Content
July 2023, Volume 16, Issue 7
- 1-12 Impact of Risk Management on the Performance of Commercial Banks in Ghana: A Panel Regression Approach
by Bismark Von Tamakloe & Alexander Boateng & Eric Teye Mensah & Daniel Maposa - 1-12 Decoding Decentralized Autonomous Organizations: A Content Analysis Approach to Understanding Scoring Platforms
by Christian Ziegler & Syeda Rabab Zehra - 1-13 A Cyclical Phenomenon among Stock & Commodity Markets
by Hector O. Zapata & Junior E. Betanco & Maria Bampasidou & Michael Deliberto - 1-13 The Transformation of the Healthcare Business through the COVID-19 Pandemic (2020–2021)
by Rishi Patel - 1-14 An Assessment of the Financial Indicators of PJSC Gazprom
by Peter Brusov & Tatiana Filatova & Andrey Kashirin - 1-15 Corporate Governance and Financial Statement Fraud during the COVID-19: Study of Companies under Special Monitoring in Indonesia
by Enggar Diah Puspa Arum & Rico Wijaya & Ilham Wahyudi & Aulia Beatrice Brilliant - 1-15 Which Direction to Take Further Research on the Impacts of Telomere Attrition on Aging, Age-Related Diseases, and Overall Healthcare Expenditures
by Kristine Andrea Narita - 1-15 An Overview of Islamic Accounting: The Murabaha Contract
by Riyad Moosa - 1-15 The Role of The Internal Auditor in Strengthening the Governance of Economic Organizations Using the Three Lines of Defense Model
by Omar Ikbal Tawfik & Omar Durrah & Karima Ali Aljawhar - 1-16 Re-Examining Bitcoin’s Price–Volume Relationship: A Time-Varying Spectral Analysis
by Clement Moyo & Andrew Phiri - 1-16 Particle MCMC in Forecasting Frailty-Correlated Default Models with Expert Opinion
by Ha Nguyen - 1-16 Agency Problem and Stock Returns: Combining Measures of Asset Growth and Gross Profit
by Jun Chen & Joseph Mohr & Ronald Rutherford - 1-17 The Drivers of Successful Crowdfunding Projects in Africa during the COVID-19 Pandemic
by Lenny Phulong Mamaro & Athenia Bongani Sibindi - 1-17 A New Entropic Measure for the Causality of the Financial Time Series
by Peter B. Lerner - 1-18 Differences in the Destination of Savings According to Gender, and Its Economic Rights Implications
by Florina Guadalupe Arredondo-Trapero & Eva María Guerra-Leal & José Carlos Vázquez-Parra - 1-19 The Influence of ESG, SRI, Ethical, and Impact Investing Activities on Portfolio and Financial Performance—Bibliometric Analysis/Mapping and Clustering Analysis
by Ainulashikin Marzuki & Fauzias Mat Nor & Nur Ainna Ramli & Mohamad Yazis Ali Basah & Muhammad Ridhwan Ab Aziz - 1-19 A Literature Review on the Financial Determinants of Hotel Default
by Theodore Metaxas & Athanasios Romanopoulos - 1-20 A Comparative Study of Traditional, Ensemble and Neural Network-Based Natural Language Processing Algorithms
by Achraf Chikhi & Seyed Sahand Mohammadi Ziabari & Jan-Willem van Essen - 1-20 Does Competition Affect Financial Distress of Non-Financial Firms in India: A Comparison Using the Lerner Index and Boone Indicator
by Jagjeevan Kanoujiya & Shailesh Rastogi & Rebecca Abraham & Venkata Mrudula Bhimavarapu - 1-21 Does the Investor’s Trading Experience Reduce Susceptibility to Heuristic-Driven Biases? The Moderating Role of Personality Traits
by Neenu Chalissery & Mosab I. Tabash & T. Mohamed Nishad & Ibtehal M. Aburezeq & Linda Nalini Daniel - 1-23 Role of Provincial Migration and Immigration in Provincial Trade of Canada
by Nusrate Aziz & Ahmed Aziz & Gerry Mahar - 1-23 “Decoding” Policy Perspectives: Structural Topic Modeling of European Central Bankers’ Speeches
by Thierry Warin & Aleksandar Stojkov - 1-24 The Effects of Option Trading Behavior on Option Prices
by Han-Sheng Chen & Sanjiv Sabherwal - 1-26 Gender Diversity and Human Capital Efficiency in Australian Institutions: The Moderating Role of Workforce Environment Quality
by Seema Miglani & Victoria Obeng - 1-29 Dependence Structure and Time–Frequency Impact of Exchange Rates on Crude Oil and Stock Markets of BRICS Countries: Markov-Switching-Based Wavelet Analysis
