IJFS
2012 - 2025
Current editor(s): Ms. Hannah Lu From MDPI Bibliographic data for series maintained by MDPI Indexing Manager (). Access Statistics for this journal.
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Volume 13, issue 2, 2025
- The Impact of Bank Fintech on Corporate Short-Term Debt for Long-Term Use—Based on the Perspective of Financial Risk pp. 1-27

- Weiyu Wu and Xiaoyan Lin
- Does Ownership Structure Influence the Financial Performance of Chinese Listed Companies? An Analysis of ESG Practices and Accounting-Based Outcomes pp. 1-29

- Jiangshan Zhu, Rong Li, Zixuan Chen and Tiantian Zhang
- The Impact of Income Inequality on Energy Poverty in the European Union pp. 1-29

- Mihaela Simionescu
- Monte Carlo Simulations for Resolving Verifiability Paradoxes in Forecast Risk Management and Corporate Treasury Applications pp. 1-38

- Martin Pavlik and Grzegorz Michalski
- The Impact of Audit Quality and Corporate Governance on Financial Segment Disclosure in Egypt pp. 1-24

- Engy Elsayed Abdelhak and Khaled Hussainey
- Improving Financial Sustainability Through Effective Credit Risk Management and Human Talent Development in Microfinance Institutions pp. 1-31

- 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 and Lisette Paola Campos-Carpena
- A Tool for Detecting Neobanking Users pp. 1-18

- Aleksandra Amon and Timotej Jagrič
- A Study on Factors Influencing Continuous Usage Intention of Chatbot Services in South Korean Financial Institutions pp. 1-18

- Yeun-su Choi, Seung-zoon Lee and Jeongil Choi
- Do Financial Development and Exchange Rates Drive the Tourism–Growth Relationship? pp. 1-22

- Pat Obi, Kwaku Addae-Ankrah and Emmanuel Sarpong-Kumankoma
- Sustainability-Linked Bonds Research: A Bibliometric and Content Analysis Review pp. 1-22

- Clarisse Heck Machado, Miguel Sousa and Manuel Castelo Branco
- Research on the Reverse Technology Spillover Effect from China’s CVC Overseas Investments pp. 1-22

- Xiaoli Wang and Yi Tan
- Financial Policies and Corporate Income Tax Administration in Nigeria pp. 1-19

- Cordelia Onyinyechi Omodero and Joy Limaro Yado
- Behavioral Risk Management in Investment Strategies: Analyzing Investor Psychology pp. 1-19

- Jacob Odei Addo, Juraj Cúg, Solomon Abekah Keelson, John Amoah and Zora Petráková
- Analyzing Influence Factors of Consumers Switching Intentions from Cash Payments to Quick Response Code Indonesian Standard (QRIS) Digital Payments pp. 1-19

- Ahmad Alim Bachri, Mutia Maulida, Yuslena Sari and Sunardi Sunardi
- Spillovers Between Euronext Stock Indices: The COVID-19 Effect pp. 1-17

- Luana Carneiro, Luís Gomes, Cristina Lopes and Cláudia Pereira
- Financial Stability and Environmental Sentiment Among Millennials: A Cross-Cultural Analysis of Greece and The Netherlands pp. 1-21

- Michalis Skordoulis, Androniki Kavoura, Angelos-Stavros Stavropoulos, Alexandros Zikas and Petros Kalantonis
- Do Trade Frictions Distort the Purchasing Power Parity (PPP) Hypothesis? A Closer Look pp. 1-15

- Lumengo Bonga-Bonga
- The Impact of Uncertain Welfare Quality on Equity Market Performance pp. 1-15

- Tarek Eldomiaty, Islam Azzam, Hoda El Kolaly, Nermeen Youssef, Marwa Anwar Sedik and Rehab ElShahawy
- Modeling Factors Influencing Blockchain Adoption in Retail Banking: A DEMATEL-Based Approach pp. 1-20

- Michail D. Papagiannis, Panos T. Chountalas, Anastasios I. Magoutas and Thomas K. Dasaklis
- Exploring Complexity: A Bibliometric Analysis of Agent-Based Modeling in Finance and Banking pp. 1-37

- Ștefan Ionescu, Camelia Delcea, Ionuț Nica, Gabriel Dumitrescu, Claudiu-Emanuel Simion and Liviu-Adrian Cotfas
- Mining Frequent Sequences with Time Constraints from High-Frequency Data pp. 1-13

- Ewa Tusień, Alicja Kwaśniewska and Paweł Weichbroth
Volume 13, issue 1, 2025
- Effects of Financial Literacy and Financial Behavior on Financial Well-Being: Meta-Analytical Review of Experimental Studies pp. 1-20

