| 
IJFS2012 - 2025
 Current editor(s): Ms. Hannah Lu From MDPIBibliographic data for series maintained by MDPI Indexing Manager ().
 Access Statistics for this journal.
Is something missing from the series or not right? See the RePEc data check for the archive and series.
 
 Volume 11, issue 4, 2023
 
  Do MD&A Risk Disclosures Reduce Stock Price Crash Risk? Evidence from China   pp. 1-24 Fei Su, Lili Zhai and Jianmei LiuEvaluation of Factors Contributing to the Effectiveness of Internal Audit Quality in Pakistani Commercial Banks   pp. 1-15 Madiha AfzalThe Impact of Monetary Policy on the U.S. Stock Market since the COVID-19 Pandemic   pp. 1-15 Willem ThorbeckeEntrepreneurship Dynamics: Assessing the Role of Macroeconomic Variables on New Business Density in Euro Area   pp. 1-15 Lenka Vyrostková and Jaroslava KádárováDynamic Stability of Public Debt: Evidence from the Eurozone Countries   pp. 1-15 Epameinondas Katsikas, Nikiforos Laopodis and Konstantinos SpanosExtreme Value Theory Modelling of the Behaviour of Johannesburg Stock Exchange Financial Market Data   pp. 1-27 Maashele Kholofelo Metwane and Daniel MaposaResearch on Pricing Methods of Convertible Bonds Based on Deep Learning GAN Models   pp. 1-27 Gui Ren and Tao MengThe Impact of Lending Relationships on the Lead Arrangers’ Retained Share   pp. 1-23 Alemu Tulu ChalaImplementing Toll Road Infrastructure Financing in Indonesia: Critical Success Factors from the Perspective of Toll Road Companies   pp. 1-23 Muhammad Fauzan, Heri Kuswanto and Christiono UtomoThe Impact of Professionalism Theory Constructs on the Applicability of Forensic Accounting Services: Evidence from Jordan   pp. 1-23 Razan Nayef Almashaqbeh, Hashem Alshurafat and Hamzeh Al AmoshThe Differential Effects of Internal Control Teams on Investment Decision Making Based on Industry Competition   pp. 1-10 Hyunjung ChoiCausal Relationships between Oil Prices and Key Macroeconomic Variables in India   pp. 1-10 Kamal Upadhyaya, Raja Nag and Franklin MixonA Bibliometric Analysis of the FinTech Agility Literature: Evolution and Review   pp. 1-32 Abdelkebir Sahid, Yassine Maleh, Shahram Atashi Asemanjerdi and Pedro Antonio Martin-CervantesFactor Sufficiency in Asset Pricing: An Application for the Brazilian Market   pp. 1-31 Rafaela Dezidério dos Santos Rocha and Márcio LauriniA Component Expected Shortfall Approach to Systemic Risk: An Application in the South African Financial Industry   pp. 1-14 Mathias Mandla Manguzvane and Sibusiso Blessing NgobeseClimate Change Risks Disclosure: Do Business Strategy and Management Characteristics Matter?   pp. 1-14 Mahfod M. Aldoseri and Maged M. AlbazInformation Sources for Investment Decisions: Evidence from Japanese Investors   pp. 1-18 Sumeet Lal, Abdul-Salam Sulemana, Trinh Xuan Thi Nguyen, Mostafa Saidur Rahim Khan and Yoshihiko KadoyaBehavioral Biases and Investment Decisions of SMEs Managers: Empirical Analysis within the Moroccan Context   pp. 1-18 Khaoula Benayad and Mohammed Rachid AasriMachine Learning to Forecast Financial Bubbles in Stock Markets: Evidence from Vietnam   pp. 1-18 Kim Long Tran, Hoang Anh Le, Cap Phu Lieu and Duc Trung NguyenCorporate Digital Transformation and M&A Efficiency: Evidence Based on Chinese Listed Companies   pp. 1-18 Gui Ren, Zhenxian Huo, Jingjing Wang and Xihe LiuDoes Family Ownership Moderate the Relationship between Board Diversity and the Financial Performance of Saudi-Listed Firms   pp. 1-20 Ayman Hassan Bazhair and Hamid Ghazi H SulimanyCultural Influence