Content
July 2022, Volume 15, Issue 8
- 1-15 Co-Movement, Portfolio Diversification, Investors’ Behavior and Psychology: Evidence from Developed and Emerging Countries’ Stock Markets
by Mohammad Sahabuddin & Md. Aminul Islam & Mosab I. Tabash & Suhaib Anagreh & Rozina Akter & Md. Mizanur Rahman - 1-15 Is Earnings Management Related to Labor Productivity Gap? Evidence from the USA
by Rafiqul Bhuyan & Fuad Hasan - 1-15 Supply Chain Risk Management in Young and Mature SMEs
by Samuel Foli & Susanne Durst & Lidia Davies & Serdal Temel - 1-16 Capital Structure and Its Determinants—A Comparison of European Top-Rated CSR and Other Companies
by Peter Krištofík & Juraj Medzihorský & Hussam Musa - 1-17 The Relationship between Audit Adjustments and Audit Quality in Iraq
by Mahdi Salehi & Mohammed Ibrahim Jebur & Saleh Orfizadeh & Ali Mohammed Abbas Aljahnabi - 1-18 Cap Rates as a Function of Real Economic Growth
by Matt Larriva - 1-19 Connectedness between Sectors: The Case of the Polish Stock Market before and during COVID-19
by Viorica Chirilă - 1-19 Overview of Social Assessment Methods for the Economic Analysis of Cultural Heritage Investments
by Sanja Tišma & Aleksandra Uzelac & Daniela Angelina Jelinčić & Sunčana Franić & Mira Mileusnić Škrtić - 1-20 Examining the Asymmetric Effects of Third Country Exchange Rate Volatility on Trade between the US and the EU
by Chien-Hui Lee & Shu-Hui Li & Jen-Yu Lee - 1-20 Modeling Bivariate Dependency in Insurance Data via Copula: A Brief Study
by Indranil Ghosh & Dalton Watts & Subrata Chakraborty - 1-21 Co-Jumps, Co-Jump Tests, and Volatility Forecasting: Monte Carlo and Empirical Evidence
by Weijia Peng & Chun Yao - 1-21 Disentangling Director Attributes: Human Capital versus Social Capital of Directors
by Angela Andersen & Alexandre Garel & Aaron Gilbert & Alireza Tourani-Rad - 1-23 Does Board Cultural Diversity Contributed by Foreign Directors Improve Firm Performance? Evidence from Australia
by Olga Dodd & Bowen Zheng - 1-25 A Generalized Entropy Approach to Portfolio Selection under a Hidden Markov Model
by Leonard MacLean & Lijun Yu & Yonggan Zhao - 1-27 Introduction of a Corporate Security Risk Management System: The Experience of Poland
by Iryna Kalina & Viktoriia Khurdei & Vira Shevchuk & Tetiana Vlasiuk & Ihor Leonidov - 1-32 Do ESG Ratings Reduce the Asymmetry Behavior in Volatility?
by Hashem Zarafat & Sascha Liebhardt & Mustafa Hakan Eratalay
July 2022, Volume 15, Issue 7
- 1-8 A Procedure to Set Prices and Select Inventory in Thinly Traded Markets Using Data from eBay
by Xinbo Hu & Paul J. Zak - 1-10 Evidence of Abnormal Trading on COVID-19 Pfizer Vaccine Development Information
by Andrew N. Mason & Ahmed Elkassabgi - 1-10 Performance Evaluation of Utility Exchange-Traded Funds: A Super-Efficiency Approach
by Ioannis E. Tsolas - 1-11 Zombie Firms during and after Crisis
by Ivana Blažková & Gabriela Chmelíková - 1-12 Predicting Innovation Capability through Knowledge Management in the Banking Sector
by Friday Ogbu Edeh & Nurul Mohammad Zayed & Vitalii Nitsenko & Olha Brezhnieva-Yermolenko & Julia Negovska & Maryna Shtan - 1-13 The Evolution of Job Lock in the U.S.: Evidence from the Affordable Care Act
by James Bailey & Gregory Colman & Dhaval Dave - 1-13 Are Banks Still a Risk Source for Stock Market? Some Empirical Evidences
by Michele Anelli & Michele Patanè & Stefano Zedda - 1-13 Is Bitcoin a Safe Haven for Indian Investors? A GARCH Volatility Analysis
by Sarika Murty & Vijay Victor & Maria Fekete-Farkas - 1-15 Russia’s War in Ukraine: Consequences for European Countries’ Businesses and Economies
by Anatolijs Prohorovs - 1-15 Financial Technology and Its Impact on Digital Literacy in India: Using Poverty as a Moderating Variable
by Rahul Singh Gautam & Shailesh Rastogi & Aashi Rawal & Venkata Mrudula Bhimavarapu & Jagjeevan Kanoujiya & Samaksh Rastogi - 1-16 Global Top E-Commerce Companies: Transparency Analysis Based on Annual Reports
by Ionel Bostan & Alic Bîrcă & Aliona Bîrcă & Christiana Brigitte Sandu - 1-18 Developing an Impact-Focused Typology of Socially Responsible Fund Providers