by Benjamin Mudiangombe Mudiangombe & John Weirstrass Muteba Mwamba
June 2023, Volume 16, Issue 7
- 1-10 Impact of Monetary Policy on Financial Inclusion in Emerging Markets
by Peterson K. Ozili - 1-14 Criteria Selection of Housing Loan Based on Dominance-Based Rough Set Theory: An Indian Case
by Anupama Singh & Aarti Singh & Haresh Kumar Sharma & Saibal Majumder - 1-15 Risk Planning and Management in Portuguese Companies—A Statistical Approach
by Fernando Oliveira Tavares & Eulália Santos & Vasco Capela Tavares & Vanessa Ratten - 1-17 Differential Impact of Fintech and GDP on Bank Performance: Global Evidence
by Soon Suk Yoon & Hongbok Lee & Ingyu Oh - 1-17 Model Framework for Consumer Protection and Crypto-Exchanges Regulation
by Aleksandr P. Alekseenko - 1-18 Investigating the Nexus between Corporate Governance and Firm Performance in India: Evidence from COVID-19
by Mohd Anas & Ishfaq Gulzar & Mosab I. Tabash & Gayas Ahmad & Wasi Yazdani & Md. Firoz Alam - 1-18 On the Exchange Rate Dynamics of the Norwegian Krone
by Morten Risstad & Airin Thodesen & Kristian August Thune & Sjur Westgaard - 1-18 Montenegrin Stock Exchange Market on a Short-Term Perspective
by Tamara Backović & Vesna Karadžić & Sergej Gričar & Štefan Bojnec - 1-20 Elliptical and Skew-Elliptical Regression Models and Their Applications to Financial Data Analytics
by Paul R. Dewick & Shuangzhe Liu & Yonghui Liu & Tiefeng Ma - 1-20 The Impact of Integrated Reporting on the Cost of Capital: Evidence from an Emerging Market
by Burak Pirgaip & Lamija Rizvić - 1-21 Global Anti-Money Laundering and Combating Terrorism Financing Regulatory Framework: A Critique
by William Gaviyau & Athenia Bongani Sibindi - 1-22 Interdependence between the BRICS Stock Markets and the Oil Price since the Onset of Financial and Economic Crises
by Narjess Bouslama - 1-23 Credit Risk Management and the Financial Performance of Deposit Money Banks: Some New Evidence
by Oritsegbubemi Kehinde Natufe & Esther Ikavbo Evbayiro-Osagie - 1-23 Estimating Value-at-Risk in the EURUSD Currency Cross from Implied Volatilities Using Machine Learning Methods and Quantile Regression
by Herman Mørkved Blom & Petter Eilif de Lange & Morten Risstad - 1-30 Using Carbon Tax to Reach the U.S.’s 2050 NDCs Goals—A CGE Model of Firms, Government, and Households
by Kejia Yan & Rakesh Gupta & Suneel Maheshwari - 1-43 The Moderating Effect of the COVID-19 Pandemic on the Relation between Corporate Governance and Firm Performance
by Hossein Tarighi & Zeynab Nourbakhsh Hosseiny & Maryam Akbari & Elaheh Mohammadhosseini
June 2023, Volume 16, Issue 6
- 1-5 Corporate Finance, Governance, and Social Responsibility
by Ștefan Cristian Gherghina - 1-13 The Impacts of Shopping Tourism on Retail Sales and Rents: Lessons from the COVID-19 Quasi-Experiment of Hong Kong
by Chung Yim Yiu - 1-16 Financial Inclusion and Economic Growth in Sub-Saharan Africa—A Panel ARDL and Granger Non-Causality Approach
by Meshesha Demie Jima & Patricia Lindelwa Makoni - 1-17 Delineating Housing Submarkets Using Space–Time House Sales Data: Spatially Constrained Data-Driven Approaches
by Meifang Chen & Yongwan Chun & Daniel A. Griffith - 1-17 A Data Valuation Model to Estimate the Investment Value of Platform Companies: Based on Discounted Cash Flow
by Hyongmook Cheong & Boyoung Kim & Ivan Ureta Vaquero - 1-19 Developing a Multidimensional Financial Inclusion Index: A Comparison Based on Income Groups
by Inès Gharbi & Aïda Kammoun - 1-20 The Effect of Relative Advantage, Top Management Support and IT Infrastructure on E-Filing Adoption
by Samer Aqel AbuAkel & Marhaiza Ibrahim - 1-22 The Effect of Corporate Governance in Islamic Banking on the Agility of Iraqi Banks
by Jabbar Sehen Issa & Mohammad Reza Abbaszadeh - 1-25 How Do Financial Market Outcomes Affect Gambling?
