JRFM
2008 - 2025
Current editor(s): Ms. Chelthy Cheng From MDPI Bibliographic data for series maintained by MDPI Indexing Manager (). Access Statistics for this journal.
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Volume 16, issue 12, 2023
- Farmers’ Willingness to Purchase Weather Index Crop Insurance: Evidence from Battambang, Cambodia pp. 1-9

- Bungchay Lay, Isriya Bunyasiri and Ravissa Suchato
- The Effects of Corporate Financial Disclosure on Stock Prices: A Case Study of Korea’s Compulsory Preliminary Earnings Announcements pp. 1-9

- Sun-Keun Yoo and Se-Hak Chun
- Financial Intermediation, Economic Growth, and Business Cycles pp. 1-9

- Ioanna Konstantakopoulou
- The Impact of COVID-19 on the Internationalization Performance of Family Businesses: Evidence from Portugal pp. 1-14

- Ana Roque and Maria-Ceu Alves
- Predicting the Profitability of Directional Changes Using Machine Learning: Evidence from European Countries pp. 1-14

- Nicholas D. Belesis, Georgios A. Papanastasopoulos and Antonios M. Vasilatos
- Information Theory and the Pricing of Contingent Claims: An Alternative Derivation of the Black–Scholes–Merton Formula pp. 1-7

- Thomas P. Davis
- Tourism Forecasting of “Unpredictable” Future Shocks: A Literature Review by the PRISMA Model pp. 1-13

- Sergej Gricar
- Are Cryptocurrency Forks Wealth Creating? pp. 1-13

- Bill Hu and Jonathan Miller
- Global Financial Market Integration: A Literature Survey pp. 1-27

- Sama Haddad
- Optimal and Non-Optimal MACD Parameter Values and Their Ranges for Stock-Index Futures: A Comparative Study of Nikkei, Dow Jones, and Nasdaq pp. 1-27

- Byung-Kook Kang
- The Emotion Magnitude Effect: Navigating Market Dynamics Amidst Supply Chain Events pp. 1-21

- Shawn McCarthy and Gita Alaghband
- Machine Learning for Enhanced Credit Risk Assessment: An Empirical Approach pp. 1-21

- Nicolas Suhadolnik, Jo Ueyama and Sergio Da Silva
- An Attempt to Understand Stock Market Investors’ Behaviour: The Case of Environmental, Social, and Governance (ESG) Forces in the Pakistani Stock Market pp. 1-21

- Samina Rooh, Hatem El-Gohary, Imran Khan, Sayyam Alam and Syed Mohsin Ali Shah
- Does the Cultural Dimension Influence the Relationship between Firm Value and Board Gender Diversity in Saudi Arabia, Mediated by ESG Scoring? pp. 1-21

- Laila Mohamed Alshawadfy Aladwey and Raghad Abdulkarim Alsudays
- Environmental, Social, and Governance Performance and Value Creation in Product Market: Evidence from Emerging Economies pp. 1-21

- Yasmeen Bashir, Yiwei Zhao, Huan Qiu, Zeeshan Ahmed and Josephine Tan-Hwang Yau
- Navigating the Intricate Relationship between Investments and Global Output: A Leontief Matrix Case Study of Romania pp. 1-21

- Mihail Busu, Madalina Vanesa Vargas and Sorin Anagnoste
- Financial Technology (Fintech) and Sustainable Financing: A New Paradigm for Risk Management pp. 1-2

- Sisira Colombage
- Fossil Fuel-Based versus Electric Vehicles: A Volatility Spillover Perspective Regarding the Environment pp. 1-16

- Shailesh Rastogi, Jagjeevan Kanoujiya, Satyendra Pratap Singh, Adesh Doifode, Neha Parashar and Pracheta Tejasmayee
- Flight-to-Liquidity and Excess Stock Return: Empirical Evidence from a Dynamic Panel Model pp. 1-16

- Asif Ali, Habib Ur Rahman, Adam Arian and John Sands
- Target2: The Silent Bailout System That Keeps the Euro Afloat pp. 1-126

- David Blake
- Influences of Internal Control on Enterprise Performance: Does an Information System Make a Difference? pp. 1-19

- Hani Alshaiti
- Risky Indebtedness Behavior: Impacts on Financial Preparation for Retirement and Perceived Financial Well-Being pp. 1-19

- Kelmara Mendes Vieira, Taiane Keila Matheis and Ana Maria Heinrichs Maciel
- Do Aid for Trade Flows Affect Technology Licensing in Recipient Countries? pp. 1-31

- Sèna Kimm Gnangnon
- Understanding the Determinants of FinTech Adoption: Integrating UTAUT2 with Trust Theoretic Model pp. 1-23

- Muhammed Basid Amnas, Murugesan Selvam, Mariappan Raja, Sakthivel Santhoshkumar and Satyanarayana Parayitam
- Private Placement of China-Listed Real Estate Firms: A Conceptual Idea pp. 1-23

- Yuping Ning and Rohaya Binti Abdul Jalil
- Impact of Financial Factors on the Economic Cycle Dynamics in Selected European Countries pp. 1-17

- Bogdan Dumitrescu and Robert-Adrian Grecu
- The Nexus between Corporate Performance and State Ownership in Vietnam: Evidence of State Ownership’s Inverted U-Shape and Provincial Business Environment Influences pp. 1-17

- Tran Thai Ha Nguyen, Susilo Nur Aji Cokro Darsono, Gia Quyen Phan, Thi Hong Van Pham, Huyen Bach Thi and Sobar M. Johari
- Tempering Financial Reporting Risk through Board Risk Management pp. 1-22

- Mark Beasley, Allen Blay, Christina Lewellen and Michelle McAllister
- Examining the Impact of Agency Issues on Corporate Performance: A Bibliometric Analysis pp. 1-22

- Vinay Khandelwal, Prasoon Tripathi, Varun Chotia, Mohit Srivastava, Prashant Sharma and Sushil Kalyani
- A Hybrid Deep Learning Approach for Crude Oil Price Prediction pp. 1-22

- Hind Aldabagh, Xianrong Zheng and Ravi Mukkamala
- ECB Monetary Policy and the Term Structure of Bank Default Risk pp. 1-22

- Tom Beernaert, Nicolas Soenen and Rudi Vander Vennet
- Monte Carlo Sensitivities Using the Absolute Measure-Valued Derivative Method pp. 1-24

- Mark Joshi, Oh Kang Kwon and Stephen Satchell
Volume 16, issue 11, 2023
- Determinants of Access to Bank Financing in SMEs in Mexico pp. 1-29

- Artemio Jiménez-Rico, Claudia Susana Gómez-López and Johanan Zamilpa
- The Effect of Religion in European Financial Statement Disclosures: A Real Earnings’ Management Case pp. 1-24

- Kanellos S. Toudas and Jinxiu Zhu
- Not So New Kid on the Block: Accounting and Valuation Aspects of Non-Fungible Tokens (NFTs) pp. 1-24

- Dulani Jayasuriya and Alexandra Sims
- Pandemics and Stock Price Volatility: A Sectoral Analysis pp. 1-24

- Niraj Prasad Koirala and Linus Nyiwul
- Relations among Bitcoin Futures, Bitcoin Spot, Investor Attention, and Sentiment pp. 1-24

- Arun Narayanasamy, Humnath Panta and Rohit Agarwal
- Bankruptcy Risk in Discounted Cash Flow Equity Valuation pp. 1-18

- Kenth Skogsvik, Stina Skogsvik and Henrik Andersson
- The Effect of COVID-19 on Consumer Goods Sector Performance: The Role of Firm Characteristics pp. 1-18

- Irwansyah, Muhammad Rinaldi, Abdurrahman Maulana Yusuf, Muhammad Harits Zidni Khatib Ramadhani, Sitti Rahma Sudirman and Rizky Yudaruddin
- The Impact of Non-Financial and Financial Variables on Credit Decisions for Service Companies in Turkey pp. 1-18

- Ali İhsan Çetin, Arzu Ece Çetin and Syed Ejaz Ahmed
- What Aspects Explain the Relationship between Digital Transformation and Financial Performance of Firms? pp. 1-22

- Yaying Zhou, Young-Seok Ock, Ibrahim Alnafrah and Abd Alwahed Dagestani
- Using the Capital Asset Pricing Model and the Fama–French Three-Factor and Five-Factor Models to Manage Stock and Bond Portfolios: Evidence from Timor-Leste pp. 1-22

- Fernando Anuno, Mara Madaleno and Elisabete Vieira
- Heterogeneous Impact of Fintech on the Profitability of Commercial Banks: Competition and Spillover Effects pp. 1-17

- Xiaoling Song, Huizhi Yu and Zehai He
- Triangulating Risk Profile and Risk Assessment: A Case Study of Implementing Enterprise Risk Management System pp. 1-17

- Abol Jalilvand and Sidharth Moorthy
- Dynamics of Venture Capital and Private Equity Investments in India: An Empirical Analysis pp. 1-23

- James Dominic and Anto Joseph
- Cash Holdings and Marginal Value of Cash across Different Age Groups of U.S. Firms pp. 1-23

- YoungHa Ki and Ramesh Adhikari
- The Effect of Short-Sale Restrictions on Corporate Managers pp. 1-23