by Joel Diener & André Habisch - 1-18 A Discourse on Foresight and the Valuation of Explicit and Tacit Synergies in Strategic Collaborations
by Andrejs Čirjevskis - 1-18 The Effects of ESG Activity Recognition of Corporate Employees on Job Performance: The Case of South Korea
by Minsuck Jin & Boyoung Kim - 1-19 Board Characteristics and the Insolvency Risk of Non-Financial Firms
by Florian Maier & B. Burcin Yurtoglu - 1-19 Does Board Gender Diversity Really Improve Firm Performance? Evidence from Greek Listed Firms
by Stavros E. Arvanitis & Evangelos G. Varouchas & George M. Agiomirgianakis - 1-19 The Effects of National Fundamental Factors on Regional House Prices: A Factor-Augmented VAR Analysis
by Xiang Gao & Wen Kong & Zhijun Hu - 1-19 The Impact of Vertical Theories of Harm on Investor Returns: An Event Study of US Vertical Mergers
by Ralph Sonenshine & Seyni Da - 1-20 Artificial Intelligence and Firm Performance: Does Machine Intelligence Shield Firms from Risks?
by Linh Tu Ho & Christopher Gan & Shan Jin & Bryan Le - 1-24 Investigating and Predicting Intentions to Continue Using Mobile Payment Platforms after the COVID-19 Pandemic: An Empirical Study among Retailers in India
by Rabindra Kumar Jena - 1-26 Crowd Reactions to Entrepreneurial Failure in Rewards-Based Crowdfunding: A Psychological Contract Theory Perspective
by Swati Oberoi & Smita Srivastava & Vishal K. Gupta & Rohit Joshi & Atul Mehta - 1-26 Mapping the Sustainable Human-Resource Challenges in Southeast Asia’s FinTech Sector
by An-Chi Wu & Duc-Dinh Kao - 1-29 Market Quality and Short-Selling Ban during the COVID-19 Pandemic: A High-Frequency Data Approach
by Sandra Ferreruela & Daniel Martín - 1-34 Crypto-Coins and Credit Risk: Modelling and Forecasting Their Probability of Death
by Dean Fantazzini
June 2022, Volume 15, Issue 7
- 1-12 Factors Affecting Risk Attitude of Rice Farmers: Evidence from Vietnam’s Mekong Delta
by Khuu Thi Phuong Dong & Phan Dinh Khoi & Phan Hong Nhung & Nguyen Thanh Binh & Tran Thi Hanh Phuc - 1-13 Factors Influencing Saudi Young Female Consumers’ Luxury Fashion in Saudi Arabia: Predeterminants of Culture and Lifestyles in Neom City
by Areej Algumzi - 1-14 Does Volume of Gold Consumption Influence the World Gold Price?
by Maria Immanuvel S & Daniel Lazar - 1-14 A Particle Swarm Optimization Copula-Based Approach with Application to Cryptocurrency Portfolio Optimisation
by Jules Clément Mba & Magdaline Mbong Mai - 1-15 Parsimonious AHP-DEA Integrated Approach for Efficiency Evaluation of Production Processes
by Salvatore Ammirato & Gerarda Fattoruso & Antonio Violi - 1-16 Causal Effects of Financial Education Intervention Aimed at University Students on Financial Knowledge and Financial Self-Efficacy
by Manuel Salas-Velasco - 1-17 Institutional Ownership and Investment Efficiency: Evidence from Iran
by Mohammad Moradi & Hassan Yazdifar & Hoda Eskandar & Navid Reza Namazi - 1-18 Driving SMEs’ Performance in South Africa: Investigating the Role of Performance Appraisal Practices and Managerial Competencies
by Nhamo Mashavira & Sevias Guvuriro & Crispen Chipunza - 1-18 Health Services and Patient Satisfaction in IRAN during the COVID-19 Pandemic: A Methodology Based on Analytic Hierarchy Process and Artificial Neural Network
by Seyed Mohammad Khansari & Farzin Arbabi & Mir Hadi Moazen Jamshidi & Maryam Soleimani & Pejman Ebrahimi - 1-18 A Revised Technology–Organisation–Environment Framework for Brick-and-Mortar Retailers Adopting M-Commerce
by Mateus Vicente Justino & Robertson Khan Tengeh & Michael Twum-Darko - 1-19 Strategy and Practice for Sustainability in Businesses in the Middle East and North Africa in a Global Perspective
by Ayman Ismail & Fatima Boutaleb & Esra E. Karadeniz & Ehud Menipaz & Chafik Bouhaddioui & Widad A. Rahman & Lidia Sanchez-Ruiz & Thomas Schøtt - 1-19 Fintech Innovations in the Financial Service Industry
by Mansurali Anifa & Swamynathan Ramakrishnan & Shanmugan Joghee & Sajal Kabiraj & Malini Mittal Bishnoi - 1-19 How Can European Regulation on ESG Impact Business Globally?