by Cyrus A. Ramezani & James J. Ahern - 1-25 Do Large Datasets or Hybrid Integrated Models Outperform Simple Ones in Predicting Commodity Prices and Foreign Exchange Rates?
by Jin Shang & Shigeyuki Hamori - 1-29 Multitouch Options
by Tristan Guillaume
May 2023, Volume 16, Issue 6
- 1-12 RCML: A Novel Algorithm for Regressing Price Movement during Commodity Futures Stress Testing Based on Machine Learning
by Caifeng Liu & Wenfeng Pan & Hongcheng Zhou - 1-14 Predicting the REIT Corporate Life Cycle Phase on a Financial Accounting Basis
by Panagiotis Petris - 1-15 Social Performance Disclosed by European Companies: The Role of the Board Attributes and the Country’s Legal System
by Albertina Paula Monteiro & Catarina Cepêda & Cláudia Pereira & Amélia Silva - 1-19 How Efficient and Socially Sensitive Are Fiscal Incentives for Electric Cars in Europe?
by Krešimir Jurlin - 1-23 Does Previous Experience with the Unified Payments Interface (UPI) Affect the Usage of Central Bank Digital Currency (CBDC)?
by Munish Gupta & Sanjay Taneja & Vikas Sharma & Amandeep Singh & Ramona Rupeika-Apoga & Kshitiz Jangir - 1-25 National and International Financial Market Regulation and Supervision Systems: Challenges and Solutions
by Viacheslav M. Shavshukov & Natalia A. Zhuravleva - 1-32 Duration of the Membership in the GATT/WTO, Structural Economic Vulnerability and Trade Costs
by Sena Kimm Gnangnon - 1-32 (How) Does Mutual Fund Dual Ownership Affect Shareholder and Creditor Conflict of Interest? Evidence from Corporate Innovation
by Lei Gao & Ying Wang & Jing Zhao - 1-34 How Company Characteristics Influence Measurement Practices and Disclosure Level Prescribed within IAS 41
by Mohammad Saleh Altarawneh
April 2023, Volume 16, Issue 5
- 1-12 Do Automated Market Makers in DeFi Ecosystem Exhibit Time-Varying Connectedness during Stressed Events?
by Bikramaditya Ghosh & Hayfa Kazouz & Zaghum Umar - 1-14 Equity Returns and the Output Shocks in a Dynamic Stochastic General Equilibrium Framework
by Bahram Adrangi & Juan Nicolás D’Amico - 1-16 An Event Study on the Reaction of Equity and Commodity Markets to the Onset of the Russia–Ukraine Conflict
by Pat Obi & Freshia Waweru & Moses Nyangu - 1-17 Analysis of Trends in Mortgage Lending in the Agricultural Sector of Ukraine
by Iryna Perevozova & Oksana Malynka & Vitalii Nitsenko & Halyna Kryshtal & Viktoriia Kostiuk & Vitaliia Mishchenko - 1-18 Digital Banking through the Uncertain COVID Period: A Panel Data Study
by Kuldeep Singh & Sam Goundar & Preetha Chandran & Amit Kumar Agrawal & Nimisha Singh & Prasanna Kolar - 1-20 The Effect of ECB Unconventional Monetary Policy on Firms’ Performance during the Global Financial Crisis
by Charalampos Basdekis & Apostolos Christopoulos & Evgenios Gakias & Ioannis Katsampoxakis - 1-24 The Paradox of the Payday Borrower: A Case Study of the Role of Planned Behavior in Borrowers’ Motivations and Experiences
by Irene Herremans & Peggy Hedges & Fereshteh Mahmoudian & Anne Kleffner & Mahrukh Tahir
May 2023, Volume 16, Issue 5
- 1-14 Reputation as Capital—How Decentralized Autonomous Organizations Address Shortcomings in the Venture Capital Market
by Wulf Kaal - 1-14 The Efficiency of Weekly Option Prices around Earnings Announcements
by Jonathan A. Milian - 1-14 Phishing Attacks on Cryptocurrency Investors in the Arab States of the Gulf
by Marwa Alyami & Reem Alhotaylah & Sawsan Alshehri & Abdullah Alghamdi - 1-15 Impact of Financial Inclusion on India’s Economic Development under the Moderating Effect of Internet Subscribers
by Aman Pushp & Rahul Singh Gautam & Vikas Tripathi & Jagjeevan Kanoujiya & Shailesh Rastogi & Venkata Mrudula Bhimavarapu & Neha Parashar - 1-15 Hurst Exponent Analysis: Evidence from Volatility Indices and the Volatility of Volatility Indices