- Baixiao Liu, John J. McConnell and Andrew Schrowang
- Pinpointing the Driving Forces Propelling Digital Business Transformation pp. 1-13

- Andrej Miklosik and Alexander Bernhard Krah
- Safety versus Compensation for Professional Athletes Who Face the Prospect of Career-Ending Injuries: An Economic Risk Analysis pp. 1-12

- Duane Rockerbie
- Investment Behavior of Foreign Institutional Investors and Implied Volatility Dynamics: An Empirical Study on the Indian Equity Derivatives Market pp. 1-14

- Vijay Kumar Sharma, Satinder Bhatia and Hiranmoy Roy
- Role of Bank Credit and External Commercial Borrowings in Working Capital Financing: Evidence from Indian Manufacturing Firms pp. 1-19

- Daitri Tiwary and Samit Paul
- A Global Analysis of the COVID-19 Pandemic and Capital Structure in the Consumer Goods Sector pp. 1-19

- Dwi Risma Deviyanti, Herry Ramadhani, Yoremia Lestari Ginting, Yunita Fitria, Yanzil Azizil Yudaruddin and Rizky Yudaruddin
- Credit Access and the Firm–Government Connection: Is There Any Link? pp. 1-19

- Trang Thu Phan, Linh Nhat Ta, Trang Tran Minh Pham and Dung Thi Thuy Pham
- Do Changes in Risk Perception Predict Systemic Banking Crises? pp. 1-15

- Saktinil Roy
- Determinants of Voluntary International Financial Reporting Standards Application: Review from Theory to Empirical Research pp. 1-15

- Ngoc Giau Nguyen and Ngoc Tien Nguyen
- The Relationship between Promoters’ Holdings, Institutional Holdings, Dividend Payout Ratio and Firm Value: The Firm Age and Size as Moderators pp. 1-15

- Balamuralikrishnan Chakkravarthy, Francis Gnanasekar Irudayasamy, Arul Ramanatha Pillai, Rajesh Elangovan, Natarajan Rengaraju and Satyanarayana Parayitam
- Tail Risks in Corporate Finance: Simulation-Based Analyses of Extreme Values pp. 1-20

- Christoph J. Börner, Dietmar Ernst and Ingo Hoffmann
- Implementing Triple Entry Accounting as an Audit Tool—An Extension to Modern Accounting Systems pp. 1-16

- Torje Vingen Sunde and Craig S. Wright
- What Is the Effect of Oil and Gas Markets (Spot/Futures) on Herding in BRICS? Recent Evidence (2007–2022) pp. 1-41

- Hang Zhang and Evangelos Giouvris
Volume 16, issue 10, 2023
- An Investigation of the Predictability of Uncertainty Indices on Bitcoin Returns pp. 1-12

- Jinghua Wang, Geoffrey M. Ngene, Yan Shi and Ann Nduati Mungai
- A Pilot Study to Assess the Effects of News Coverage Articles about Security Incidents on Stock Prices in Korea pp. 1-21

- Se-Hyeon Han
- Integrating Bioeconomy Principles in Bionic Production: Enhancing Sustainability and Environmental Performance pp. 1-21

- Sanja Tišma and Mira Mileusnić Škrtić
- Effects of Revenue-Sharing Contracts and Overconfidence on Innovation for Key Components pp. 1-21

- Chengli Wei, Hongzhuan Chen and Yuanfei Kang
- Commodity Prices and the US Business Cycle pp. 1-21

- Matthew van der Nest and Gary van Vuuren
- Understanding the Effects of Market Volatility on Profitability Perceptions of Housing Market Developers pp. 1-34

- Shahab Valaei Sharif, Dawn Parker, Paul Waddell and Ted Tsiakopoulos
- Network Activity and Ethereum Gas Prices pp. 1-14

- Dimitrios Koutmos
- Predicting the Non-Return of Chonsei Lease Deposits in the Republic of Korea pp. 1-14

- Joung Oh Park, Jinhee Choi and Guy Ngayo
- COVID-19 Pandemic and Indices Volatility: Evidence from GARCH Models pp. 1-14

- Rajesh Mamilla, Chinnadurai Kathiravan, Aidin Salamzadeh, Leo Dana and Mohamed Elheddad
- Work Engagement, Financial Wellness Support and COVID-19 Risk Perceptions in Egypt pp. 1-14

- Michael R. Wagner, Ghadeer Mohamed Badr Eldin Aboul-Ela and Marwa El Maghawry Ibrahim
- Unveiling the Influence of Artificial Intelligence and Machine Learning on Financial Markets: A Comprehensive Analysis of AI Applications in Trading, Risk Management, and Financial Operations pp. 1-16

- Mohammad El Hajj and Jamil Hammoud
- Determinants of Non-Performing Loans in a Small Island Economy of Fiji: Accounting for COVID-19, Bank-Type, and Globalisation pp. 1-35

- Shasnil Chand, Ronald Kumar and Peter Josef Stauvermann
- Does Capital Expenditure Matter for ESG Disclosure? A UK Perspective pp. 1-19

- Ahmed Saber Moussa and Mahmoud Elmarzouky
- Combating Rising Energy Poverty with Sunnah-Compliant Orthodox Sukuk Finance pp. 1-19

- Abdullahi Ahmed Umar, Kabiru Goje and Mahadi Ahmad
- Does Sustainable Finance Work on Banking Sector in ASEAN?: The Effect of Sustainable Finance and Capital on Firm Value with Institutional Ownership as a Moderating Variable pp. 1-19

- Mochamad Roland Perdana, Achmad Sudiro, Kusuma Ratnawati and Rofiaty Rofiaty
- Blockchain Application to Financial Market Clearing and Settlement Systems pp. 1-19

- Nipun Agarwal, Pornpit Wongthongtham, Neerajkumari Khairwal and Kevin Coutinho
- FinTech Adoption of Financial Services Industry: Exploring the Impact of Creative and Innovative Leadership pp. 1-19

- Muzamil Ahmad Baba, Zia ul Haq, Mohsina Dawood and Kumar Aashish
- Environmental Performance and a Nation’s Growth: Does the Economic Status and Style of Governance of a Country Matter? pp. 1-19

- Shailesh Rastogi, Jagjeevan Kanoujiya, Pracheta Tejasmayee, Souvik Banerjee, Neha Parashar and Asmita Dani
- The Launch of a Night Trading Session and Currency Futures Market Liquidity: Evidence from the Thailand Futures Exchange pp. 1-15

- Woradee Jongadsayakul
- Editorial on the Volume “ESG Investing and ESG Finance” pp. 1-2

- Svetlozar (Zari) Rachev and W. Brent Lindquist
- The Financial Impact of State Tax Regimes on Local Economies in the U.S pp. 1-10

- Nattanicha Chairassamee, Oudom Hean and Parker Jabas
- Forecasting of NIFTY 50 Index Price by Using Backward Elimination with an LSTM Model pp. 1-23

- Syed Hasan Jafar, Shakeb Akhtar, Hani El-Chaarani, Parvez Alam Khan and Ruaa Binsaddig
- Earnings Management and Status of Corporate Governance under Different Levels of Corruption—An Empirical Analysis in European Countries pp. 1-23

- Ioannis Dokas
- Financial Sustainability of Digitizing Cultural Heritage: The International Platform Europeana pp. 1-17

- Elena Borin and Fabio Donato
- On the Dynamic Relationship between Household Debt and Income Inequality in South Africa pp. 1-17

- Sheunesu Zhou and Olivier Niyitegeka
- Lightweight Scheme to Capture Stock Market Sentiment on Social Media Using Sparse Attention Mechanism: A Case Study on Twitter pp. 1-17

- Sihan Wu and Fuyu Gu
- A Rank Estimator Approach to Modeling Default Frequencies pp. 1-17

- Antti J. Harju
- Assessing the Maturity of Sustainable Business Model and Strategy Reporting under the CSRD Shadow pp. 1-17

- Niki Glaveli, Maria Alexiou, Apostolos Maragos, Anastasia Daskalopoulou and Viktoria Voulgari
- Comparison of the Asymmetric Relationship between Bitcoin and Gold, Crude Oil, and the U.S. Dollar before and after the COVID-19 Outbreak pp. 1-17

- Yadong Liu, Nathee Naktnasukanjn, Anukul Tamprasirt and Tanarat Rattanadamrongaksorn
- Pricing Path-Dependent Options under Stochastic Volatility via Mellin Transform pp. 1-17

- Jiling Cao, Xi Li and Wenjun Zhang
- Interconnectedness of Cryptocurrency Uncertainty Indices with Returns and Volatility in Financial Assets during COVID-19 pp. 1-18

- Awad Asiri, Mohammed Alnemer and Muhammad Bhatti
- American Corporate Sustainability and Extra-Financial Performance: Is There an Inverted-U Relationship pp. 1-18

- Nahed Zghidi, Rihab Bousnina and Samarkand Mokni
- The Market Reaction to Repurchase Announcements pp. 1-28

- Adhiraj Sodhi, Cesario Mateus, Irina Mateus and Aleksandar Stojanovic
- Does Fintech-Driven Inclusive Finance Induce Bank Profitability? Empirical Evidence from Developing Countries pp. 1-28