by Rocío Redondo Alamillos & Frédéric de Mariz - 1-21 Investor Perception, Market Reaction, and Post-Issue Performance in Bank Seasoned Equity Offerings
by CNV Krishnan & Yu He - 1-21 Relationship between Advertising Disclosure, Influencer Credibility and Purchase Intention
by Vesna Sesar & Ivana Martinčević & Monika Boguszewicz-Kreft - 1-21 Identification of Risk Factors in Business Valuation
by Muhammad Najib Razali & Rohaya Abdul Jalil & Kamalahasan Achu & Hishamuddin Mohd Ali - 1-22 Valuing Collaborative Synergies with Real Options Application: From Dynamic Political Capabilities Perspective
by Andrejs Čirjevskis - 1-23 A Primer on Rules of Origin as Non-Tariff Barriers
by Dzmitry Kniahin & Jaime de Melo - 1-23 Waste Bank-Socio-Economic Empowerment Nexus in Indonesia: The Stance of Maqasid al-Shariʻah
by Miftahorrozi Miftahorrozi & Shabeer Khan & Muhammad Ishaq Bhatti - 1-25 Surviving Black Swans: The Challenge of Market Timing Systems
by Pankaj Topiwala & Wei Dai - 1-32 Financial Crises and Business Cycle Implications for Islamic and Non-Islamic Bank Lending in Indonesia
by Samar Issa - 1-47 Effects of Multiple Financial News Shocks on Tourism Demand Volatility Modelling and Forecasting
by Yuruixian Zhang & Wei Chong Choo & Yuhanis Abdul Aziz & Choy Leong Yee & Cheong Kin Wan & Jen Sim Ho
June 2022, Volume 15, Issue 6
- 1-12 The Performance of Shrinkage Estimator for Stock Portfolio Selection in Case of High Dimensionality
by Nhat Minh Nguyen & Trung Duc Nguyen & Eleftherios I. Thalassinos & Hoang Anh Le - 1-12 Impact of Negative Tweets on Diverse Assets during Stressful Events: An Investigation through Time-Varying Connectedness
by N. L. Balasudarsun & Bikramaditya Ghosh & Sathish Mahendran - 1-13 Supervision of Banking Networks Using the Multivariate Threshold-Minimum Dominating Set (mT-MDS)
by Periklis Gogas & Theophilos Papadimitriou & Maria-Artemis Matthaiou - 1-13 Using Variable Slope Total Derivative Estimations to Pick between and Improve Macro Models
by Jonathan Leightner - 1-14 International Corporate Cash Holdings and Firm-Level Exposure to COVID-19: Do Cultural Dimensions Matter?
by Khanh Hoang & Cuong Nguyen & Dung Viet Tran & Anh Phan - 1-15 Informal Finance: A Boon or Bane for African SMEs?