by Georgia Zournatzidou & Christos Floros - 1-15 Exponential Stability of Fractional Large-Scale Neutral Stochastic Delay Systems with Fractional Brownian Motion
by T. Sathiyaraj & T. Ambika & Ong Seng Huat - 1-16 The Impact of Socioeconomic and Environmental Indicators on Economic Development: An Interdisciplinary Empirical Study
by Antonio Pacifico - 1-16 Consumption of Healthcare Services in the United States: The Impact of Health Insurance
by Raluca Elena Narita - 1-17 Japanese Economic Performance after the Pandemic: A Sectoral Analysis
by Willem Thorbecke - 1-17 The Impact of Ownership Type on Labour Cost Stickiness
by Mohammed Arkan Sahib Tileal & Farzaneh Nassirzadeh & Mohammad Javad Saei & Davood Askarany - 1-18 The Effects of Climate Change to Weather-Related Environmental Hazards: Interlinkages of Economic Factors and Climate Risk
by George Halkos & Argyro Zisiadou - 1-18 Asymmetric Effects of Financial Development on CO 2 Emissions in Bangladesh
by Anupam Das & Leanora Brown & Adian McFarlane - 1-18 Surviving Black Swans III: Timing US Sector Funds
by Pankaj Topiwala - 1-18 Precious Metals Comovements in Turbulent Times: COVID-19 and the Ukrainian Conflict
by Antonis A. Michis - 1-19 An Assessment of the Benefits of Optimizing Working Capital and Profitability: Perspectives from DJIA30 and NASDAQ100
by Tarek Eldomiaty & Nourhan Eid & Farida Taman & Mohamed Rashwan - 1-19 The Relationship of Fiscal Policy and Economic Cycle: Is Vietnam Different?
by Dung Xuan Nguyen & Trung Duc Nguyen - 1-20 The Role of Loan-Related Risk Appetite in the Relationship between Financial Risk Considerations and MSME Growth Decision: A Mediation Analysis
by Ralph Stephen Leyeza & Mikka Marielle Boado & Obed Butacan & Donn Enrique Moreno & Lourdes Deocariza - 1-22 Modeling Risk for CVaR-Based Decisions in Risk Aggregation
by Yuriy Zinchenko & Alexandru V. Asimit - 1-23 Safe-Haven Currencies as Defensive Assets in Global Stocks Portfolios: A Reassessment of the Empirical Evidence (1999–2022)
by Marco Tronzano - 1-26 A Stochastic Markov Chain for Estimating New Entrants into Professional Pension Funds
by Alessandro Fiori Maccioni - 1-26 Determinants Influencing the Application of Lean Accounting: The Case of Vietnamese Garment Firms
by Thi Minh Phuong Nguyen & Thi Hai Chau Ngo
March 2023, Volume 16, Issue 4
- 1-10 A More Intuitive Formula for the PEG Ratio
by Leo H. Chan - 1-13 Predicting Cryptocurrency Fraud Using ChaosNet: The Ethereum Manifestation
by Anurag Dutta & Liton Chandra Voumik & Athilingam Ramamoorthy & Samrat Ray & Asif Raihan - 1-16 The Impact of ICT on the Profitability of Indian Banks: The Moderating Role of NPA
by Swapnilsingh Thakur & Shailesh Rastogi & Neha Parashar & Pracheta Tejasmayee & Jyoti Mehndiratta Kappal - 1-16 Scalar Measures of Volatility and Dependence for the Multivariate Models with Applications to Asian Financial Markets
by Sangwhan Kim & Anil K. Bera - 1-20 Can Corporate Sustainability Drive Economic Value Added? Evidence from Larger European Firms
by Tiago Cruz Gonçalves & Diogo Louro & Victor Barros - 1-20 Transparency and Disclosure and Financial Distress of Non-Financial Firms in India under Competition: Investors’ Perspective
by Jagjeevan Kanoujiya & Rebecca Abraham & Shailesh Rastogi & Venkata Mrudula Bhimavarapu - 1-23 The Impact of FASB Staff Position APB 14-1 on Corporate Financing: A Debt Contracting Perspective
by Justin Y. Jin & Kiridaran Kanagaretnam & Na Li - 1-28 Does the Size of the Business Still Matter, or Is Profitability under New Management, by Order of the COVID-19?