- Changjun Zheng, Md Ataur Rahman, Shahadat Hossain and Syed Moudud-Ul-Huq
- The Financial Derivatives Market and the Pandemic: BioNTech and Moderna Volatility pp. 1-13

- Alberto Manelli, Roberta Pace and Maria Leone
- Sustaining Retirement during Lockdown: Annuitized Income and Older American’s Financial Well-Being before and during the COVID-19 Pandemic pp. 1-13

- Qi Sun and Gary Curnutt
- A Study of the Abnormal Dividend Decisions of New Zealand Firms during COVID-19 pp. 1-20

- Mei Qiu and Xiao-Ming Li
- Does Public Corruption Affect Bank Failures? Evidence from the United States pp. 1-20

- Serkan Karadas and Nilufer Ozdemir
- The Determinants of Implementing and Completing Share Repurchases pp. 1-25

- Adhiraj Sodhi and Aleksandar Stojanovic
- Deciphering DeFi: A Comprehensive Analysis and Visualization of Risks in Decentralized Finance pp. 1-25

- Tim Weingärtner, Fabian Fasser, Pedro Reis Sá da Costa and Walter Farkas
- On the Direction of Causality between Business and Financial Cycles pp. 1-26

- Ilias Tsiakas and Haibin Zhang
- Effect of the Duration of Membership in the World Trade Organization on Trademark Applications pp. 1-53

- Sena Kimm Gnangnon
- Derivative of Reduced Cumulative Distribution Function and Applications pp. 1-24

- Kevin Maritato and Stan Uryasev
- The Gumbel Copula Method for Estimating Value at Risk: Evidence from Telecommunication Stocks in Indonesia during the COVID-19 Pandemic pp. 1-11

- Georgina Maria Tinungki, Siswanto Siswanto and Alimatun Najiha
- Hospital Costing Methods: Four Decades of Literature Review pp. 1-22

- Isabel C. P. Marques and Maria-Ceu Alves
Volume 16, issue 9, 2023
- Properties of VaR and CVaR Risk Measures in High-Frequency Domain: Long–Short Asymmetry and Significance of the Power-Law Tail pp. 1-13

- Tetsuya Takaishi
- How Does Market Cap Play Its Role in Returns during COVID-19? The Case of Norway pp. 1-13

- Minh Thi Hong Dinh
- Blockchain in the Smart City and Its Financial Sustainability from a Stakeholder’s Perspective pp. 1-21

- Hossein Hassani, Kujtim Avdiu, Stephan Unger and Maedeh Taj Mazinani
- Triple-Entry Accounting as a Means of Auditing Large Language Models pp. 1-12

- Konstantinos Sgantzos, Mohamed Al Hemairy, Panagiotis Tzavaras and Spyridon Stelios
- Measuring Value in Development with Advanced Real Options for International Sequential Acquisitions pp. 1-12

- Andrejs Čirjevskis
- The Future of Insurance Intermediation in the Age of the Digital Platform Economy pp. 1-32

- Lukas Stricker, Joël Wagner and Angela Zeier Röschmann
- Organization Capital and Corporate Governance pp. 1-14

- Jaeseong Lim
- A Cautionary Note on the Use of Accounting Semi-Identity-Based Models pp. 1-14

- Francisco Javier Sánchez-Vidal
- Implicit Hedging and Liquidity Costs of Structured Products pp. 1-14

- Kujtim Avdiu and Stephan Unger
- Circular-Statistics-Based Estimators and Tests for the Index Parameter α of Distributions for High-Volatility Financial Markets pp. 1-14

- Ashis SenGupta and Moumita Roy
- Credit Risk Determinants in Selected Ethiopian Commercial Banks: A Panel Data Analysis pp. 1-14

- Seid Muhammed, Goshu Desalegn, Maria Fekete-Farkas and Emese Bruder
- The Effect of Employee Involvement in Strategic Change on the Performance of Insurance Companies in Zimbabwe pp. 1-14

- Bibi Zaheenah Chummun and Lizanani Nleya
- The Dynamic Dependency between a Cryptocurrency ETF and ETFs Representing Conventional Asset Classes pp. 1-14

- Marcos Velazquez, Alper Gormus and Nima Vafai
- A Private and Efficient Triple-Entry Accounting Protocol on Bitcoin pp. 1-9

- Liuxuan Pan, Owen Vaughan and Craig Steven Wright
- Impact of Liquidity on the Efficiency of Banks in India Using Panel Data Analysis pp. 1-19

- Anureet Virk Sidhu, Rebecca Abraham, Venkata Mrudula Bhimavarapu, Jagjeevan Kanoujiya and Shailesh Rastogi
- Religiosity and Risk: Association of Judeo-Christian Ethicality with a Sustainable Business Environment pp. 1-19

- Hannah Michelle Russell, Donald L. Ariail, Katherine Taken Smith and Lawrence Murphy Smith
- Measurement and Calibration of Regulatory Credit Risk Asset Correlations pp. 1-19

- Anton van Dyk and Gary van Vuuren
- Research on Price Discovery in Financial Securities: Trends and Directions for Future Research pp. 1-19

- Prashant Sharma, Gaurav Agrawal, Geetika Arora, Dinesh Kumar Sharma and Varun Chotia
- Does Fiscal Consolidation Affect Non-Performing Loans? Global Evidence from Heavily Indebted Countries (HICs) pp. 1-15

- Habib Ur Rahman, Adam Arian and John Sands
- Factors Impacting Senior Citizens’ Adoption of E-Banking Post COVID-19 Pandemic: An Empirical Study from India pp. 1-20

- Rabindra Jena
- REA, Triple-Entry Accounting and Blockchain: Converging Paths to Shared Ledger Systems pp. 1-20

- Juan Ignacio Ibañez, Chris N. Bayer, Paolo Tasca and Jiahua Xu
- Change Point Analysis of Time Series Related to Bitcoin Transactions: Towards the Detection of Illegal Activities pp. 1-20

- Ourania Theodosiadou, Alexandros-Michail Koufakis, Theodora Tsikrika, Stefanos Vrochidis and Ioannis Kompatsiaris
- Enabling Private Investment in Affordable Housing in Nigeria: Lessons from the Experience of the Millard Fuller Foundation Projects in Nasarawa State pp. 1-20

- Lilian Nwachukwu, Lucelia Rodrigues and Lorna Kiamba
- Determining the Appropriate Accounting Treatment of Cryptocurrencies Based on Accounting Theory pp. 1-16

- Nicolette Klopper and Sophia Magaretha Brink
- Market Liquidity Estimation in a High-Frequency Setup pp. 1-26

- Kujtim Avdiu
- Simulation Framework to Determine Suitable Innovations for Volatility Persistence Estimation: The GARCH Approach pp. 1-30

- Richard T. A. Samuel, Charles Chimedza and Caston Sigauke
- Financial Fraud and Credit Risk: Illicit Practices and Their Impact on Banking Stability pp. 1-29

- Mohd Afjal, Aidin Salamzadeh and Leo Dana
- Determinants of Repurchase Size: Evidence from the UK pp. 1-29

- Adhiraj Sodhi, Cesario Mateus, Irina Mateus and Aleksandar Stojanovic
- The Perceived Relationship between Risk Culture and Operational Risk Management Practices of Ghanaian Banks pp. 1-22

- Gerhard Philip Maree Grebe and Johan Marx
- Interplay between CSR and the Digitalisation of Bulgarian Financial Enterprises: HRM Approach and Pandemic Evidence pp. 1-18

- Andrey Zahariev, Petya Ivanova, Galina Zaharieva, Krasimira Slaveva, Margarita Mihaylova and Tanya Todorova
- On a Data-Driven Optimization Approach to the PID-Based Algorithmic Trading pp. 1-18

- Vadim Azhmyakov, Ilya Shirokov, Yuri Dernov and Luz Adriana Guzman Trujillo
- Measuring the Performance of Private Pension Companies in Türkiye by Gray Relational Analysis Method pp. 1-18

- Muharrem Umut
- Proposing Credit- and Sensitivity-Risk-Based Methodology to Address Corporate Bond Illiquidity Problem pp. 1-17

- Ruchi Arora and Rishi Mehra
- Managing Financial Performance toward Achievements in Sustainability Prospects: Comparative Analysis of the e-Commerce and Hospitality Industries pp. 1-17

- Gabrijela Velickovic, Jelena Stanojevic and Milan Veselinovic
- Tax Shields, the Weighted Average Cost of Capital, and the Appropriate Discount Rate for a Project with a Finite Useful Life pp. 1-17

- Morris G. Danielson
- Does Financial Technology Adoption Influence Bank’s Financial Performance: The Case of Jordan pp. 1-17

- Thair A. Kaddumi, Hafez Baker, Mahmoud Daoud Nassar and Qais A-Kilani
- Spatial Multivariate GARCH Models and Financial Spillovers pp. 1-23

- Rosella Giacometti, Gabriele Torri, Kamonchai Rujirarangsan and Michela Cameletti
- Production Efficiency and Income Distribution with Competition Induced by Antitrust Measures pp. 1-23

- Peter Josef Stauvermann and Ronald Kumar
- Why the High Values for the CAPE Ratio in Recent Years Might Be Justified pp. 1-11