by Olipha Mpofu & Athenia Bongani Sibindi - 1-16 Disasters and Investment: Assessing the Performance of the Underlying Economy Following a Large-Scale Stimulus in the Built Environment
by David Dyason - 1-17 The Economic Policy Uncertainty and Its Effect on Sustainable Investment: A Panel ARDL Approach
by Susilo Nur Aji Cokro Darsono & Wing-Keung Wong & Tran Thai Ha Nguyen & Dyah Titis Kusuma Wardani - 1-17 The Effects of CSR Report Mandatory Policy on Analyst Forecasts: Evidence from Taiwan
by Tzu-Yun Tseng & Nien-Su Shih - 1-17 The Interactive Effect of Ownership Structure on the Relationship between Annual Board Report Readability and Stock Price Crash Risk
by Mohsen Tavakoli Shandiz & Farzaneh Nassir Zadeh & Davood Askarany - 1-18 Challenges for Corporate Reputation—Online Reputation Management in Times of Global Pandemic
by František Pollák & Peter Markovič - 1-18 Budgetary Allocations and Government Response to COVID-19 Pandemic in South Africa and Nigeria
by Agunyai Samuel Chukwudi & Ojakorotu Victor - 1-18 Banking Risks in the Asset and Liability Management System
by Liubov Lysiak & Iuliia Masiuk & Anatolii Chynchyk & Olena Yudina & Oleksandr Olshanskiy & Valentyna Shevchenko - 1-19 Consumer Responses to Selected Activities: Price Increases, Lack of Product Information and Numerical Way of Expressing Product Prices
by Mirela Martinčić & Dijana Vuković & Anica Hunjet - 1-19 National Governance Index, Corruption Index and Growth Rate—International Evidence from Sub-Saharan and MENA Countries
by Omar Al Farooque & Ali Hamid & Lan Sun - 1-19 A Machine Learning Framework towards Bank Telemarketing Prediction
by Stéphane Cédric Koumétio Tékouabou & Ştefan Cristian Gherghina & Hamza Toulni & Pedro Neves Mata & Mário Nuno Mata & José Moleiro Martins - 1-20 Time to Simplify Banking Supervision—An Evidence-Based Study on PCA Framework in India
by Soumik Bhusan & Angshuman Hazarika & Naresh Gopal - 1-23 Empirically Investigating the Disclosure of Nonfinancial Information: A Content Study on Corporations Listed in the Saudi Capital Market
by Reem Fraih Alshiban & Khalid Rasheed Al-Adeem - 1-23 The Pricing Model of Pension Benefit Guaranty Corporation Insurance with Regime-Switching Processes
by Ting-Fu Chen & Shih-Kuei Lin & An-Sing Chang & Wei-Hao Wang - 1-24 Influence of the Emotion of Fear on Patterns of Consumer Behavior toward Dietary Supplements during the COVID-19 Pandemic
by Dijana Vuković & Boris Jurič & Iva Krnjak - 1-25 Peculiarities of Sustainable Cultural Development: A Case of Dark Tourism in Lithuania
by Virginija Jureniene & Martynas Radzevicius - 1-25 Economic Stimulus and Financial Instability: Recent Case of the U.S. Household
by Youngna Choi - 1-28 Residual State Ownership and Firm Performance: A Case of Vietnam
by Manh Hoang Nguyen & Thi Quy Vo - 1-29 The Effects of Certificate-of-Need Laws on the Quality of Hospital Medical Services
by Thomas Stratmann - 1-38 Mitigation Strategies for COVID-19: Lessons from the K-SEIR Model Calibrated to the Observable Data
by Alexander Lipton & Marcos Lopez de Prado
May 2022, Volume 15, Issue 6
- 1-11 Dynamic Causality Analysis of COVID-19 Pandemic Risk and Oil Market Changes
by Mike K. P. So & Jacky N. L. Chan & Amanda M. Y. Chu - 1-11 Wealth Inequality in South Africa—The Role of Government Policy
by Marlin Jason Fortuin & Gerhard Philip Maree Grebe & Patricia Lindelwa Makoni - 1-13 Exploring a Three-Factor Dependence Structure of Conditional Volatilities: Some Quantile Regression Evidence from Real Estate Investment Trusts
by Kim Hiang Liow - 1-13 Economic Growth, Exchange Rate and Remittance Nexus: Evidence from Africa
by Adedoyin Isola Lawal & Afees Adebare Salisu & Abiola John Asaleye & Ezeikel Oseni & Bukola Bose Lawal-Adedoyin & Samuel Olatunde Dahunsi & Emmanuel Oluwasola Omoju & Abigail Oyeronke DickTonye & Elizabeth Bolatito Ogunwole & Abiola Ayopo Babajide - 1-15 Estimation and Inference for the Threshold Model with Hybrid Stochastic Local Unit Root Regressors
by Chaoyi Chen & Thanasis Stengos - 1-16 A Study of Private Equity Rounds of Entrepreneurial Finance in EU: Are Buyout Funds Uninvited Guests for Startup Ecosystems?