on Corporate Sustainability: A Board of Directors Perspective   pp. 1-20 Diana Escandon-Barbosa, Jairo Salas-Paramo and José Luis DuqueBlockholdings, Dividend Policy, Stock Returns and Return Volatility: Evidence from the UAE   pp. 1-13 Umar Butt and Trevor William ChamberlainThe Impact of Family Ownership on Capital Structure and Business Performance   pp. 1-17 Lenka StryckovaAssessing the Performance and Risk-Adjusted Returns of Financial Mutual Funds   pp. 1-17 Davinder K. Malhotra, Tim Mooney, Raymond Poteau and Philip RusselLarge-Scale Portfolio Optimization Using Biogeography-Based Optimization   pp. 1-16 Wendy Wijaya and Kuntjoro Adji SidartoInfluence of Transparency and Disclosures on the Dividend Distribution Decisions in the Firms: Do Profitability and Efficiency of Firms Matter?   pp. 1-16 Shailesh Rastogi, Geetanjali Pinto, Amit Kumar Pathak, Satyendra Pratap Singh, Arpita Sharma, Souvik Banerjee, Jagjeevan Kanoujiya and Pracheta TejasmayeeDoes Economic Policy Uncertainty Explain Exchange Rate Movements in the Economic Community of West African States (ECOWAS): A Panel ARDL Approach   pp. 1-22 Maud Korley and Evangelos GiouvrisAudit Expectation Gap in the External Audit of Banks in Mozambique   pp. 1-22 Osvaldo Massicame, Helena Coelho Inácio and Maria Anunciação BastosStudying Differing Impacts of Various Monetary Aggregates on the Real Economy   pp. 1-22 Romeo Victor Ionescu, Costinela Fortea, Monica Laura Zlati and Valentin Marian AntohiEconomic Disruptions in Repayment of Peer Loans   pp. 1-29 David Maloney, Sung-Chul Hong and Barin NagAn Empirical Analysis of the Dynamics Influencing Bank Capital Structure in Africa   pp. 1-21 Ayodeji Michael Obadire, Vusani Moyo and Ntungufhadzeni Freddy MunzheleleUnveiling the Dynamics of Financial Institutions and Markets in Shaping Economic Prosperity in MENA   pp. 1-21 Ali ShaddadyBond Issuance as Reputational Signal: Debunking the Negative Perception of Additional Liability   pp. 1-19 Dachen Sheng and Heather A. MontgomeryImpact of Motivational Workshop on Financial Inclusion of Rural People in Bangladesh: Evidence from Randomized Controlled Trial   pp. 1-19 Md Monzur Morshed and Keshav MaharjanDigital Credit and Its Determinants: A Global Perspective   pp. 1-12 Tu D. Q. Le, Thanh Ngo and Dat T. Nguyen Volume 11, issue 3, 2023
 
  Enhancing Financial Fraud Detection through Addressing Class Imbalance Using Hybrid SMOTE-GAN Techniques   pp. 1-17 Patience Chew Yee Cheah, Yue Yang and Boon Giin LeeImpact of Liquidity and Investors Sentiment on Herd Behavior in Cryptocurrency Market   pp. 1-17 Siniša Bogdan, Natali Brmalj and Elvis MujačevićThe Effect of Capital Structure on Firm Value: A Study of Companies Listed on the Vietnamese Stock Market   pp. 1-20 Thi Ngoc Bui, Xuan Hung Nguyen and Kieu Trang PhamWhat Influenced Hanoi’s Apartment Price Bubble between 2010 and 2021?   pp. 1-20 Phuong Lan Le, Anh Tuan Do and Anh Ngoc PhamOpening a New Era with Machine Learning in Financial Services? Forecasting Corporate Credit Ratings Based on Annual Financial Statements   pp. 1-20 Mustafa Pamuk and Matthias SchumannSentiments Extracted from News and Stock Market Reactions in Vietnam   pp. 1-16 Loan Thi Vu, Dong Ngoc Pham, Hang Thu Kieu and Thuy Thi Thanh PhamNexus of Financing Constraints and Supply Chain Finance: Evidence from Listed SMEs in China   pp. 1-16 Sin-Huei Ng, Yunze Yang, Chin-Chong Lee and Chui-Zi OngA Systematic Bibliometric Analysis of the Real Estate Bubble Phenomenon: A Comprehensive Review of the Literature from 2007 to 2022   pp. 1-16 José-Francisco Vergara-PerucichHidden Ownership and Firm Performance: Evidence from Thailand’s Initial Public Offering Firms   pp. 1-16 Natthawut Wangwan and Arnat LeemakdejThe Effects of Internal Governance Factors on Lending Portfolio Composition in Islamic Banks   pp. 1-16 Nizar Yousef Ahmed Naim and Nora Azureen Abdul RahmanDo Share Repurchases Crowd Out Internal Investment in South Africa?   