- Leo H. Chan
Volume 16, issue 8, 2023
- The Six Decades of the Capital Asset Pricing Model: A Research Agenda pp. 1-15

- Santosh Kumar, Ankit Kumar, Kamred Udham Singh and Sujit Kumar Patra
- Building Trust and Enhancing Tax Compliance: The Role of Authoritarian Procedures and Respectful Treatment in Indonesia pp. 1-15

- Dewi Prastiwi and Erlina Diamastuti
- Do IFRS Disclosure Requirements Reduce the Cost of Equity Capital? Evidence from European Firms pp. 1-19

- Ghouma Ghouma, Hamdi Becha, Maha Kalai, Helali Kamel and Myriam Ertz
- Fintech Data Infrastructure for ESG Disclosure Compliance pp. 1-19

- Randall E. Duran and Peter Tierney
- The Use of the Partitioning Theorem to Prove Further Results Regarding the Distribution of IRRs: And an Open Question pp. 1-20

- James Rutherford Cuthbert
- Exploring Blockchain Technology for Chain of Custody Control in Physical Evidence: A Systematic Literature Review pp. 1-20

- Danielle Batista, Ana Lara Mangeth, Isabella Frajhof, Paulo Henrique Alves, Rafael Nasser, Gustavo Robichez, Gil Marcio Silva and Fernando Pellon de Miranda
- Impact of Leverage on Valuation of Non-Financial Firms in India under Profitability’s Moderating Effect: Evidence in Scenarios Applying Quantile Regression pp. 1-20

- Jagjeevan Kanoujiya, Pooja Jain, Souvik Banerjee, Rameesha Kalra, Shailesh Rastogi and Venkata Mrudula Bhimavarapu
- Multicriteria Portfolio Choice and Downside Risk pp. 1-16

- Anna Rutkowska-Ziarko and Pawel Kliber
- State-of-the-Art Review on the Analytic Hierarchy Process with Benefits, Opportunities, Costs, and Risks pp. 1-16

- Antonella Petrillo, Valerio Antonio Pamplona Salomon and Claudemir Leif Tramarico
- The Association between Audit Quality and Corporate Tax Avoidance. A Bibliometric Review of Literature and Early Evidence on the European Union, from the Perspective of Tax-Related Key Audit Matters Disclosure pp. 1-14

- Cristian Lungu, Valentin Burcă, Ovidiu-Constantin Bunget and Alin-Constantin Dumitrescu
- Selected Problems of the Automotive Industry—Material and Economic Risk pp. 1-14

- Maria Richert and Marek Dudek
- Carbon Emissions and Stock Returns: The Case of Russia pp. 1-14

- Liudmila Reshetnikova, Danila Ovechkin, Anton Devyatkov, Galina Chernova and Natalia Boldyreva
- Dual Perspectives on Financial Performance: Analyzing the Impact of Digital Transformation and COVID-19 on European Listed Companies pp. 1-14

- Rabie Mahssouni, Mohamed Makhroute, Mohamed Noureddine Touijer and Abdelaziz Elabjani
- Examining the Interactive Effect of Advertising Investment and Corporate Social Responsibility on Financial Performance pp. 1-21

- Jen-Sin Lee, Xiao-Yan Deng and Chih-Hsiung Chang
- Insurance Penetration and Institutional Spillover on Economic Growth: A Dynamic Spatial Econometric Approach on the Asian and Europe Region pp. 1-21

- Kurukulasuriya Dinesh Udana Devindra Fernando, Thambawita Maddumage Nimali Tharanga, Narayanage Jayantha Dewasiri, Kiran Sood, Simon Grima and Eleftherios Thalassinos
- Internet Banking Service Perception in Mexico pp. 1-13

- Elena Moreno-García
- Determinants of the Sustained Development of the Night-Time Economy: The Case of Hanoi, Capital of Vietnam pp. 1-27

- Nguyen Ngoc Son, Nguyen Thi Phuong Thu, Ngo Quoc Dung, Bui Thi Thanh Huyen and Vu Ngoc Xuan
- Do Farmers Demand Innovative Financial Products? A Case Study in Cambodia pp. 1-12

- Qingxia Wang, Yim Soksophors, Khieng Phanna, Angelica Barlis, Shahbaz Mushtaq, Danny Rodulfo and Kees Swaans
- Generalized Method of Moments Estimation of Realized Stochastic Volatility Model pp. 1-12

- Luwen Zhang and Li Wang
- Portfolio Performance of European Target Prices pp. 1-28

- Joana Almeida and Raquel Gaspar
- Electronic Payment Behaviors of Consumers under Digital Transformation in Finance—A Case Study of Third-Party Payments pp. 1-22

- Lan-Hui Lin, Feng-Chen Lin, Chih-Kang Lien, Tung-Chin Yang, Yao-Kai Chuang and Yi-Wen Hsu
- Moored Minds: An Experimental Insight into the Impact of the Anchoring and Disposition Effect on Portfolio Performance pp. 1-22

- Riya Arora and Madhumathi Rajendran
- Culture and Corporate Decarbonization Efforts: A Time-Varying Analysis and Topology Approach pp. 1-22

- Lingju Chen, Jiancheng Jiang and Sha Yu
- Exploring Dynamic Asset Pricing within Bachelier’s Market Model pp. 1-18

- Nancy Asare Nyarko, Bhathiya Divelgama, Jagdish Gnawali, Blessing Omotade, Svetlozar T. Rachev and Peter Yegon
- The Effect of Sustainability Information Disclosure on the Cost of Equity Capital: An Empirical Analysis Based on Gartner Top 50 Supply Chain Rankings pp. 1-18

- Lingyu Li, Xianrong Zheng and Shuxi Wang
- Risk and Bankruptcy Research: Mapping the State of the Art pp. 1-18

- Luís Almeida
- Aggregate News Sentiment and Stock Market Returns in India pp. 1-18

- Sushant Chari, Purva Hegde Desai, Nilesh Borde and Babu George
- Tracing Knowledge Diffusion Trajectories in Scholarly Bitcoin Research: Co-Word and Main Path Analyses pp. 1-23

- Abderahman Rejeb, Karim Rejeb, Khalil Alnabulsi and Suhaiza Zailani
- The Effect of the COVID-19 Pandemic on Corporate Dividend Policy of Moroccan Listed Firms pp. 1-17

- Zouhair Boumlik, Badia Oulhadj and Olivier Colot
- How Do Firms Manage Their Foreign Exchange Exposure? pp. 1-17

- Andreas Hecht and Niklas Lampenius
- Integration of Digital Technologies in Corporate Social Responsibility (CSR) Activities: A Systematic Literature Review and Bibliometric Analysis pp. 1-24

- Atanas Atanasov, Galina Chipriyanova and Radosveta Krasteva-Hristova
- International Borrowing and Lending in the Presence of Oligopolistic Competition pp. 1-26

- Ronald Kumar and Peter Stauvermann
- Flood Insurance, Building Codes, and Public Adaptation: Implications for Airport Investment and Financial Constraints pp. 1-29

- Abderrahim Assab
- Tensors Associated with Mean Quadratic Differences Explaining the Riskiness of Portfolios of Financial Assets pp. 1-25

- Pierpaolo Angelini and Fabrizio Maturo
Volume 16, issue 7, 2023
- Re-Examining Bitcoin’s Price–Volume Relationship: A Time-Varying Spectral Analysis pp. 1-16

- Clement Moyo and Andrew Phiri
- Particle MCMC in Forecasting Frailty-Correlated Default Models with Expert Opinion pp. 1-16

- Ha Nguyen
- Agency Problem and Stock Returns: Combining Measures of Asset Growth and Gross Profit pp. 1-16

- Jun Chen, Joseph Mohr and Ronald Rutherford
- Elliptical and Skew-Elliptical Regression Models and Their Applications to Financial Data Analytics pp. 1-20

- Paul R. Dewick, Shuangzhe Liu, Yonghui Liu and Tiefeng Ma
- The Impact of Integrated Reporting on the Cost of Capital: Evidence from an Emerging Market pp. 1-20

- Burak Pirgaip and Lamija Rizvić
- A Comparative Study of Traditional, Ensemble and Neural Network-Based Natural Language Processing Algorithms pp. 1-20

- Achraf Chikhi, Seyed Sahand Mohammadi Ziabari and Jan-Willem van Essen
- Does Competition Affect Financial Distress of Non-Financial Firms in India: A Comparison Using the Lerner Index and Boone Indicator pp. 1-20

- Jagjeevan Kanoujiya, Shailesh Rastogi, Rebecca Abraham and Venkata Mrudula Bhimavarapu
- Risk Planning and Management in Portuguese Companies—A Statistical Approach pp. 1-15

- Fernando Oliveira Tavares, Eulália Santos, Vasco Capela Tavares and Vanessa Ratten
- Corporate Governance and Financial Statement Fraud during the COVID-19: Study of Companies under Special Monitoring in Indonesia pp. 1-15

- Enggar Diah Puspa Arum, Rico Wijaya, Ilham Wahyudi and Aulia Beatrice Brilliant
- Which Direction to Take Further Research on the Impacts of Telomere Attrition on Aging, Age-Related Diseases, and Overall Healthcare Expenditures pp. 1-15