by Hiroyuki Miyamoto & Cristian Mejia & Yuya Kajikawa - 1-16 The ESG Disclosure and the Financial Performance of Norwegian Listed Firms
by George Giannopoulos & Renate Victoria Kihle Fagernes & Mahmoud Elmarzouky & Kazi Abul Bashar Muhammad Afzal Hossain - 1-17 Consumer Perceptions of the Use of Nondegradable Plastic Packaging and Environmental Pollution: A Review of Theories and Empirical Literature
by Virimai Victor Mugobo & Herbert Ntuli & Chux Gervase Iwu - 1-18 Are Structural Funds a Real Solution for Regional Development in the European Union? A Study on the Northeast Region of Romania
by Ionel Bostan & Andrei-Alexandru Moroşan & Cristian-Valentin Hapenciuc & Pavel Stanciu & Iulian Condratov - 1-18 The Generalized Gamma Distribution as a Useful RND under Heston’s Stochastic Volatility Model
by Benzion Boukai - 1-19 A Fuzzy Imperfect Production Inventory Model Based on Fuzzy Differential and Fuzzy Integral Method
by Amalesh Kumar Manna & Leopoldo Eduardo Cárdenas-Barrón & Jayanta Kumar Dey & Shyamal Kumar Mondal & Ali Akbar Shaikh & Armando Céspedes-Mota & Gerardo Treviño-Garza - 1-20 A New Look at the Swing Contract: From Linear Programming to Particle Swarm Optimization
by Tapio Behrndt & Ren-Raw Chen - 1-22 Politically Connected Firms and Forward-Looking Disclosure in the Era of Oman Vision 2040
by Hidaya Al Lawati - 1-24 Optimal Portfolio Allocation between Global Stock Indexes and Safe Haven Assets: Gold versus the Swiss Franc (1999–2021)
by Marco Tronzano - 1-37 The Use of Principal Component Analysis (PCA) in Building Yield Curve Scenarios and Identifying Relative-Value Trading Opportunities on the Romanian Government Bond Market
by Andreea Oprea - 1-61 The Great Game Will Never End: Why the Global Financial Crisis Is Bound to Be Repeated
by David Blake
April 2022, Volume 15, Issue 5
- 1-10 Were Culture and Heritage Important for the Resilience of Tourism in the COVID-19 Pandemic?
by Krešimir Jurlin - 1-11 The Impact of Migration on Vietnam Household Living Standards
by Ngoc Hung Pham & Manh Dung Tran & Anh Duc Le & Thuy Linh Le - 1-15 Deposit Competition, Interbank Market, and Bank Profit
by Bo Jiang & Hector Tzavellas & Xiaoying Yang - 1-15 Stock Market Synchronization: The Role of Geopolitical Risk
by Kazi Sohag & Rogneda Vasilyeva & Alina Urazbaeva & Valentin Voytenkov - 1-15 Vague Pension Future: Empirical Evidence from the Israeli Radical Privatized Market
by Ishay Wolf & Smadar Levi - 1-16 The Performance and Diversification Potential of Non-Listed Value-Add Real Estate Funds in Japan
by Martin Hoesli & Graeme Newell & Muhammad Jufri Bin Marzuki & Rose Neng Lai - 1-16 An Assessment of the Association between Political Orientation and Financial Risk Tolerance
by John Grable & Dee Warmath & Eun Jin Kwak - 1-17 A Comparative Analysis of the Economic Sustainability of Cultural Work in the UK since the COVID-19 Pandemic and Examination of Universal Basic Income as a Solution for Cultural Workers
by Cécile Doustaly & Vishalakshi Roy - 1-17 Credit Risk, Regulatory Costs and Lending Discrimination in Efficient Residential Mortgage Markets
by David Nickerson - 1-17 Simulation-Based Business Valuation: Methodical Implementation in the Valuation Practice
by Dietmar Ernst - 1-18 Forecasting a Stock Trend Using Genetic Algorithm and Random Forest
by Rebecca Abraham & Mahmoud El Samad & Amer M. Bakhach & Hani El-Chaarani & Ahmad Sardouk & Sam El Nemar & Dalia Jaber - 1-18 The Impact of Corporate Governance and Political Connectedness on the Financial Performance of Lebanese Banks during the Financial Crisis of 2019–2021
by Hani El-Chaarani & Rebecca Abraham - 1-19 On the Asymptotic Behavior of the Optimal Exercise Price Near Expiry of an American Put Option under Stochastic Volatility
by Wenting Chen & Song-Ping Zhu - 1-19 The Profitability of Technical Analysis during the COVID-19 Market Meltdown
by Camillo Lento & Nikola Gradojevic - 1-20 Risk Management of Startups of Innovative Products
by Taliat Bielialov - 1-24 Machine Learning Applications to Land and Structure Valuation
by Michael Mayer & Steven C. Bourassa & Martin Hoesli & Donato Scognamiglio - 1-25 An Application of Portfolio Mean-Variance and Semi-Variance Optimization Techniques: A Case of Fiji
by Ronald Ravinesh Kumar & Peter Josef Stauvermann & Aristeidis Samitas - 1-25 Distributed Renewable Energy Management: A Gap Analysis and Proposed Blockchain-Based Architecture
by Annegret Henninger & Atefeh Mashatan - 1-26 Causality between Financial Development and Foreign Direct Investment in Asian Developing Countries
by Huy Tiet Pham & Christopher Gan & Baiding Hu - 1-30 An Investigation of the Link between Major Shareholders’ Behavior and Corporate Governance Performance before and after the COVID-19 Pandemic: A Case Study of the Companies Listed on the Iranian Stock Market
by Rezvan Pourmansouri & Amir Mehdiabadi & Vahid Shahabi & Cristi Spulbar & Ramona Birau - 1-32 What’s Different about Bank Holding Companies?