by Roman Blazek & Pavol Durana & Jakub Michulek & Kristina Blazekova - 1-29 Impact of Proof of Work (PoW)-Based Blockchain Applications on the Environment: A Systematic Review and Research Agenda
by Nishant Sapra & Imlak Shaikh & Ashutosh Dash
April 2023, Volume 16, Issue 4
- 1-4 ν -Generalized Hyperbolic Distributions
by Lev Klebanov & Svetlozar T. Rachev - 1-11 Supply Chain Risk Management in a Digital Era: Evidence from SMEs of Clothing Retailers in Australia
by Mehadi Mamun - 1-12 The Link between Bitcoin Price Changes and the Exchange Rates in European Countries with Non-Euro Currencies
by Bogdan Andrei Dumitrescu & Carmen Obreja & Ionel Leonida & Dănuț Georgian Mihai & Ludovic Cosmin Trifu - 1-12 Unveiling the Link between Corporate Board Attributes, Board Behavior, and Financial Leverage: Insights from Malaysia
by Hussain Tahir & Mahfuzur Rahman & Md. Abdul Kaium Masud & Mohammed Mizanur Rahman - 1-13 Profiling Turkish Cryptocurrency Owners: Payment Users, Crypto Investors and Crypto Traders
by Lennart Ante & Florian Fiedler & Fred Steinmetz & Ingo Fiedler - 1-13 Investigation and Modelling of Economic Systematic Risk and Capital Requirement: A Monte Carlo Simulation
by Adel Benhamed & Mohamed Sadok Gassouma - 1-15 Investment Efficiency and Earnings Quality: European Evidence
by Cristina Gaio & Tiago Cruz Gonçalves & João Cardoso - 1-15 The Changes in the Perceptions of Women towards the Symbolic Value of Gold: Marketing and Financial Implications
by Berislav Andrlić & Mario Hak & Girish S. Pathy - 1-16 Effect of Remittance-Sending Countries’ Type on Financial Development in Recipient Countries: Can the Pandemic Make a Difference?
by Md. Abdur Rahman Forhad & Gazi Mahabubul Alam & Md. Toabur Rahman - 1-16 The Generalised Extreme Value Distribution Approach to Comparing the Riskiness of BitCoin/US Dollar and South African Rand/US Dollar Returns
by Delson Chikobvu & Thabani Ndlovu - 1-17 An Analysis of the Use of Accounting Information by Portuguese SMEs
by Ana Catarina Santos & Rui Pires & Maria-Ceu Alves - 1-17 Protect or Compete? Evidence of Firms’ Innovation from Import Penetration
by Changjie Hu & Ming Liu - 1-17 Environmental, Social, and Governance Considerations in WTI Financialization through Energy Funds
by Alper Gormus & Saban Nazlioglu & Steven L. Beach - 1-17 Board Characteristics, Social Trust and ESG Performance in the European Banking Sector
by Bruna Miranda & Catarina Delgado & Manuel Castelo Branco - 1-17 Tourism Development and Italian Economic Growth: The Weight of the Regional Economies
by Giorgio Colacchio & Anna Serena Vergori - 1-18 Towards a Truly Decentralized Blockchain Framework for Remittance
by Kevin Coutinho & NeerajKumari Khairwal & Pornpit Wongthongtham - 1-19 Explaining Deep Learning Models for Credit Scoring with SHAP: A Case Study Using Open Banking Data
by Lars Ole Hjelkrem & Petter Eilif de Lange - 1-19 Enhancing Financial Market Analysis and Prediction with Emotion Corpora and News Co-Occurrence Network
by Shawn McCarthy & Gita Alaghband - 1-20 Impact of Financial Technology on Improvement of Banks’ Financial Performance
by Hafez Baker & Thair A. Kaddumi & Mahmoud Daoud Nassar & Riham Suleiman Muqattash - 1-20 Bank Profitability Analysis in China: Stochastic Frontier Approach
by Bingbing Shen & Aleksandr Aleksandrovich Perfilev & Lidiya Pavlovna Bufetova & Xueyan Li - 1-20 Determinants of Financial Literacy: Analysis of the Impact of Family and Socioeconomic Variables on Undergraduate Students in the Slovak Republic
by Patrik Böhm & Gabriela Böhmová & Jana Gazdíková & Viktória Šimková - 1-21 The Optimal Level of Financial Growth in View of a Nonlinear Macroprudential Policy Regime Model: A Bayesian Approach
by Sifundo Ntokozo Dlamini & Lindokuhle Talent Zungu & Nomusa Yolanda Nkomo - 1-21 Picking Winners: Identifying Features of High-Performing Special Purpose Acquisition Companies (SPACs) with Machine Learning
by Caleb J. Williams - 1-21 Risk Measure between Exchange Rate and Oil Price during Crises: Evidence from Oil-Importing and Oil-Exporting Countries
by Mouna Ben Saad Zorgati - 1-22 Are Bitcoin and Gold a Safe Haven during COVID-19 and the 2022 Russia–Ukraine War?