- Phaktada Choowan, Hanvedes Daovisan and Charin Suwanwong
- Post-Prime Football Player Valuations: Depreciation Difference Between the English Premier League and the Top European Leagues pp. 1-20

- James Liu
- Drivers of Merger and Acquisition Activities in Vietnam: Insights from Targets’ Perspectives and Deal Characteristics pp. 1-20

- Khoa Bui, Tu Le and Thanh Ngo
- Examining the Impact of Environmental, Social, and Corporate Governance Factors on Long-Term Financial Stability of the European Financial Institutions: Dynamic Panel Data Models with Fixed Effects pp. 1-20

- Georgia Zournatzidou, Konstantina Ragazou, George Sklavos and Nikolaos Sariannidis
- The Interplay of Financial Safety Nets, Long-Term Goals, and Saving Habits: A Moderated Mediation Study pp. 1-20

- Congrong Ouyang, Mindy Joseph, Yu Zhang and Khurram Naveed
- The Impact of Inflation on the U.S. Stock Market After the COVID-19 Pandemic pp. 1-20

- Willem Thorbecke
- Towards Economic Sustainability: A Comprehensive Review of Artificial Intelligence and Machine Learning Techniques in Improving the Accuracy of Stock Market Movements pp. 1-36

- Atoosa Rezaei, Iheb Abdellatif and Amjad Umar
- Cryptocurrency Taxation: A Bibliometric Analysis and Emerging Trends pp. 1-36

- Georgiana-Iulia Lazea, Maria-Roxana Balea-Stanciu, Ovidiu-Constantin Bunget, Anca-Diana Sumănaru and Ana-Maria Georgiana Coraș
- Forecasting Financial Literacy Levels with Respect to Consumer Shopping Behaviour pp. 1-33

- Eva Kicova, Lucia Svabova, Olga Ponisciakova and Zuzana Rosnerova
- Tax Compliance Pattern Analysis: A Survey-Based Approach pp. 1-19

- Marius-Răzvan Surugiu, Valentina Vasile, Camelia Surugiu, Cristina Raluca Mazilescu, Mirela-Clementina Panait and Elena Bunduchi
- Financial Markets Effect on Cryptocurrency Volatility: Pre- and Post-Future Exchanges Collapse Period in USA and Japan pp. 1-19

- Faizah Alsulami and Ali Raza
- Exploring the Roles of IPOs and Main Bank Relationships on Debt Maturity: The Case of Japan pp. 1-19

- Jieting Chen and Jinbin Fan
- Economic Growth in Rural Areas, Resource Agglomeration, and Stock Market Performance: Evidence from China pp. 1-19

- Guojing Geng
- Digital Financial Inclusion and Economic Growth: The Moderating Role of Institutions in SADC Countries pp. 1-19

- Christelle Meniago
- Pricing the Audit Risk of Innovation: Intangibles and Patents pp. 1-19

- Daqun Zhang, Donald R. Deis and Hsiao-Tang Hsu
- The Effects of Financial Knowledge, Skill, and Self-Assessed Knowledge on Financial Well-Being, Behavior, and Objective Situation pp. 1-19

- Nathan Phelps and Adam Metzler
- Capital Structure Decisions in Swedish Biotechnology Firms: The Role of Intellectual Capital and Innovation Activities pp. 1-16

- Kritthana Kimuam, Björn Berggren and Ida Ayu Agung Faradynawati
- Macroeconomic Determinants of Effective Corporate Tax Rates: The Case of the Slovak Republic pp. 1-17

- Alena Andrejovská and Jozef Glova
- Financial Literacy and Credit Card Payoff Behaviors: Using Generalized Ordered Logit and Partial Proportional Odds Models to Measure American Credit Card Holders’ Likelihood of Repaying Their Credit Cards pp. 1-17

- Christos I. Giannikos and Efstathia D. Korkou
- Financial Bootstrapping: A Case of Women Entrepreneurs in Context of Digital Economy pp. 1-21

- Saeed Alhammadi and Syed Abidur Rahman
- Hard to Borrow vs. Easy to Borrow: Insights from Japan’s Centralized Lendable Stock Market pp. 1-14

- Mostafa Saidur Rahim Khan
- Uncertainty, Risk, and Opaque Stock Markets pp. 1-32

- José Gabriel Astaíza-Gómez
- Determinants of Debt Financing Behavior of Unlisted Moroccan Family SMEs: A Panel Data Analysis pp. 1-31

- Zouhair Boumlik, Badia Oulhadj and Olivier Colot
- A Real Option Approach to the Valuation of the Default Risk of Residential Mortgages pp. 1-25