- Kristine Andrea Narita
- An Overview of Islamic Accounting: The Murabaha Contract pp. 1-15

- Riyad Moosa
- The Role of The Internal Auditor in Strengthening the Governance of Economic Organizations Using the Three Lines of Defense Model pp. 1-15

- Omar Ikbal Tawfik, Omar Durrah and Karima Ali Aljawhar
- The Influence of ESG, SRI, Ethical, and Impact Investing Activities on Portfolio and Financial Performance—Bibliometric Analysis/Mapping and Clustering Analysis pp. 1-19

- Ainulashikin Marzuki, Fauzias Mat Nor, Nur Ainna Ramli, Mohamad Yazis Ali Basah and Muhammad Ridhwan Ab Aziz
- A Literature Review on the Financial Determinants of Hotel Default pp. 1-19

- Theodore Metaxas and Athanasios Romanopoulos
- Impact of Risk Management on the Performance of Commercial Banks in Ghana: A Panel Regression Approach pp. 1-12

- Bismark Von Tamakloe, Alexander Boateng, Eric Teye Mensah and Daniel Maposa
- Decoding Decentralized Autonomous Organizations: A Content Analysis Approach to Understanding Scoring Platforms pp. 1-12

- Christian Ziegler and Syeda Rabab Zehra
- A Cyclical Phenomenon among Stock & Commodity Markets pp. 1-13

- Hector O. Zapata, Junior E. Betanco, Maria Bampasidou and Michael Deliberto
- The Transformation of the Healthcare Business through the COVID-19 Pandemic (2020–2021) pp. 1-13

- Rishi Patel
- Global Anti-Money Laundering and Combating Terrorism Financing Regulatory Framework: A Critique pp. 1-21

- William Gaviyau and Athenia Bongani Sibindi
- Does the Investor’s Trading Experience Reduce Susceptibility to Heuristic-Driven Biases? The Moderating Role of Personality Traits pp. 1-21

- Neenu Chalissery, Mosab I. Tabash, T. Mohamed Nishad, Ibtehal M. Aburezeq and Linda Nalini Daniel
- Criteria Selection of Housing Loan Based on Dominance-Based Rough Set Theory: An Indian Case pp. 1-14

- Anupama Singh, Aarti Singh, Haresh Kumar Sharma and Saibal Majumder
- An Assessment of the Financial Indicators of PJSC Gazprom pp. 1-14

- Peter Brusov, Tatiana Filatova and Andrey Kashirin
- The Effects of Option Trading Behavior on Option Prices pp. 1-24

- Han-Sheng Chen and Sanjiv Sabherwal
- Differential Impact of Fintech and GDP on Bank Performance: Global Evidence pp. 1-17

- Soon Suk Yoon, Hongbok Lee and Ingyu Oh
- Model Framework for Consumer Protection and Crypto-Exchanges Regulation pp. 1-17

- Aleksandr P. Alekseenko
- The Drivers of Successful Crowdfunding Projects in Africa during the COVID-19 Pandemic pp. 1-17

- Lenny Phulong Mamaro and Athenia Bongani Sibindi
- A New Entropic Measure for the Causality of the Financial Time Series pp. 1-17

- Peter B. Lerner
- Credit Risk Management and the Financial Performance of Deposit Money Banks: Some New Evidence pp. 1-23

- Oritsegbubemi Kehinde Natufe and Esther Ikavbo Evbayiro-Osagie
- Estimating Value-at-Risk in the EURUSD Currency Cross from Implied Volatilities Using Machine Learning Methods and Quantile Regression pp. 1-23

- Herman Mørkved Blom, Petter Eilif de Lange and Morten Risstad
- Role of Provincial Migration and Immigration in Provincial Trade of Canada pp. 1-23

- Nusrate Aziz, Ahmed Aziz and Gerry Mahar
- “Decoding” Policy Perspectives: Structural Topic Modeling of European Central Bankers’ Speeches pp. 1-23

- Thierry Warin and Aleksandar Stojkov
- Asymmetric Price Transmission between Crude Oil and the US Gasoline Market pp. 1-11

- Najmeh Kamyabi and Benaissa Chidmi
- Exploring Implied Certainty Equivalent Rates in Financial Markets: Empirical Analysis and Application to the Electric Vehicle Industry pp. 1-8

- Yifan He and Svetlozar Rachev
- Investigating the Nexus between Corporate Governance and Firm Performance in India: Evidence from COVID-19 pp. 1-18

- Mohd Anas, Ishfaq Gulzar, Mosab I. Tabash, Gayas Ahmad, Wasi Yazdani and Md. Firoz Alam
- On the Exchange Rate Dynamics of the Norwegian Krone pp. 1-18

- Morten Risstad, Airin Thodesen, Kristian August Thune and Sjur Westgaard
- Montenegrin Stock Exchange Market on a Short-Term Perspective pp. 1-18

- Tamara Backović, Vesna Karadžić, Sergej Gričar and Štefan Bojnec
- Differences in the Destination of Savings According to Gender, and Its Economic Rights Implications pp. 1-18

- Florina Guadalupe Arredondo-Trapero, Eva María Guerra-Leal and José Carlos Vázquez-Parra
- Interdependence between the BRICS Stock Markets and the Oil Price since the Onset of Financial and Economic Crises pp. 1-22

- Narjess Bouslama
- The Moderating Effect of the COVID-19 Pandemic on the Relation between Corporate Governance and Firm Performance pp. 1-43

- Hossein Tarighi, Zeynab Nourbakhsh Hosseiny, Maryam Akbari and Elaheh Mohammadhosseini
- Using Carbon Tax to Reach the U.S.’s 2050 NDCs Goals—A CGE Model of Firms, Government, and Households pp. 1-30

- Kejia Yan, Rakesh Gupta and Suneel Maheshwari
- Impact of Monetary Policy on Financial Inclusion in Emerging Markets pp. 1-10

- Peterson Ozili
- Dependence Structure and Time–Frequency Impact of Exchange Rates on Crude Oil and Stock Markets of BRICS Countries: Markov-Switching-Based Wavelet Analysis pp. 1-29

- Benjamin Mudiangombe Mudiangombe and John Weirstrass Muteba Mwamba
- Gender Diversity and Human Capital Efficiency in Australian Institutions: The Moderating Role of Workforce Environment Quality pp. 1-26

- Seema Miglani and Victoria Obeng
Volume 16, issue 6, 2023
- RCML: A Novel Algorithm for Regressing Price Movement during Commodity Futures Stress Testing Based on Machine Learning pp. 1-12

- Caifeng Liu, Wenfeng Pan and Hongcheng Zhou
- Duration of the Membership in the GATT/WTO, Structural Economic Vulnerability and Trade Costs pp. 1-32

- Sena Kimm Gnangnon
- (How) Does Mutual Fund Dual Ownership Affect Shareholder and Creditor Conflict of Interest? Evidence from Corporate Innovation pp. 1-32

- Lei Gao, Ying Wang and Jing Zhao
- The Impacts of Shopping Tourism on Retail Sales and Rents: Lessons from the COVID-19 Quasi-Experiment of Hong Kong pp. 1-13

- Chung Yim Yiu
- How Company Characteristics Influence Measurement Practices and Disclosure Level Prescribed within IAS 41 pp. 1-34

- Mohammad Saleh Altarawneh
- Predicting the REIT Corporate Life Cycle Phase on a Financial Accounting Basis pp. 1-14

- Panagiotis Petris
- Corporate Finance, Governance, and Social Responsibility pp. 1-5

- Ştefan Gherghina
- Financial Inclusion and Economic Growth in Sub-Saharan Africa—A Panel ARDL and Granger Non-Causality Approach pp. 1-16

- Meshesha Demie Jima and Patricia Lindelwa Makoni
- How Efficient and Socially Sensitive Are Fiscal Incentives for Electric Cars in Europe? pp. 1-19

- Krešimir Jurlin
- Developing a Multidimensional Financial Inclusion Index: A Comparison Based on Income Groups pp. 1-19

- Inès Gharbi and Aïda Kammoun
- Social Performance Disclosed by European Companies: The Role of the Board Attributes and the Country’s Legal System pp. 1-15

- Albertina Paula Monteiro, Catarina Cepêda, Cláudia Pereira and Amélia Silva
- The Effect of Relative Advantage, Top Management Support and IT Infrastructure on E-Filing Adoption pp. 1-20

- Samer Aqel AbuAkel and Marhaiza Ibrahim
- National and International Financial Market Regulation and Supervision Systems: Challenges and Solutions pp. 1-25

- Viacheslav M. Shavshukov and Natalia A. Zhuravleva
- How Do Financial Market Outcomes Affect Gambling? pp. 1-25

- Cyrus A. Ramezani and James J. Ahern
- Do Large Datasets or Hybrid Integrated Models Outperform Simple Ones in Predicting Commodity Prices and Foreign Exchange Rates? pp. 1-25

- Jin Shang and Shigeyuki Hamori
- Multitouch Options pp. 1-29

- Tristan Guillaume
- Does Previous Experience with the Unified Payments Interface (UPI) Affect the Usage of Central Bank Digital Currency (CBDC)? pp. 1-23