by Ralph Chami & Thomas F. Cosimano & Jun Ma & Celine Rochon
May 2022, Volume 15, Issue 5
- 1-5 Introduction to the Special Issue ‘Transnational and Transdisciplinary Lessons of COVID-19 from the Perspective of Risk and Management’
by Alistair Cole & Julien S. Baker & Emilie Tran & Yang Gao - 1-5 Deep Partial Hedging
by Songyan Hou & Thomas Krabichler & Marcus Wunsch - 1-9 Non-Fungible Token: A Systematic Review and Research Agenda
by Hong Bao & David Roubaud - 1-10 How the Closure of a U.S. Tax Loophole May Affect Investor Portfolios
by Christoph Frei & Liam Welsh - 1-12 Childhood Sporting Experience and Charitable Donations to Disaster Victims
by Eiji Yamamura - 1-13 Bank Risk-Taking and Legal Origin: What Do We Know about Dual Banking Economies?
by Mohsin Ali & Nafis Alam & Mudeer Ahmed Khattak & Wajahat Azmi - 1-15 Understanding Post-Privatisation Performance of Statutory Bodies Subject to Government Shareholding—A Suggested Theoretical Framework, for Malaysian Researchers
by Philip Sinnadurai & Susela Devi - 1-16 Climate Insurance for Agriculture in Europe: On the Merits of Smart Contracts and Distributed Ledger Technologies
by Reimund Schwarze & Oleksandr Sushchenko - 1-16 Attributes of Business Incubators: A Conjoint Analysis of Venture Capitalist’s Decision Making
by Michele Manconi & Salvatore Bellomo & Anna Nosella & Lara Agostini - 1-16 Issues in Islamic Derivatives and Proposals for Reforms in the OTC Market in Indonesia
by Romi Adetio Setiawan - 1-17 Does Ownership Structure Moderate the Relationship between Systemic Risk and Corporate Governance? Evidence from Gulf Cooperation Council Countries
by Ilyes Abidi & Mariem Nsaibi & Khaled Hussainey - 1-17 Nudges and Networks: How to Use Behavioural Economics to Improve the Life Cycle Savings-Consumption Balance
by David Blake - 1-17 Impact of Liquidity Coverage Ratio on Performance of Select Indian Banks
by Anureet Virk Sidhu & Shailesh Rastogi & Rajani Gupte & Venkata Mrudula Bhimavarapu - 1-18 An Investigation of the Beta Anomaly in Emerging Markets: A South African Case
by Mabekebeke Segojane & Godfrey Ndlovu - 1-18 Dynamics between Power Consumption and Economic Growth at Aggregated and Disaggregated (Sectoral) Level Using the Frequency Domain Causality
by Ashutosh Dash & Sangram Keshari Jena & Aviral Kumar Tiwari & Shawkat Hammoudeh - 1-18 Gender Differences in Risk-Taking Investment Strategies in Defined Contribution Plans
by Christos I. Giannikos & Efstathia Korkou - 1-18 Linking Supply Chain Disruption Orientation to Supply Chain Resilience and Market Performance with the Stimulus–Organism–Response Model
by Aaron Rae Stephens & Minhyo Kang & Charles Arthur Robb - 1-19 Green Insurance: A Roadmap for Executive Management
by Lukas Stricker & Carlo Pugnetti & Joël Wagner & Angela Zeier Röschmann - 1-19 Development of Risk Index and Risk Governance Index: Application in Indian Public Sector Undertakings
by Suneel Maheshwari & Vasudha Gupta & Deepak Raghava Naik - 1-19 Founding Family Ownership and Firm Performance: Some Evidence from the Italian Stock Market
by Pierluigi Pierni & Dennis Marco Montagna & Mario Maggi - 1-20 Modelling Seasonal Short-Run Effects in Time-Series Tourism Prices
by Sergej Gricar & Stefan Bojnec - 1-23 Portfolio Optimization on Multivariate Regime-Switching GARCH Model with Normal Tempered Stable Innovation
by Cheng Peng & Young Shin Kim & Stefan Mittnik - 1-28 Theories of Crowdfunding and Token Issues: A Review
by Anton Miglo
March 2022, Volume 15, Issue 4
- 1-12 Monetary Policy Shocks in Open Economies and the Inflation Unemployment Trade-Off: The Case of the Euro Area
by Antonio Ribba - 1-13 The Impact of Quality of Public Administration on Local Economic Growth in Vietnam
by Thanh Hung Pham & Thi Thanh Hang Hoang & Eleftherios I. Thalassinos & Hoang Anh Le - 1-13 Homebuyer Purchase Decisions: Are They Anchoring to Appraisal Values or Market Prices?