- Angela C. De Luna López, Prosper Lamothe-López, Walter L. De Luna Butz and Prosper Lamothe-Fernández
- Multi-Objective Portfolio Optimization: An Application of the Non-Dominated Sorting Genetic Algorithm III pp. 1-18

- John Weirstrass Muteba Mwamba, Leon Mishindo Mbucici and Jules Clement Mba
- The Varying Impact of Cryptocurrency Investments on a Company’s Liquidity in Korean Companies pp. 1-18

- Namryoung Lee
- AI in Banking: What Drives Generation Z to Adopt AI-Enabled Voice Assistants in Saudi Arabia? pp. 1-18

- Rotana S. Alkadi and Salma S. Abed
- Robust Portfolio Selection Under Model Ambiguity Using Deep Learning pp. 1-18

- Sadegh Miri, Erfan Salavati and Mostafa Shamsi
- The Impact of CEO Narcissism on Corporate Financialization pp. 1-18

- Linan Wang, Rixin Li and Ruotong Zhao
- Do Financial Market Openness and Stock Market Returns Drive Economic Growth in GCC Countries? New Investigation from Panel Structural Breaks pp. 1-18

- Hichem Saidi, Houssem Rachdi, Abdelaziz Hakimi and Khalil Alnabulsi
- Digital Transformation and the Quality of Accounting Information Systems in the Public Sector: Evidence from Developing Countries pp. 1-22

- Arafat Hamdy, Ahmed Diab and Aref M. Eissa
- How Foreign and Domestic Ownership Influenced Risk-Taking in GCC Banks pp. 1-22

- Abdullah Aldousari, Ahmed Mohammed and Sarah Lindop
- Strategic Impacts of RSUs on Company Performance: Insights into EPS and Profitability Growth pp. 1-22

- Won (Albert) Park, Elena Sernova and Cheong-Yeul Park
- Factors Influencing FinTech Adoption Among Bank Customers in Palestine: An Extended Technology Acceptance Model Approach pp. 1-30

- Jamal Hurani and Mohammed Kayed Abdel-Haq
- Interplay of Alternative Energy Sub-Sectors, Oil Prices, and Oil Volatility: Exploring Simultaneous Relationships pp. 1-30

- Minh Thi Hong Dinh
- Navigating Uncertainty in an Emerging Market: Data-Centric Portfolio Strategies and Systemic Risk Assessment in the Johannesburg Stock Exchange pp. 1-30

- John W. M. Mwamba, Jules C. Mba and Anaclet K. Kitenge
- Profitability, Efficiency, and Market Structure in the Meat and Milk Processing Industry: Evidence from Central Europe pp. 1-30

- Zdeňka Žáková Kroupová and Gabriela Trnková
- How Has the Renminbi’s Role in Non-USD Currency Markets Evolved After COVID-19? An Analysis Based on Spillover Effects pp. 1-27

- Changrong Lu, Fandi Yu, Jiaxiang Li, Guanghong Zheng and Lian Liu
- Debt Capital and Dividend Policy as Complementary Indicators of Firm Valuation pp. 1-26

- Okechukwu Enyeribe Njoku and Younghwan Lee
- Macroeconomic Conditions, Speculation, and Commodity Futures Returns pp. 1-26

- Ramesh Adhikari and Kyle J. Putnam
- The Impact of Artificial Intelligence Adoption on the Quality of Financial Reports on the Saudi Stock Exchange pp. 1-38

- Abdulkarim Hamdan J. Alhazmi, Sardar M. N. Islam and Maria Prokofieva
- Impact of Indices on Stock Price Volatility of BRICS Countries During Crises: Comparative Study pp. 1-41

- Nursel Selver Ruzgar
- Digital Financial Inclusion and Inclusive Green Growth: Evidence from China’s Green Growth Initiatives pp. 1-24

- Ruixin Peng and Bing Zeng
- Disclosure of Sustainability Information Under the Corporate Social Responsibility Directive: The Degree of Compliance of Portuguese Stock Index Companies pp. 1-24

- Graça Azevedo, Jonas Oliveira, Ivone Sousa, Maria Fátima Borges, Maria C. Tavares and José Vale
- Modeling a Sustainable Decision Support System for Banking Environments Using Rough Sets: A Case Study of the Egyptian Arab Land Bank pp. 1-24

- Mohamed A. Elnagar, Jaber Abdel Aty, Abdelghafar M. Elhady and Samaa M. Shohieb
- Towards Common Prosperity: Accelerated Depreciation Policy of Fixed Assets and Labor Income Share pp. 1-24

- Ying Yang and Bing Zeng
- Do Short Sales Reduce Post-Shock Anomalies in Stock Prices? Evidence from the Chinese Stock Market pp. 1-24

- Haojun Chen
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