- Munish Gupta, Sanjay Taneja, Vikas Sharma, Amandeep Singh, Ramona Rupeika-Apoga and Kshitiz Jangir
- Delineating Housing Submarkets Using Space–Time House Sales Data: Spatially Constrained Data-Driven Approaches pp. 1-17

- Meifang Chen, Yongwan Chun and Daniel A. Griffith
- A Data Valuation Model to Estimate the Investment Value of Platform Companies: Based on Discounted Cash Flow pp. 1-17

- Hyongmook Cheong, Boyoung Kim and Ivan Ureta Vaquero
- The Effect of Corporate Governance in Islamic Banking on the Agility of Iraqi Banks pp. 1-22

- Jabbar Sehen Issa and Mohammad Reza Abbaszadeh
Volume 16, issue 5, 2023
- Impact of Financial Inclusion on India’s Economic Development under the Moderating Effect of Internet Subscribers pp. 1-15

- Aman Pushp, Rahul Singh Gautam, Vikas Tripathi, Jagjeevan Kanoujiya, Shailesh Rastogi, Venkata Mrudula Bhimavarapu and Neha Parashar
- Hurst Exponent Analysis: Evidence from Volatility Indices and the Volatility of Volatility Indices pp. 1-15

- Georgia Zournatzidou and Christos Floros
- Exponential Stability of Fractional Large-Scale Neutral Stochastic Delay Systems with Fractional Brownian Motion pp. 1-15

- T. Sathiyaraj, T. Ambika and Ong Seng Huat
- The Effect of ECB Unconventional Monetary Policy on Firms’ Performance during the Global Financial Crisis pp. 1-20

- Charalampos Basdekis, Apostolos Christopoulos, Evgenios Gakias and Ioannis Katsampoxakis
- The Role of Loan-Related Risk Appetite in the Relationship between Financial Risk Considerations and MSME Growth Decision: A Mediation Analysis pp. 1-20

- Ralph Stephen Leyeza, Mikka Marielle Boado, Obed Butacan, Donn Enrique Moreno and Lourdes Deocariza
- An Assessment of the Benefits of Optimizing Working Capital and Profitability: Perspectives from DJIA30 and NASDAQ100 pp. 1-19

- Tarek Eldomiaty, Nourhan Eid, Farida Taman and Mohamed Rashwan
- The Relationship of Fiscal Policy and Economic Cycle: Is Vietnam Different? pp. 1-19

- Dung Xuan Nguyen and Trung Duc Nguyen
- An Event Study on the Reaction of Equity and Commodity Markets to the Onset of the Russia–Ukraine Conflict pp. 1-16

- Pat Obi, Freshia Waweru and Moses Nyangu
- The Impact of Socioeconomic and Environmental Indicators on Economic Development: An Interdisciplinary Empirical Study pp. 1-16

- Antonio Pacifico
- Consumption of Healthcare Services in the United States: The Impact of Health Insurance pp. 1-16

- Raluca Elena Narita
- Do Automated Market Makers in DeFi Ecosystem Exhibit Time-Varying Connectedness during Stressed Events? pp. 1-12

- Bikramaditya Ghosh, Hayfa Kazouz and Zaghum Umar
- Equity Returns and the Output Shocks in a Dynamic Stochastic General Equilibrium Framework pp. 1-14

- Bahram Adrangi and Juan Nicolás D’Amico
- Reputation as Capital—How Decentralized Autonomous Organizations Address Shortcomings in the Venture Capital Market pp. 1-14

- Wulf Kaal
- The Efficiency of Weekly Option Prices around Earnings Announcements pp. 1-14

- Jonathan A. Milian
- Phishing Attacks on Cryptocurrency Investors in the Arab States of the Gulf pp. 1-14

- Marwa Alyami, Reem Alhotaylah, Sawsan Alshehri and Abdullah Alghamdi
- The Paradox of the Payday Borrower: A Case Study of the Role of Planned Behavior in Borrowers’ Motivations and Experiences pp. 1-24

- Irene Herremans, Peggy Hedges, Fereshteh Mahmoudian, Anne Kleffner and Mahrukh Tahir
- Digital Banking through the Uncertain COVID Period: A Panel Data Study pp. 1-18

- Kuldeep Singh, Sam Goundar, Preetha Chandran, Amit Kumar Agrawal, Nimisha Singh and Prasanna Kolar
- The Effects of Climate Change to Weather-Related Environmental Hazards: Interlinkages of Economic Factors and Climate Risk pp. 1-18

- George Halkos and Argyro Zisiadou
- Asymmetric Effects of Financial Development on CO 2 Emissions in Bangladesh pp. 1-18

- Anupam Das, Leanora Brown and Adian McFarlane
- Surviving Black Swans III: Timing US Sector Funds pp. 1-18

- Pankaj Topiwala
- Precious Metals Comovements in Turbulent Times: COVID-19 and the Ukrainian Conflict pp. 1-18

- Antonis Michis
- Modeling Risk for CVaR-Based Decisions in Risk Aggregation pp. 1-22

- Yuriy Zinchenko and Alexandru V. Asimit
- Analysis of Trends in Mortgage Lending in the Agricultural Sector of Ukraine pp. 1-17

- Iryna Perevozova, Oksana Malynka, Vitalii Nitsenko, Halyna Kryshtal, Viktoriia Kostiuk and Vitaliia Mishchenko
- Japanese Economic Performance after the Pandemic: A Sectoral Analysis pp. 1-17

- Willem Thorbecke
- The Impact of Ownership Type on Labour Cost Stickiness pp. 1-17

- Mohammed Arkan Sahib Tileal, Farzaneh Nassirzadeh, Mohammad Javad Saei and Davood Askarany
- Safe-Haven Currencies as Defensive Assets in Global Stocks Portfolios: A Reassessment of the Empirical Evidence (1999–2022) pp. 1-23

- Marco Tronzano
- A Stochastic Markov Chain for Estimating New Entrants into Professional Pension Funds pp. 1-26

- Alessandro Fiori Maccioni
- Determinants Influencing the Application of Lean Accounting: The Case of Vietnamese Garment Firms pp. 1-26

- Thi Minh Phuong Nguyen and Thi Hai Chau Ngo
Volume 16, issue 4, 2023
- Supply Chain Risk Management in a Digital Era: Evidence from SMEs of Clothing Retailers in Australia pp. 1-11

- Mehadi Mamun
- Are Bitcoin and Gold a Safe Haven during COVID-19 and the 2022 Russia–Ukraine War? pp. 1-22

- İhsan Erdem Kayral, Ahmed Jeribi and Sahar Loukil
- Coupling the Empirical Wavelet and the Neural Network Methods in Order to Forecast Electricity Price pp. 1-22

- Heni Boubaker and Nawres Bannour
- A Conceptual Model to Share Resources and Align Goals: Building Blockchain Application to Support Care Continuity Outside a Hospital pp. 1-22

- Mohan R. Tanniru, Carson Woo and Kaushik Dutta
- Equity Investment Decisions of Operating Firms: Evidence from Property and Liability Insurers pp. 1-24

- Sunghan Bae, Andre P. Liebenberg and Ivonne A. Liebenberg
- Impact of Proof of Work (PoW)-Based Blockchain Applications on the Environment: A Systematic Review and Research Agenda pp. 1-29

- Nishant Sapra, Imlak Shaikh and Ashutosh Dash
- Exploring the Effects of Municipal Land and Building Policies on Apartment Size in New Residential Construction in Sweden pp. 1-25

- Sviatlana Engerstam, Abukar Warsame and Mats Wilhelmsson
- Contract Farming and Food Insecurity in an Open Competitive Economy: Growth, Distribution, and Government Policy pp. 1-26

- Gouranga Das, Ranajoy Bhattacharyya and Sugata Marjit
- Can Corporate Sustainability Drive Economic Value Added? Evidence from Larger European Firms pp. 1-20

- Tiago Gonçalves, Diogo Louro and Victor Barros
- Transparency and Disclosure and Financial Distress of Non-Financial Firms in India under Competition: Investors’ Perspective pp. 1-20

- Jagjeevan Kanoujiya, Rebecca Abraham, Shailesh Rastogi and Venkata Mrudula Bhimavarapu
- Impact of Financial Technology on Improvement of Banks’ Financial Performance pp. 1-20

- Hafez Baker, Thair A. Kaddumi, Mahmoud Daoud Nassar and Riham Suleiman Muqattash
- Bank Profitability Analysis in China: Stochastic Frontier Approach pp. 1-20

- Bingbing Shen, Aleksandr Aleksandrovich Perfilev, Lidiya Pavlovna Bufetova and Xueyan Li
- Determinants of Financial Literacy: Analysis of the Impact of Family and Socioeconomic Variables on Undergraduate Students in the Slovak Republic pp. 1-20

- Patrik Böhm, Gabriela Böhmová, Jana Gazdíková and Viktória Šimková
- Does the Size of the Business Still Matter, or Is Profitability under New Management, by Order of the COVID-19? pp. 1-28

- Roman Blazek, Pavol Durana, Jakub Michulek and Kristina Blazekova
- Measurement of Financial Competence—Designing a Complex Framework Model for a Complex Assessment Instrument pp. 1-28