pp. 1-16 Gretha Steenkamp and Nicolene WessonThe Impact of Artificial Intelligence Disclosure on Financial Performance   pp. 1-25 Fadi Shehab Shiyyab, Abdallah Bader Alzoubi, Qais Mohammad Obidat and Hashem AlshurafatThe Sustainability of Investing in Cryptocurrencies: A Bibliometric Analysis of Research Trends   pp. 1-25 Mohammad Alqudah, Luis Ferruz, Emilio Martín, Hanan Qudah and Firas HamdanUncovering the Effect of News Signals on Daily Stock Market Performance: An Econometric Analysis   pp. 1-25 Shahid Raza, Sun Baiqing, Pwint Kay-Khine and M. Ali KemalBibliometric Review of Participatory Budgeting: Current Status and Future Research Agenda   pp. 1-14 Miloš Milosavljević, Željko Spasenić and Jovan KrivokapićA Review of the Implementation of Financial Technology (Fintech) in the Indonesian Agricultural Sector: Issues, Access, and Challenges   pp. 1-14 Fathi Rufaidah, Tuti Karyani, Eliana Wulandari and Iwan SetiawanMicrofinance, an Alternative for Financing Entrepreneurship: Implications and Trends-Bibliometric Analysis   pp. 1-14 Katherine Coronel-Pangol, Doménica Heras-Tigre, Jonnathan Jiménez Yumbla, Juan Aguirre Quezada and Pedro MoraBuilding Trust in Fintech: An Analysis of Ethical and Privacy Considerations in the Intersection of Big Data, AI, and Customer Trust   pp. 1-18 Hassan H. H. Aldboush and Marah FerdousEffects of Contract Governance on the Relation of Partnership Critical Success Factors and the Performance of Malaysia Public-Private Partnership Initiatives   pp. 1-27 Azlan Shah Abdul Latif, Noor Azman Ali, Zahira Ishan, Nor Siah Jaharuddin, Rohail Hassan and Adibah Abdul LatifMarket Reaction to Corporate Releases and News Articles: Evidence from Thailand’s Stock Market   pp. 1-27 Likittanawong Supawat and Leemakdej ArnatAssessing the Effective Use of State Property: Accounting and Analytical Support and Analysis Methodology   pp. 1-15 Elena A. Fedchenko, Andrey V. Nikiforov, Lyubov V. Gusarova, Lyudmila M. Tsareva and Alexey A. MaximovThe Role of Social Banking in the Success and Sustainable Business Continuity of SSMEs   pp. 1-15 Eirini Stavropoulou, Konstantinos Spinthiropoulos, Alexandros Garefalakis, Konstantina Ragazou and Fragkiskos GonidakisCan Digital Financial Inclusion Promote Women’s Labor Force Participation? Microlevel Evidence from Africa   pp. 1-15 Imane Elouardighi and Kenza OubejjaThe Changing Landscape of Financial Credit Risk Models   pp. 1-15 Tanja Verster and Erika FourieGreen Electronic Auditing and Accounting Information Reliability in the Jordanian Social Security Corporation: The Mediating Role of Cloud Computing   pp. 1-19 Ali Mahmoud AlrabeiThe Market’s View on Accounting Classifications for Asset Securitizations   pp. 1-19 Minkwan AhnThe Retained Earnings Effect on the Firm’s Market Value: Evidence from Jordan   pp. 1-11 Firas N. Dahmash, Hashem Alshurafat, Raed Hendawi, Abdallah Bader Alzoubi and Hamzeh Al AmoshDisclosure of Key Audit Matters: European Listed Companies’ Evidence on Related Parties Transactions   pp. 1-12 Lioara-Veronica Pasc and Camelia-Daniela HateganBibliometric