by Ihsan Erdem Kayral & Ahmed Jeribi & Sahar Loukil - 1-22 Coupling the Empirical Wavelet and the Neural Network Methods in Order to Forecast Electricity Price
by Heni Boubaker & Nawres Bannour - 1-22 A Conceptual Model to Share Resources and Align Goals: Building Blockchain Application to Support Care Continuity Outside a Hospital
by Mohan R. Tanniru & Carson Woo & Kaushik Dutta - 1-23 Examining the Determinants of Credit Risk Management and Their Relationship with the Performance of Commercial Banks in Nepal
by Tribhuwan Kumar Bhatt & Naveed Ahmed & Muhammad Babar Iqbal & Mehfooz Ullah - 1-24 Equity Investment Decisions of Operating Firms: Evidence from Property and Liability Insurers
by Sunghan Bae & Andre P. Liebenberg & Ivonne A. Liebenberg - 1-25 Exploring the Effects of Municipal Land and Building Policies on Apartment Size in New Residential Construction in Sweden
by Sviatlana Engerstam & Abukar Warsame & Mats Wilhelmsson - 1-26 Contract Farming and Food Insecurity in an Open Competitive Economy: Growth, Distribution, and Government Policy
by Gouranga Das & Ranajoy Bhattacharyya & Sugata Marjit - 1-27 What’s Math Got to Do with It?: Establishing Nuanced Relations between Math Anxiety, Financial Anxiety, and Financial Literacy
by Andie Storozuk & Erin A. Maloney - 1-28 Measurement of Financial Competence—Designing a Complex Framework Model for a Complex Assessment Instrument
by Andreas Kraitzek & Manuel Förster - 1-38 Insights on Crypto Investors from a German Personal Finance Management App
by Fabian Nemeczek & Daniel Weiss
March 2023, Volume 16, Issue 3
- 1-10 New Evidence on the Information Content of Earnings Announcements for the Swiss Market
by Armin Bänziger & Alexander Pitthan & Thomas Gramespacher & Ursina Hüppin - 1-10 Influence of Underutilization of Production Capacities on the Dynamics of Russian GDP: An Assessment on the Basis of Production Functions
by Sergey Baranov & Tatiana Skufina & Vera Samarina - 1-10 The Effect of Proximity to Universities on House Prices after the COVID Outbreak
by Bingbing Wang - 1-10 Effect of Yield Spreads (State Bonds) on Economic Growth Performance in Indonesia
by Kristian Chandra & Wahyuni Rusliyana Sari & Dwi Yantik Sriwulan & Muhammad Raditya Adhimukti - 1-10 Financial Well-Being and Financial Capability among Low-Income Entrepreneurs
by Baorong Guo & Jin Huang - 1-12 The Audit Risk Assessment of European Small- and Mid-Size Enterprises
by Georgiana-Ioana Țîrcovnicu & Camelia-Daniela Hategan - 1-12 Circular Economy of Cultural Heritage—Possibility to Create a New Tourism Product through Adaptive Reuse
by Elena Rudan - 1-13 Monetary Policy Shocks and Input–Output Characteristics of Production Networks
by Petre Caraiani - 1-13 Combatting Environmental Crisis: Green Orientation in the Sri Lanka Navy
by Anuradha Iddagoda & Otilia Manta & Hiranya Dissanayake & Rohitha Abeysinghe & Dinoka Perera - 1-13 Evaluation of Internal Audit Standards as a Foundation for Carrying out and Promoting a Wide Variety of Value-Added Tasks-Evidence from Emerging Market
by Osama Samih Shaban & Abdallah Izzat Barakat - 1-13 Revisiting the Determinants of Consumption: A Bayesian Model Averaging Approach
by Pinar Deniz & Thanasis Stengos - 1-13 Carbon Tax and Tourism Employment: Is There An Interplay?