by Ka-Shing Cheung & Chung-Yim Yiu & Yihan Guan - 1-14 Non-Parametric Statistic for Testing Cumulative Abnormal Stock Returns
by Seppo Pynnonen - 1-14 Predicting Inflation—A Holistic Approach
by Kujtim Avdiu & Stephan Unger - 1-16 The MAX Effect in an Oil Exporting Country: The Case of Norway
by Muhammad Kashif & Thomas Leirvik - 1-16 Inferences from Portfolio Theory and Efficient Market Hypothesis to the Impact of Social Media on Sovereign Debt: Colombia, Ecuador, and Peru
by Esteban Serrano-Monge - 1-17 The Effects of Carbon Emissions and Agency Costs on Firm Performance
by Muhammad Nurul Houqe & Solomon Opare & Muhammad Kaleem Zahir-ul-Hassan & Kamran Ahmed - 1-18 Antecedents of Behavioural Intention to Adopt Internet Banking Using Structural Equation Modelling
by Shivani Inder & Kiran Sood & Simon Grima - 1-19 The Effect of Index Option Trading on Stock Market Volatility in China: An Empirical Investigation
by Kai Wu & Yi Liu & Weiyang Feng - 1-20 Shareholder Activism and Its Impact on Profitability, Return, and Valuation of the Firms in India
by Sudam Shingade & Shailesh Rastogi & Venkata Mrudula Bhimavarapu & Abhijit Chirputkar - 1-21 COVID-19—A Black Swan for Foreign Direct Investment: Evidence from European Countries
by Eglantina Hysa & Erinda Imeraj & Nerajda Feruni & Mirela Panait & Valentina Vasile - 1-23 A Singular Stochastic Control Approach for Optimal Pairs Trading with Proportional Transaction Costs
by Haipeng Xing - 1-26 Multifactor Market Indexes
by Wei Liu & James W. Kolari - 1-41 The Impact of ESG Ratings on the Systemic Risk of European Blue-Chip Firms
by Mustafa Hakan Eratalay & Ariana Paola Cortés Ángel
April 2022, Volume 15, Issue 4
- 1-5 COVID-19 Impact on the Sport Sector Economy and Athletic Performance
by Huw D. Wiltshire & Rashmi Supriya & Julien S. Baker - 1-9 Digital Twin: Financial Technology’s Next Frontier of Robo-Advisor
by Muhammad Anshari & Mohammad Nabil Almunawar & Masairol Masri - 1-10 Time to Assess Bias in Machine Learning Models for Credit Decisions
by Liming Brotcke - 1-10 Business Closures and (Re)Openings in Real-Time Using Google Places: Proof of Concept
by Daniel E. Rigobon & Thibaut Duprey & Artur Kotlicki & Philip Schnattinger & Soheil Baharian & Thomas R. Hurd - 1-11 Asymmetric Exchange Rate Pass-Through in Turkish Imports of Cocoa Beans
by Nazif Durmaz & John Kagochi - 1-13 Household Portfolio Allocations: Evidence on Risk Preferences from the Household, Income, and Labour Dynamics in Australia (HILDA) Survey Using Tobit Models
by Safdar Ullah Khan & Satyanarayana Ramella & Habib Ur Rahman & Zulfiqar Hyder - 1-13 The Impact of Investment Efficiency on Firm Value and Moderating Role of Institutional Ownership and Board Independence
by Mahdi Salehi & Grzegorz Zimon & Arash Arianpoor & Fatemeh Eidi Gholezoo - 1-14 Xenocentrism and Formal Education: Evaluating Its Impact on the Behavior of Chilean Consumers
by Luis J. Camacho & Patricio Ramírez-Correa & Cristian Salazar-Concha - 1-14 False Friends? On the Effect of Bureaucracy, Informality, Corruption and Conflict in Ukraine on Foreign and Domestic Acquisitions
by Viktoriya Gonchar & Oleksandr Kalinin & Olena Khadzhynova & Killian J. McCarthy - 1-15 Best-Arm Identification Using Extreme Value Theory Estimates of the CVaR
by Dylan Troop & Frédéric Godin & Jia Yuan Yu - 1-15 Tourism Activity as an Engine of Growth: Lessons Learned from the European Union
by Velisaria Matzana & Aikaterina Oikonomou & Michael Polemis - 1-16 Theoretical Investigation on the Optimal Contracting for Directors Holding Multiple Directorships