Review of Blended Finance and Partial Risk Guarantee: Establishing Needs and Advantages   pp. 1-21 Kamakshi Sharma, Tusharika Mahna, Sonali Jain, Sanjay Dhir, Neeta Rao, Achin Biyani, Himanshu Sikka, Rishit Yadav, Sidharth Dua and Archish GuptaUnveiling Market Connectedness: Dynamic Returns Spillovers in Asian Emerging Stock Markets   pp. 1-21 Maaz Khan, Mrestyal Khan, Umar Nawaz Kayani, Khurrum Shahzad Mughal and Roohi MumtazModeling Supply Chain Firms’ Stock Prices in the Fertilizer Industry through Innovative Cryptocurrency Market Big Data   pp. 1-22 Damianos P. Sakas, Nikolaos T. Giannakopoulos, Markos Margaritis and Nikos KanellosBoard Compensation in Financial Sectors: A Systematic Review of Twenty-Four Years of Research   pp. 1-22 Saleh F. A. Khatib, Hamzeh Al Amosh and Husam AnanzehForecasting Stock Market Prices Using Machine Learning and Deep Learning Models: A Systematic Review, Performance Analysis and Discussion of Implications   pp. 1-22 Gaurang Sonkavde, Deepak Sudhakar Dharrao, Anupkumar M. Bongale, Sarika T. Deokate, Deepak Doreswamy and Subraya Krishna BhatThe Dynamic Return and Volatility Spillovers among Size-Based Stock Portfolios in the Saudi Market and Their Portfolio Management Implications during Different Crises   pp. 1-30 Nassar S. Al-Nassar Volume 11, issue 2, 2023
 
  The Moderating Role of Online Social Media in the Relationship between Corporate Social Responsibility Disclosure and Investment Decisions: Evidence from Egypt   pp. 1-26 Ahmed Abdel Magid, Khaled Hussainey, Javier  De Andrés and Pedro LorcaManagement’s Discretionary Assessments of Goodwill Impairments—Evidence from STOXX Europe 600   pp. 1-26 Frode Kjærland, Kristian Forbord, Are Oust and Håkon StephaniNegative Interest Rates and Its Impact on GDP, FDI and Banks’ Financial Performance: The Cases of Switzerland and Sweden   pp. 1-23 Petr Wawrosz and Semen TrakselEquity-Market-Neutral Strategy Portfolio Construction Using LSTM-Based Stock Prediction and Selection: An Application to S&P500 Consumer Staples Stocks   pp. 1-48 Abdellilah Nafia, Abdellah Yousfi and Abdellah EchaouiValuing Exchange Options under an Ornstein-Uhlenbeck Covariance Model   pp. 1-24 Enrique Villamor and Pablo OlivaresMultiple Blockholders and Firm Value: A Simulation Analysis   pp. 1-15 Annalisa RussinoA Bibliometric Analysis of Fintech Trends: An Empirical Investigation   pp. 1-15 Girish Garg, Mohd Shamshad, Nikita Gauhar, Mosab I. Tabash, Basem Hamouri and Linda Nalini DanielPortfolio Optimization Using Minimum Spanning Tree Model in the Moroccan Stock Exchange Market   pp. 1-20 Younes Berouaga, Cherif El Msiyah and Jaouad MadkourDurable Consumption-Based Asset Pricing Model with Foreign Factors for the Korean Stock Market   pp. 1-20 Cheol-Keun Cho and Bosung JangThe Effect of Female Directors on ESG Practice: Evidence from China   pp. 1-20 Hongyu Peng and Tirapot ChandarasupsangA Decade of Cryptocurrency Investment Literature: A Cluster-Based Systematic Analysis   pp. 1-20 José Almeida and Tiago GonçalvesReaction of US and Chinese Stock Markets to COVID-19 News   pp. 1-13 Hock-Ann Lee, Venus Liew, Mohd Fahmi Ghazali and Samina RiazFactors Influencing Accounting Outsourcing Using the Transaction Cost Economics Model   pp. 1-17 Ivana Tomašević, Sandra Đurović, Nikola Abramović, Lidija Weis and Viktor KovalNon-Performing Loans and Net Interest Margin in the MENA Region: Linear and Non-Linear Analyses   pp. 1-17 Khalil Alnabulsi, Emira Kozarević and Abdelaziz HakimiWinner Strategies in