by Laura Juznik Rotar - 1-14 How Gender and Primary Language Influence the Acquisition of Economic Knowledge of Secondary School Students in the United States and Germany
by Roland Happ & Susanne Schmidt & Olga Zlatkin-Troitschanskaia & William Walstad - 1-14 Stock Portfolio Management by Using Fuzzy Ensemble Deep Reinforcement Learning Algorithm
by Zheng Hao & Haowei Zhang & Yipu Zhang - 1-14 Evaluating the Visual Metaphors of Financial Concepts through Content Analysis
by Awais Malik - 1-15 The Naive Estimator of a Poisson Regression Model with a Measurement Error
by Kentarou Wada & Takeshi Kurosawa - 1-15 The Impact of Uncertainty in Macroeconomic Variables on Stock Returns in the USA
by Leonardo Iania & Robbe Collage & Michiel Vereycken - 1-15 Capital Budgeting Practices: A Survey of Two Industries
by Jorge Mota & António Carrizo Moreira - 1-16 Participatory Governance as a Success Factor in Equity Crowdfunding Campaigns for Cultural Heritage
by Elena Borin & Giulia Fantini - 1-16 Exploration or Exploitation of a Neighborhood Destination: The Role of Social Media Content on the Perceived Value and Trust and Revisit Intention among World Cup Football Fans
by Emad Ahmed Helal & Thowayeb H. Hassan & Mostafa A. Abdelmoaty & Amany E. Salem & Mahmoud I. Saleh & Mohamed Y. Helal & Magdy Sayed Abuelnasr & Yasser Ahmed Mohamoud & Ahmed H. Abdou & Salaheldeen H. Radwan & Paul Szabo-Alexi - 1-17 An IFRS Decision Heuristic—A Model for Accounting for Credit Card Rewards Programme Transactions
by Sophia M. Brink & Gretha Steenkamp - 1-17 Camouflaged Compensation: Do South African Executives Increase Their Pay through Share Repurchases?
by Gretha Steenkamp & Nicolene Wesson & Eon v. d. M. Smit - 1-17 Data Valuation Model for Estimating Collateral Loans in Corporate Financial Transaction
by Hyongmook Cheong & Boyoung Kim & Ivan Ureta Vaquero - 1-17 Blockchain Technology in the Environmental Economics: A Service for a Holistic and Integrated Life Cycle Sustainability Assessment
by Sanja Tišma & Mira Mileusnić Škrtić - 1-18 Sustainability Reporting and Organisational Factors
by Ramona Zharfpeykan & Davood Askarany - 1-18 When Institutional Plates Collide: The Dynamic Impact of Informal Institutions on Capital Market Development
by Robert Lindorfer & Anne d’Arcy & Igor Filatotchev - 1-18 On Asymmetric Correlations and Their Applications in Financial Markets
by Linyu Cao & Ruili Sun & Tiefeng Ma & Conan Liu - 1-18 Emerging Market Default Risk Charge Model
by Angelo D. Joseph - 1-19 Determination and Quantification of Foreign Interest in Sports Using Selected Variables for the Support of Appraising Investments in Sports by Businesses and States
by Michal Varmus & Martin Mičiak & Milan Kubina & Adam Piatka & Marcel Stoják & Alexander Sýkora & Ivan Greguška - 1-19 Bank Credit and Trade Credit: The Case of Portuguese SMEs from 2010 to 2019
by António Pedro Soares Pinto & Carla Manuela Ribeiro Henriques & Carolina Esteves Oliveira da Silva Cardoso & Maria Elisabete Duarte Neves - 1-19 Term Premia in Norwegian Interest Rate Swaps
by Petter Eilif de Lange & Morten Risstad & Kristian Semmen & Sjur Westgaard - 1-19 The Effect of CDS Trading on Product Market Competition: Evidence from 10-K Filings
by Changjie Hu & Ming Liu & Weiyu Jiang - 1-20 Stability and Bifurcations in Banks and Small Enterprises—A Three-Dimensional Continuous-Time Dynamical System
by Marco Desogus & Beatrice Venturi - 1-20 Dynamic Relationship between Volatility Risk Premia of Stock and Oil Returns
by Nobuhiro Nakamura & Kazuhiko Ohashi & Daisuke Yokouchi - 1-20 Community Leadership at a Hindu Non-Profit Organization Leads to Outperforming in Indian Microfinance Market
by Arvind Ashta & Nadiya Parekh - 1-20 Systematic Contagion Effects of the Global Finance Crisis: Evidence from the World’s Largest Advanced and Emerging Equity Markets
by Dinesh Gajurel & Mardi Dungey - 1-20 Bayesian Statistics for Loan Default
by Allan W. Tham & Kazuhiko Kakamu & Shuangzhe Liu - 1-20 Two Types of Payments of Tax on Profit: Advanced Payments and at the End of Periods: Consideration within BFO Theory with Variable Profit
by Peter Brusov & Tatiana Filatova & Veniamin Kulik - 1-21 Challenges in Understanding Western Economic and Financial Concepts from the Perspective of Young Adults with a Post-Soviet Migration Background in Germany—Findings from a Qualitative Interview Study