- Andreas Kraitzek and Manuel Förster
- Predicting Cryptocurrency Fraud Using ChaosNet: The Ethereum Manifestation pp. 1-13

- Anurag Dutta, Liton Chandra Voumik, Athilingam Ramamoorthy, Samrat Ray and Asif Raihan
- Profiling Turkish Cryptocurrency Owners: Payment Users, Crypto Investors and Crypto Traders pp. 1-13

- Lennart Ante, Florian Fiedler, Fred Steinmetz and Ingo Fiedler
- Investigation and Modelling of Economic Systematic Risk and Capital Requirement: A Monte Carlo Simulation pp. 1-13

- Adel Benhamed and Mohamed Sadok Gassouma
- What’s Math Got to Do with It?: Establishing Nuanced Relations between Math Anxiety, Financial Anxiety, and Financial Literacy pp. 1-27

- Andie Storozuk and Erin A. Maloney
- The Impact of FASB Staff Position APB 14-1 on Corporate Financing: A Debt Contracting Perspective pp. 1-23

- Justin Y. Jin, Kiridaran Kanagaretnam and Na Li
- Examining the Determinants of Credit Risk Management and Their Relationship with the Performance of Commercial Banks in Nepal pp. 1-23

- Tribhuwan Kumar Bhatt, Naveed Ahmed, Muhammad Babar Iqbal and Mehfooz Ullah
- An Analysis of the Use of Accounting Information by Portuguese SMEs pp. 1-17

- Ana Catarina Santos, Rui Pires and Maria-Ceu Alves
- Protect or Compete? Evidence of Firms’ Innovation from Import Penetration pp. 1-17

- Changjie Hu and Ming Liu
- Environmental, Social, and Governance Considerations in WTI Financialization through Energy Funds pp. 1-17

- Alper Gormus, Saban Nazlioglu and Steven Beach
- Board Characteristics, Social Trust and ESG Performance in the European Banking Sector pp. 1-17

- Bruna Miranda, Catarina Delgado and Manuel Branco
- Tourism Development and Italian Economic Growth: The Weight of the Regional Economies pp. 1-17

- Giorgio Colacchio and Anna Serena Vergori
- Insights on Crypto Investors from a German Personal Finance Management App pp. 1-38

- Fabian Nemeczek and Daniel Weiss
- Towards a Truly Decentralized Blockchain Framework for Remittance pp. 1-18

- Kevin Coutinho, NeerajKumari Khairwal and Pornpit Wongthongtham
- A More Intuitive Formula for the PEG Ratio pp. 1-10

- Leo H. Chan
- The Impact of ICT on the Profitability of Indian Banks: The Moderating Role of NPA pp. 1-16

- Swapnilsingh Thakur, Shailesh Rastogi, Neha Parashar, Pracheta Tejasmayee and Jyoti Mehndiratta Kappal
- Scalar Measures of Volatility and Dependence for the Multivariate Models with Applications to Asian Financial Markets pp. 1-16

- Sangwhan Kim and Anil K. Bera
- Effect of Remittance-Sending Countries’ Type on Financial Development in Recipient Countries: Can the Pandemic Make a Difference? pp. 1-16

- Md. Forhad, Gazi Mahabubul Alam and Md. Toabur Rahman
- The Generalised Extreme Value Distribution Approach to Comparing the Riskiness of BitCoin/US Dollar and South African Rand/US Dollar Returns pp. 1-16

- Delson Chikobvu and Thabani Ndlovu
- Investment Efficiency and Earnings Quality: European Evidence pp. 1-15

- Cristina Gaio, Tiago Gonçalves and João Cardoso
- The Changes in the Perceptions of Women towards the Symbolic Value of Gold: Marketing and Financial Implications pp. 1-15

- Berislav Andrlić, Mario Hak and Girish S. Pathy
- Explaining Deep Learning Models for Credit Scoring with SHAP: A Case Study Using Open Banking Data pp. 1-19

- Lars Ole Hjelkrem and Petter Eilif de Lange
- Enhancing Financial Market Analysis and Prediction with Emotion Corpora and News Co-Occurrence Network pp. 1-19

- Shawn McCarthy and Gita Alaghband
- ν -Generalized Hyperbolic Distributions pp. 1-4

- Lev Klebanov and Svetlozar T. Rachev
- The Link between Bitcoin Price Changes and the Exchange Rates in European Countries with Non-Euro Currencies pp. 1-12

- Bogdan Dumitrescu, Carmen Obreja, Ionel Leonida, Dănuț Georgian Mihai and Ludovic Cosmin Trifu
- Unveiling the Link between Corporate Board Attributes, Board Behavior, and Financial Leverage: Insights from Malaysia pp. 1-12

- Hussain Tahir, Mahfuzur Rahman, Md. Abdul Kaium Masud and Mohammed Mizanur Rahman
- The Optimal Level of Financial Growth in View of a Nonlinear Macroprudential Policy Regime Model: A Bayesian Approach pp. 1-21

- Sifundo Ntokozo Dlamini, Lindokuhle Talent Zungu and Nomusa Yolanda Nkomo
- Picking Winners: Identifying Features of High-Performing Special Purpose Acquisition Companies (SPACs) with Machine Learning pp. 1-21

- Caleb J. Williams
- Risk Measure between Exchange Rate and Oil Price during Crises: Evidence from Oil-Importing and Oil-Exporting Countries pp. 1-21

- Mouna Ben Saad Zorgati
Volume 16, issue 3, 2023
- The Split-Screen Approach for Project Appraisal (Part I: The Theory) pp. 1-49

- Carlo Alberto Magni
- Role of Governance in Developing Disaster Resiliency and Its Impact on Economic Sustainability pp. 1-22

- Stavros Kalogiannidis, Dimitrios Kalfas, Fotios Chatzitheodoridis and Efthymios Lekkas
- How Do Sustainability Stakeholders Seize Climate Risk Premia in the Private Cleantech Sector? pp. 1-22

- Lingyu Li and Xianrong Zheng
- Dissecting the Explanatory Power of ESG Features on Equity Returns by Sector, Capitalization, and Year with Interpretable Machine Learning pp. 1-22

- Jérémi Assael, Laurent Carlier and Damien Challet
- The Effect of Ethics in Business on Happiness, Aggressiveness and Inconsistency of Efforts and Rewards pp. 1-22

- Saif Mahdi Muslim Al-Ameedee and Mahdi Moradi
- The Influence of Cash Ownership on Financial Performance: An Examination of Disruptors and Acquirers pp. 1-22

- Rebecca Abraham, Venkata Mrudula Bhimavarapu, Zhi Tao and Shailesh Rastogi
- The Mechanism of Identification and Management of Risks Affecting the Process of Supporting Creativity Based on the Sample from the Slovak Academic Environment pp. 1-22

- Dominika Tumová and Martin Mičiak
- Determinants of FDI Stock in Some Central European Countries pp. 1-31

- Popescu Liviu, Brostescu Simina, Sitnikov Catalina and Vasilescu Laura
- The Split-Screen Approach for Project Appraisal (Part II: Spreadsheet Modeling) pp. 1-67

- Davide Baschieri and Carlo Alberto Magni
- The Impact of M&As on Shareholders’ Wealth: Evidence from Greece pp. 1-25

- George Giannopoulos, Alexandra Lianou and Mahmoud Elmarzouky
- Closed-End Fund Discounts and Economic Policy Uncertainty pp. 1-29

- Nazif Durmaz
- ESG Investing in “White Gold”: The Case of Lebanese Salinas pp. 1-20

- Nada Mallah Boustani and Sana Abidib
- Stylized Facts of the FOMC’s Longer-Run Forecasts pp. 1-20

- Jaime Marquez
- Stability and Bifurcations in Banks and Small Enterprises—A Three-Dimensional Continuous-Time Dynamical System pp. 1-20

- Marco Desogus and Beatrice Venturi
- Dynamic Relationship between Volatility Risk Premia of Stock and Oil Returns pp. 1-20

- Nobuhiro Nakamura, Kazuhiko Ohashi and Daisuke Yokouchi
- Community Leadership at a Hindu Non-Profit Organization Leads to Outperforming in Indian Microfinance Market pp. 1-20

- Arvind Ashta and Nadiya Parekh
- Systematic Contagion Effects of the Global Finance Crisis: Evidence from the World’s Largest Advanced and Emerging Equity Markets pp. 1-20

- Dinesh Gajurel and Mardi Dungey
- Bayesian Statistics for Loan Default pp. 1-20

- Allan W. Tham, Kazuhiko Kakamu and Shuangzhe Liu
- Two Types of Payments of Tax on Profit: Advanced Payments and at the End of Periods: Consideration within BFO Theory with Variable Profit pp. 1-20

- Peter Brusov, Tatiana Filatova and Veniamin Kulik
- The Blue Bond Market: A Catalyst for Ocean and Water Financing pp. 1-48

- Pieter Bosmans and Frederic de Mariz
- Assessing the Use of Gold as a Zero-Beta Asset in Empirical Asset Pricing: Application to the US Equity Market pp. 1-48

- Muhammad Abdullah, Hussein A. Abdou, Christopher Godfrey, Ahmed A. Elamer and Yousry Ahmed
- Monetary Policy Shocks and Input–Output Characteristics of Production Networks pp. 1-13