a Simulated Stock Market   pp. 1-17 Ali Taherizadeh and Shiva ZamaniPolitical Uncertainty and Initial Public Offerings: A Literature Review   pp. 1-17 Purvi Jhawar and Jayanta Kumar SealRestaurants’ Solvency in Portugal during COVID-19   pp. 1-16 Conceição Gomes, Filipa Campos, Cátia Malheiros and Luís Lima SantosModelling Systemic Risk in Morocco’s Banking System   pp. 1-16 Ayoub Kyoud, Cherif El Msiyah and Jaouad MadkourLines of Credit and Family Firms: The Case of an Emerging Market   pp. 1-16 Ghada Tayem and Mohammad TayehThe Interplay of Formal Institutional and Cultural Distances and the Financial Performance of Foreign Subsidiaries in Latin America   pp. 1-18 Henrique Correa da Cunha, Mohamed Amal, Svante Andersson, Dinora Eliete Floriani and Carlyle FarrellInternal Control Managers’ Accounting Experiences on Audit Quality—Focus on ESG   pp. 1-14 Suyon KimThe Determinants of Capital Adequacy in the Jordanian Banking Sector: An Autoregressive Distributed Lag-Bound Testing Approach   pp. 1-22 Ahmad Mohammad Obeid GharaibehPre- and Post-COVID-19: The Impact of US, UK, and European Stock Markets on ASEAN-5 Stock Markets   pp. 1-21 Izaan Jamil, Mori Kogid, Thien Sang Lim and Jaratin LilyIslamic Finance in the Era of Financial Technology: A Bibliometric Review of Future Trends   pp. 1-29 Hanan Qudah, Sari Malahim, Rula Airout, Mohammad Alomari, Aiman Abu Hamour and Mohammad AlqudahOverreaction in a Frontier Market: Evidence from the Ho Chi Minh Stock Exchange   pp. 1-12 Loc Dong Truong, Giang Ngan Cao, H. Swint Friday and Nhien Tuyet DoanQualitative Analysis of IAS 2 Capability for Handling the Financial Information Generated by Cost Techniques   pp. 1-12 Amer Morshed and Abdulhadi RamadanThe Effect of Financial Policies Implemented during COVID-19 on Bank Credit in the Central American Region   pp. 1-19 Daniel Ventosa-Santaulària, Arnoldo Marmolejo and Luis AlvaradoImpacts of U.S. Stock Market Crash on South African Top Sector Indices, Volatility, and Market Linkages: Evidence of Copula-Based BEKK-GARCH Models   pp. 1-19 Benjamin Mudiangombe Mudiangombe and John Weirstrass Muteba MwambaAn Exploration of Overconfidence and the Disposition Effect in the Stock Market   pp. 1-19 Benomar Ikram, Ben El Haj Fouad and Chelh Sara Volume 11, issue 1, 2022
 
  The Impact of Sustainability Practices on Share Performance with Mediation of Board Members Experience: A Study on Malaysian Listed Companies   pp. 1-22 Uzair Bhatti and Noralfishah SulaimanDo Financial Crises Matter for Nonlinear Exchange Rate and Stock Market Cointegration? A Heterogeneous Nonlinear Panel Data Model with PMG Approach   pp. 1-22 Mosab I. Tabash, Umaid A. Sheikh, Ali Matar, Adel Ahmed and Dang Khoa TranStock Movement Prediction Using Machine Learning Based on Technical Indicators and Google Trend Searches in Thailand   pp. 1-21 Kittipob Saetia and Jiraphat YokrattanasakValue Relevance of Board Attributes: The Mediating Role of Key Audit Matter   pp. 1-21 Romlah Jaffar, Nor Asyiqin Abu, Mohamat Sabri Hassan and Mohd Mohid RahmatInformation Technology Governance and Bank Performance: A Situational Approach   pp. 1-21 Basheer Ahmad KhameesAnomalies and Investor Sentiment: International Evidence and the Impact of Size Factor   pp. 1-21 Bayram Veli Salur and Cumhur EkinciUncertainty Shocks and Corporate Borrowing Constraints   pp. 1-35 Ahmed Kamara and Niraj P. KoiralaThe Adaptive Dynamics of the Halloween Effect: Evidence from a 120-Year Sample from a Small European Market   pp. 1-11 Júlio Lobão