by Guoyu Lin & Anna Bergman Brown - 1-16 Corporate Fraud and Accounting Firm Involvement: Evidence from China
by Jun Wang & Duo Wang - 1-16 To Trust or Not to Trust? COVID-19 Facemasks in China–Europe Relations: Lessons from France and the United Kingdom
by Emilie Tran & Yu-chin Tseng - 1-17 Model Selection and Post Selection to Improve the Estimation of the ARCH Model
by Marwan Al-Momani & Abdaljbbar B. A. Dawod - 1-17 The Impact of Fashion Brand Sustainability on Consumer Purchasing Decisions
by Doroteja Mandarić & Anica Hunjet & Dijana Vuković - 1-18 Enacting Economic Resilience: A Synthesis of Economic and Communication Frameworks
by Timothy Betts & Patrice M. Buzzanell - 1-18 Goal Setting, Personality Traits, and the Role of Insurers and Other Service Providers for Swiss Millennials and Generation Z
by Carlo Pugnetti & Pedro Henriques & Ulrich Moser - 1-18 Impact of COVID-19, Political, and Financial Events on the Performance of Commercial Banking Sector
by Ghulam Ghouse & Muhammad Ishaq Bhatti & Muhammad Hassam Shahid - 1-19 Redevelopment of Brownfields for Cultural Use from ERDF Fund—The Case of Hungary between 2014 and 2020
by Mariann Szabó & Fruzsina Bozsoki - 1-20 Mean Reversions in Major Developed Stock Markets: Recent Evidence from Unit Root, Spectral and Abnormal Return Studies
by James Nguyen & Wei-Xuan Li & Clara Chia-Sheng Chen - 1-21 Sail Away to a Safe Harbor? COVID-19 Vaccinations and the Volatility of Travel and Leisure Companies
by Ender Demir & Renatas Kizys & Wael Rouatbi & Adam Zaremba - 1-22 Deployment of Interpretive Structural Modeling in Barriers to Industry 4.0: A Case of Small and Medium Enterprises
by Pankaj Goel & Raman Kumar & Harish Kumar Banga & Swapandeep Kaur & Rajesh Kumar & Danil Yurievich Pimenov & Khaled Giasin - 1-24 What If? Electricity as Money
by David A. Gautschi & Heidi C. Gautschi & Christopher L. Tucci - 1-25 An Early Warning System for Currency Crises in Emerging Countries
by Lutfa Tilat Ferdous & Khnd Md Mostafa Kamal & Amirul Ahsan & Nhung Hong Thuy Hoang & Munshi Samaduzzaman - 1-25 A Survey of the Accounting Industry on Holdings of Cryptocurrencies in Xiamen City, China
by Huqin Yan & Kejia Yan & Rakesh Gupta - 1-27 Audit Committee Diversity, Analysts’ Forecast Accuracy and Earnings Management: Evidence from Malaysia
by Marziana Madah Marzuki
March 2022, Volume 15, Issue 3
- 1-3 Housing Real Estate Economics and Finance
by Rita Yi Man Li - 1-7 Outliers and Time-Varying Jumps in the Cryptocurrency Markets
by Anupam Dutta & Elie Bouri - 1-9 A Study of the Machine Learning Approach and the MGARCH-BEKK Model in Volatility Transmission
by Prashant Joshi & Jinghua Wang & Michael Busler - 1-11 Impact of Financial Innovation and Institutional Quality on Financial Development in Emerging Markets
by Suha Mahmoud Alawi & Wajih Abbassi & Rukhma Saqib & Madeeha Sharif - 1-11 The COVID-19 Health Crisis and Its Impact on China’s International Relations
by Jean-Pierre Cabestan - 1-11 Responses of the International Bond Markets to COVID-19 Containment Measures
by Bao Cong Nguyen To & Tam Van Thien Nguyen & Nham Thi Hong Nguyen & Hoai Thu Ho - 1-12 Financial Institution Type and Firm-Related Attributes as Determinants of Loan Amounts
by Edmund Mallinguh & Zeman Zoltan - 1-12 Semiparametric Time-Series Model Using Local Polynomial: An Application on the Effects of Financial Risk Factors on Crop Yield
by Syed Ejaz Ahmed & Dursun Aydin & Ersin Yilmaz - 1-13 Do Post-Corona European Economic Policies Lift Growth Prospects? Exploring an ML-Methodology
by Bodo Herzog