Assets: Full Distributions and the COVID Impact
by Esfandiar Maasoumi & Xi Wu - 1-15 The Determinants of Green Bond Issuance in the European Union
by Anamaria Dan & Adriana Tiron-Tudor - 1-16 Time-Varying Risk and the Relation between Idiosyncratic Risk and Stock Return
by Chengbo Fu - 1-16 Financial Market Reaction to Patent Lawsuits against Integrated Circuit Design Companies
by Su-Chen Yu & Kuang-Hsun Shih - 1-16 Kelly Criterion for Optimal Credit Allocation
by Son Tran & Peter Verhoeven - 1-16 The Impact of COVID-19 on Stock Market Returns in Vietnam
by Dao Van Hung & Nguyen Thi Minh Hue & Vu Thuy Duong - 1-17 Industry, Firm, and Country Level Dynamics of Capital Structure: A Case of Pakistani Firms
by Idrees Liaqat & Muhammad Asif Khan & József Popp & Judit Oláh - 1-17 Crisis Mitigation through Cash Assistance to Increase Local Consumption Levels—A Case Study of a Bimonetary System in Barcelona, Spain
by Susana Martín Belmonte & Jordi Puig & Mercè Roca & Marta Segura - 1-17 Leader Dismissal or Continuity, President Longevity, Geographic Orientation of Owners and Team Performance: Insights from French Men’s Football, 1994–2016
by Nicolas Scelles & Matthieu Llorca - 1-18 Predicting Food-Safety Risk and Determining Cost-Effective Risk-Reduction Strategies
by William E. Nganje & Linda D. Burbidge & Elisha K. Denkyirah & Elvis M. Ndembe - 1-18 Non-Financial Reporting—Standardization Options for SME Sector
by Patrycja Krawczyk - 1-18 Political Participation in the Risk Society: The Italian Case
by Marianna Bartiromo & Enrico Ivaldi - 1-18 Do Inflation Expectations Matter for Small, Open Economies? Empirical Evidence from the Solomon Islands
by Angeline B. Rohoia & Parmendra Sharma - 1-19 Second-Order Least Squares Method for Dynamic Panel Data Models with Application
by Mustafa Salamh & Liqun Wang - 1-19 Corporate Governance and Risk Management: Lessons (Not) Learnt from the Financial Crisis
by Alessandro Gennaro & Michelle Nietlispach - 1-19 Dynamic Impact of Unconventional Monetary Policy on International REITs
by Hardik A. Marfatia & Rangan Gupta & Keagile Lesame - 1-21 Economic Performance and Composition of Nordic Bioeconomy Sectors (NBES)
by Filip Lestan & Babu George & Sajal Kabiraj - 1-21 Does the Money Multiplier Hold in Pacific Island Countries? The Case of Papua New Guinea
by Mark Ofoi & Parmendra Sharma - 1-22 GJR-GARCH Volatility Modeling under NIG and ANN for Predicting Top Cryptocurrencies
by Fahad Mostafa & Pritam Saha & Mohammad Rafiqul Islam & Nguyet Nguyen - 1-22 Anchoring and Asymmetric Information in the Real Estate Market: A Machine Learning Approach
by Ka Shing Cheung & Julian TszKin Chan & Sijie Li & Chung Yim Yiu - 1-22 Poland–Turkey Comparison of Mobile Payments Quality in Pandemic Time
by Witold Chmielarz & Marek Zborowski & Alicja Fandrejewska & Mesut Atasever - 1-23 The Determinants of PayTech’s Success in the Mobile Payment Market—The Case of BLIK
by Joanna Błach & Monika Klimontowicz - 1-23 Sustainability Determinants of Cultural and Creative Industries in Peripheral Areas
by Francesca Imperiale & Roberta Fasiello & Stefano Adamo - 1-24 An Equilibrium-Based Measure of Systemic Risk
by Katerina Ivanov & James Schulte & Weidong Tian & Kevin Tseng - 1-24 Mergers and Acquisitions Risk Modeling
by Yulia Vertakova & Inga Vselenskaya & Vladimir Plotnikov - 1-25 The Economic Sustainability of Culture in Hawai’i: Tourists’ Willingness to Pay for Hawaiian Cultural Experiences
by Gabriella Andrade & Holly Itoga & Cathrine Linnes & Jerome Agrusa & Joseph Lema - 1-25 Mathematical Foundations for Balancing the Payment System in the Trade Credit Market
by Tomaž Fleischman & Paolo Dini - 1-27 Accuracy of European Stock Target Prices
by Joana Almeida & Raquel M. Gaspar - 1-28 Financial Contagion Patterns in Individual Economic Sectors. The Day-of-the-Week Effect from the Polish, Russian and Romanian Markets
by Elena Valentina Țilică - 1-29 Testing Housing Markets for Episodes of Exuberance: Evidence from Different Polish Cities
by Janusz Sobieraj & Dominik Metelski - 1-33 Contextual Factors and the Diffusion of MAIs in Manufacturing and Non-Manufacturing Sectors in Libya
by Alhadi Boukr & Hassan Yazdifar & Davood Askarany