and Ana C. CostaWhat Makes Farmers Record Farm Financial Transactions? Empirical Evidence from Potato Farmers in Indonesia   pp. 1-11 Eliana Wulandari, Tuti Karyani, Ernah and Raden Trizaldi Prima AlamsyahSolving Constrained Mean-Variance Portfolio Optimization Problems Using Spiral Optimization Algorithm   pp. 1-12 Werry Febrianti, Kuntjoro Adji Sidarto and Novriana SumartiFinancial Market Participation and Retirement Age of the UK Population   pp. 1-12 M. Carmen Boado-Penas, Juan M. Nave and David ToscanoThe Efficiency of Indonesian Pension Funds: A Two-Stage Additive Network DEA Approach   pp. 1-19 Paskalis Seran, Usil Sis Sucahyo, Apriani Dorkas Rambu Atahau and Supramono SupramonoHow Do Stock Market Development and Competitiveness Affect Equity Risk Premium? Implications from World Economies   pp. 1-19 Tarek Eldomiaty, Marina Apaydin, Mona Yusuf and Mohamed RashwanThe Effects of Service Quality Performance on Customer Satisfaction for Non-Banking Financial Institutions in an Emerging Economy   pp. 1-19 Cheng-Kun Wang, Mohammad Masukujjaman, Syed Shah Alam, Ismail Ahmad, Chieh-Yu Lin and Yi-Hui HoThe Empirical Explanatory Power of CAPM and the Fama and French Three-Five Factor Models in the Moroccan Stock Exchange   pp. 1-19 Asmâa Alaoui Taib and Safae BenfeddoulAcknowledgment to the Reviewers of International Journal of Financial Studies in 2022   pp. 1-4 International Journal of Financial Studies Editorial OfficeAnalyzing the Relationship between the Features of Direct Real Estate Assets and Their Corresponding Australian—REITs   pp. 1-15 Xinyi Li, Yuhong Zhang, Xing Zhang and Runtang GuNexus between Macroeconomic Factors and Corporate Investment: Empirical Evidence from GCC Markets   pp. 1-15 Umar Farooq, Mosab I. Tabash, Basem Hamouri, Linda Nalini Daniel and Samir K. SafiGALSTM-FDP: A Time-Series Modeling Approach Using Hybrid GA and LSTM for Financial Distress Prediction   pp. 1-15 Amal Al Ali, Ahmed M. Khedr, Magdi El Bannany and Sakeena KanakkayilA Combined AHP-PROMETHEE Approach for Portfolio Performance Comparison   pp. 1-15 Mirza Sikalo, Almira Arnaut-Berilo and Adela DelalicDo CEO Attributes Spur Conservatism?   pp. 1-15 Rawan Atwa, Safaa Alsmadi, Buthiena Kharabsheh and Ruwaidah HaddadPricing Multidimensional American Options   pp. 1-10 Elettra Agliardi and Rossella AgliardiInvestor Sentiment Index: A Systematic Review   pp. 1-27 Sourav Prasad, Sabyasachi Mohapatra, Molla Ramizur Rahman and Amit PuniyaniAdoption Factors of FinTech: Evidence from an Emerging Economy Country-Wide Representative Sample   pp. 1-27 Khaled Mahmud, Md. Mahbubul Alam Joarder and Kazi Muheymin-Us-SakibRetirement Income and Financial Market Participation in New Zealand   pp. 1-23 Xiaobo Xu, Martin Young, Liping Zou and Jiali FangThe Impact of Financial Derivatives on the Enterprise Value of Chinese Listed Companies: Moderating Effects of Managerial Characteristics   pp. 1-18 Ao Yang, Wenqi Li, Brian Sheng Xian Teo and Jaizah OthmanThe Other Side of the “League of Stars”: Analysis of the Financial Situation of Spanish Football   pp. 1-18 Rudemarlyn Urdaneta-Camacho, Juan Carlos Guevara-Pérez, Emilio Martín Vallespín and Néstor Le ClechDo Technological Innovation and Financial Development Affect Inequality? Evidence from BRICS Countries   pp. 1-18 Mduduzi Biyase, Talent Zwane, Precious Mncayi and Mokgadi MalekaPricing Ability of Carhart Four-Factor and Fama–French Three-Factor Models: Empirical Evidence from Morocco   pp. 1-14 Mimoun Benali, Karima Lahboub and Abdelhamid