by Sebastian Heidel & Roland Happ - 1-22 Dissecting the Explanatory Power of ESG Features on Equity Returns by Sector, Capitalization, and Year with Interpretable Machine Learning
by Jérémi Assael & Laurent Carlier & Damien Challet - 1-22 The Effect of Ethics in Business on Happiness, Aggressiveness and Inconsistency of Efforts and Rewards
by Saif Mahdi Muslim Al-Ameedee & Mahdi Moradi - 1-22 The Influence of Cash Ownership on Financial Performance: An Examination of Disruptors and Acquirers
by Rebecca Abraham & Venkata Mrudula Bhimavarapu & Zhi Tao & Shailesh Rastogi - 1-22 The Mechanism of Identification and Management of Risks Affecting the Process of Supporting Creativity Based on the Sample from the Slovak Academic Environment
by Dominika Tumová & Martin Mičiak - 1-23 Case Study: Impact of Regulatory Restrictions and Tax Policy on Breakeven Analysis and Risk Management
by James Henry Dunne & Peter Harris & Katherine Kinkela - 1-23 Pricing Multi-Asset Bermudan Commodity Options with Stochastic Volatility Using Neural Networks
by Kentaro Hoshisashi & Yuji Yamada - 1-25 The Impact of M&As on Shareholders’ Wealth: Evidence from Greece
by George Giannopoulos & Alexandra Lianou & Mahmoud Elmarzouky - 1-27 Organizational Risk Management and Performance from the Perspective of Fraud: A Comparative Study in Iraq, Iran, and Saudi Arabia
by Hussein Alkhyyoon & Mohammad Reza Abbaszadeh & Farzaneh Nassir Zadeh - 1-28 Identifying Financial Crises Using Machine Learning on Textual Data
by Mary Chen & Matthew DeHaven & Isabel Kitschelt & Seung Jung Lee & Martin J. Sicilian - 1-28 Time-Varying Relation between Oil Shocks and European Stock Market Returns
by César Castro & Rebeca Jiménez-Rodríguez & Renatas Kizys - 1-29 Closed-End Fund Discounts and Economic Policy Uncertainty
by Nazif Durmaz - 1-30 A Comprehensive Approach through Robust Regression and Gaussian/Mixed-Markov Graphical Models on the Example of Maritime Transportation Accidents: Evidence from a Listed-in-NYSE Shipping Company
by Vicky Zampeta & Gregory Chondrokoukis - 1-31 Determinants of FDI Stock in Some Central European Countries
by Popescu Liviu & Brostescu Simina & Sitnikov Catalina & Vasilescu Laura - 1-48 The Blue Bond Market: A Catalyst for Ocean and Water Financing
by Pieter Bosmans & Frederic de Mariz - 1-48 Assessing the Use of Gold as a Zero-Beta Asset in Empirical Asset Pricing: Application to the US Equity Market
by Muhammad Abdullah & Hussein A. Abdou & Christopher Godfrey & Ahmed A. Elamer & Yousry Ahmed - 1-49 The Split-Screen Approach for Project Appraisal (Part I: The Theory)
by Carlo Alberto Magni - 1-67 The Split-Screen Approach for Project Appraisal (Part II: Spreadsheet Modeling)
by Davide Baschieri & Carlo Alberto Magni
February 2023, Volume 16, Issue 3
- 1-14 A Study on the Barriers to Entrepreneurship in the UAE
by Jamal Mohammad Ibrahim Abdulla Alnassai - 1-14 Modelling of Loan Non-Payments with Count Distributions Arising from Non-Exponential Inter-Arrival Times
by Yeh-Ching Low & Seng-Huat Ong - 1-15 Venture Capitalists on Boards and Corporate Innovation
by Li Jing & Huiying Zhang - 1-15 Enablers for Growth of Cryptocurrencies: A Fuzzy–ISM Benchmarking
by Santosh Kumar & Sujit Kumar Patra & Ankit Kumar & Kamred Udham Singh & Sandeep Varshneya - 1-16 Factors Influencing the Success of Online Education during COVID-19: A Case Analysis of Odisha
by Barada Prasanna Mohapatra & Sudhansu Sekhar Nanda & Chetan V. Hiremath & Mahantesh Halagatti & Suresh Chandra Das & Anindita Das - 1-16 Syrian SMEs in Times of COVID-19 Pandemic: Challenges, Adaptation, and Policy Measures
by Bana Abdulmajid Akkad & Sulaiman Mouselli - 1-16 Geopolitical Risks and Yield Dynamics in the Australian Sovereign Bond Market
by Milan Christian De Wet - 1-17 Forecasting Methods of Key Ratios and Their Impact in Company’s Value
by Angelos Liapis & Stylianos Artsidakis & Christos Galanos - 1-17 Does Geopolitical Risk Matter for Sovereign Credit Risk? Fresh Evidence from Nonlinear Analysis
by Nader Naifar & Shumokh Aljarba - 1-17 Technology Shocks and the Efficiency of Equity Markets in the Developed and Emerging Economies: A Global VAR Approach
by Yinka S. Hammed & Afees A. Salisu