El BouhadiEfficiency of the Islamic Banking Sector: Evidence from Two-Stage DEA Double Frontiers Analysis   pp. 1-14 Xuan Thi Thanh Mai, Ha Thi Nhu Nguyen, Thanh Ngo, Tu D. Q. Le and Lien Phuong NguyenRenminbi Internationalization Process: A Quantitative Literature Review   pp. 1-25 Ramona Orăștean and Silvia Cristina MărgineanBehavior of Banks’ Stock Market Prices during Long-Term Crises   pp. 1-25 Nursel Selver Ruzgar and Clare Chua-ChowFama–French–Carhart Factor-Based Premiums in the US REIT Market: A Risk Based Explanation, and the Impact of Financial Distress and Liquidity Crisis from 2001 to 2020   pp. 1-39 Mohammad Sharik Essa and Evangelos GiouvrisNonprofits and C Corporations: Performance Comparison   pp. 1-39 Robert Martin HullDeterminants of the Cost of Financial Intermediation: Evidence from Emerging Economies   pp. 1-32 Mohammed Mizanur Rahman, Mahfuzur Rahman and Md. Abdul Kaium MasudUsing Deep Reinforcement Learning with Hierarchical Risk Parity for Portfolio Optimization   pp. 1-16 Adrian Millea and Abbas EdalatWill Gold Prices Persist Post Pandemic Period? An Econometric Evidence   pp. 1-16 Sumathi Kumaraswamy, Yomna Abdulla and Shrikant Krupasindhu PanigrahiSustainability Initiatives, Knowledge-Intensive Innovators, and Firms’ Performance: An Empirical Examination   pp. 1-16 Rajesh Kumar BhaskaranThe Role of Liquidity Creation in Managing the COVID-19 Banking Crisis in Selected Mena Countries   pp. 1-16 Hani El-Chaarani, Rebecca Abraham and Georges AzziDoes Audit Committee Busyness Impact Audit Report Lag?   pp. 1-16 Awatif Hodaed Alsheikh and Warda Hodaed AlsheikhIncreasing Income Generation: The Role of Staff Participation and Awareness   pp. 1-17 Amir Mahmud, Nurdian Susilowati, Indah Anisykurlillah and Puji Novita SariThe Symmetric and Asymmetric Effect of Remittances on Financial Development: Evidence from South Africa   pp. 1-17 Mduduzi Biyase and Yourishaa NaidooDoes the Level of Enforcement Shape the Complexity in Accounting Standards?   pp. 1-17 Ana Isabel Morais and Inês PintoCryptocurrencies and Long-Range Trends   pp. 1-17 Monica Alexiadou, Emmanouil Sofianos, Periklis Gogas and Theophilos PapadimitriouDigital Money Options for the BRICS   pp. 1-17 Mikhail Vyacheslavovich ZharikovThe Impact of the COVID-19 Pandemic on the Volatility of Cryptocurrencies   pp. 1-17 Sofia Karagiannopoulou, Konstantina Ragazou, Ioannis Passas, Alexandros Garefalakis and Nikolaos SariannidisMean Reversion Lessens Mean Blur: Evidence from the S&P Composite Index   pp. 1-13 Luigi Buzzacchi and Luca GhezziExamining the Effects of Big Data Analytics Capabilities on Firm Performance in the Malaysian Banking Sector   pp. 1-13 Norzalita Abd Aziz, Fei Long and Wan Mohd Hirwani Wan HussainRelationship between Capital Structure and Firm Profitability: Evidence from Vietnamese Listed Companies   pp. 1-13 Soa La Nguyen, Cuong Duc Pham, Tu  Van Truong, Trong  Van Phi, Linh Thuy Le and Trang Thu Thi VuWhat Triggers Corporate Site Visits, and Do Investors Care? A Comparison of Buy-Side and Sell-Side Analyst Site Visits in China   pp. 1-20 Dachen Sheng and Heather MontgomeryMaize Productivity and Household Welfare Impacts of Mobile Money Usage in Tanzania   pp. 1-20 Happiness Kilombele, Shiferaw Feleke, Tahirou Abdoulaye, Steven Cole, Haruna Sekabira and Victor ManyongCorporate Governance Effects on Bank Profits in Gulf Cooperation Council Countries during the Pandemic   pp. 1-20 Hani El-Chaarani, Rebecca Abraham, Danielle Khalife and Madonna Salameh-Ayanian |  |