- Petre Caraiani
- Combatting Environmental Crisis: Green Orientation in the Sri Lanka Navy pp. 1-13

- Anuradha Iddagoda, Otilia Manta, Hiranya Dissanayake, Rohitha Abeysinghe and Dinoka Perera
- Evaluation of Internal Audit Standards as a Foundation for Carrying out and Promoting a Wide Variety of Value-Added Tasks-Evidence from Emerging Market pp. 1-13

- Osama Samih Shaban and Abdallah Izzat Barakat
- Revisiting the Determinants of Consumption: A Bayesian Model Averaging Approach pp. 1-13

- Pinar Deniz and Thanasis Stengos
- Carbon Tax and Tourism Employment: Is There An Interplay? pp. 1-13

- Laura Juznik Rotar
- Organizational Risk Management and Performance from the Perspective of Fraud: A Comparative Study in Iraq, Iran, and Saudi Arabia pp. 1-27

- Hussein Alkhyyoon, Mohammad Reza Abbaszadeh and Farzaneh Nassir Zadeh
- A Multidimensional View of Intellectual Capital and Dynamic Innovative Performance pp. 1-28

- Mostafa A. Ali, Nazimah Hussin, Hakeem Hammood Flayyih, Hossam Haddad, Nidal Mahmoud Al-Ramahi, Tareq Hammad Almubaydeen, Sahraa Anwer Hussein and Areej Saad Hasan Abunaila
- Identifying Financial Crises Using Machine Learning on Textual Data pp. 1-28

- Mary Chen, Matthew DeHaven, Isabel Kitschelt, Seung Jung Lee and Martin J. Sicilian
- Time-Varying Relation between Oil Shocks and European Stock Market Returns pp. 1-28

- César Castro, Rebeca Jiménez-Rodríguez and Renatas Kizys
- Sustainability Reporting and Organisational Factors pp. 1-18

- Ramona Zharfpeykan and Davood Askarany
- When Institutional Plates Collide: The Dynamic Impact of Informal Institutions on Capital Market Development pp. 1-18

- Robert Lindorfer, Anne d’Arcy and Igor Filatotchev
- On Asymmetric Correlations and Their Applications in Financial Markets pp. 1-18

- Linyu Cao, Ruili Sun, Tiefeng Ma and Conan Liu
- Emerging Market Default Risk Charge Model pp. 1-18

- Angelo D. Joseph
- Forecasting Methods of Key Ratios and Their Impact in Company’s Value pp. 1-17

- Angelos Liapis, Stylianos Artsidakis and Christos Galanos
- Does Geopolitical Risk Matter for Sovereign Credit Risk? Fresh Evidence from Nonlinear Analysis pp. 1-17

- Nader Naifar and Shumokh Aljarba
- Technology Shocks and the Efficiency of Equity Markets in the Developed and Emerging Economies: A Global VAR Approach pp. 1-17

- Yinka Hammed and Afees Salisu
- An IFRS Decision Heuristic—A Model for Accounting for Credit Card Rewards Programme Transactions pp. 1-17

- Sophia M. Brink and Gretha Steenkamp
- Camouflaged Compensation: Do South African Executives Increase Their Pay through Share Repurchases? pp. 1-17

- Gretha Steenkamp, Nicolene Wesson and Eon v. d. M. Smit
- Data Valuation Model for Estimating Collateral Loans in Corporate Financial Transaction pp. 1-17

- Hyongmook Cheong, Boyoung Kim and Ivan Ureta Vaquero
- Blockchain Technology in the Environmental Economics: A Service for a Holistic and Integrated Life Cycle Sustainability Assessment pp. 1-17

- Sanja Tišma and Mira Mileusnić Škrtić
- Case Study: Impact of Regulatory Restrictions and Tax Policy on Breakeven Analysis and Risk Management pp. 1-23

- James Henry Dunne, Peter Harris and Katherine Kinkela
- Pricing Multi-Asset Bermudan Commodity Options with Stochastic Volatility Using Neural Networks pp. 1-23

- Kentaro Hoshisashi and Yuji Yamada
- New Evidence on the Information Content of Earnings Announcements for the Swiss Market pp. 1-10

- Armin Bänziger, Alexander Pitthan, Thomas Gramespacher and Ursina Hüppin
- Influence of Underutilization of Production Capacities on the Dynamics of Russian GDP: An Assessment on the Basis of Production Functions pp. 1-10

- Sergey Baranov, Tatiana Skufina and Vera Samarina
- The Effect of Proximity to Universities on House Prices after the COVID Outbreak pp. 1-10

- Bingbing Wang
- Effect of Yield Spreads (State Bonds) on Economic Growth Performance in Indonesia pp. 1-10

- Kristian Chandra, Wahyuni Rusliyana Sari, Dwi Yantik Sriwulan and Muhammad Raditya Adhimukti
- Financial Well-Being and Financial Capability among Low-Income Entrepreneurs pp. 1-10

- Baorong Guo and Jin Huang
- 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 pp. 1-30

- Vicky Zampeta and Gregory Chondrokoukis
- Venture Capitalists on Boards and Corporate Innovation pp. 1-15

- Li Jing and Huiying Zhang
- Enablers for Growth of Cryptocurrencies: A Fuzzy–ISM Benchmarking pp. 1-15

- Santosh Kumar, Sujit Kumar Patra, Ankit Kumar, Kamred Udham Singh and Sandeep Varshneya
- The Naive Estimator of a Poisson Regression Model with a Measurement Error pp. 1-15

- Kentarou Wada and Takeshi Kurosawa
- The Impact of Uncertainty in Macroeconomic Variables on Stock Returns in the USA pp. 1-15

- Leonardo Iania, Robbe Collage and Michiel Vereycken
- Capital Budgeting Practices: A Survey of Two Industries pp. 1-15

- Jorge Mota and António Carrizo Moreira
- Russian Companies’ Motivations for Making Green Investments pp. 1-19

- Liudmila S. Kabir and Ivan D. Rakov
- Determination and Quantification of Foreign Interest in Sports Using Selected Variables for the Support of Appraising Investments in Sports by Businesses and States pp. 1-19

- Michal Varmus, Martin Mičiak, Milan Kubina, Adam Piatka, Marcel Stoják, Alexander Sýkora and Ivan Greguška
- Bank Credit and Trade Credit: The Case of Portuguese SMEs from 2010 to 2019 pp. 1-19

- António Pedro Soares Pinto, Carla Manuela Ribeiro Henriques, Carolina Esteves Oliveira da Silva Cardoso and Maria Elisabete Duarte Neves
- Term Premia in Norwegian Interest Rate Swaps pp. 1-19

- Petter Eilif de Lange, Morten Risstad, Kristian Semmen and Sjur Westgaard
- The Effect of CDS Trading on Product Market Competition: Evidence from 10-K Filings pp. 1-19

- Changjie Hu, Ming Liu and Weiyu Jiang
- Factors Influencing the Success of Online Education during COVID-19: A Case Analysis of Odisha pp. 1-16

- Barada Prasanna Mohapatra, Sudhansu Sekhar Nanda, Chetan V. Hiremath, Mahantesh Halagatti, Suresh Chandra Das and Anindita Das
- Syrian SMEs in Times of COVID-19 Pandemic: Challenges, Adaptation, and Policy Measures pp. 1-16

- Bana Abdulmajid Akkad and Sulaiman Mouselli
- Geopolitical Risks and Yield Dynamics in the Australian Sovereign Bond Market pp. 1-16

- Milan Christian De Wet
- Participatory Governance as a Success Factor in Equity Crowdfunding Campaigns for Cultural Heritage pp. 1-16

- Elena Borin and Giulia Fantini
- 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 pp. 1-16

- 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 and Paul Szabo-Alexi
- 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 pp. 1-21

- Sebastian Heidel and Roland Happ
- The Audit Risk Assessment of European Small- and Mid-Size Enterprises pp. 1-12

- Georgiana-Ioana Țîrcovnicu and Camelia-Daniela Hategan
- Circular Economy of Cultural Heritage—Possibility to Create a New Tourism Product through Adaptive Reuse pp. 1-12

- Elena Rudan
- A Study on the Barriers to Entrepreneurship in the UAE pp. 1-14

- Jamal Mohammad Ibrahim Abdulla Alnassai
- Modelling of Loan Non-Payments with Count Distributions Arising from Non-Exponential Inter-Arrival Times pp. 1-14

- Yeh-Ching Low and Seng-Huat Ong
- How Gender and Primary Language Influence the Acquisition of Economic Knowledge of Secondary School Students in the United States and Germany pp. 1-14

- Roland Happ, Susanne Schmidt, Olga Zlatkin-Troitschanskaia and William Walstad
- Stock Portfolio Management by Using Fuzzy Ensemble Deep Reinforcement Learning Algorithm pp. 1-14

- Zheng Hao, Haowei Zhang and Yipu Zhang
- Evaluating the Visual Metaphors of Financial Concepts through Content Analysis pp. 1-14

- Awais Malik
Volume 16, issue 2, 2023
- Markov-Regime Switches in Oil Markets: The Fear Factor Dynamics pp. 1-20

- Hiroyuki Okawa
- CSR, Risk Management Practices, and Performance Outcomes: An Empirical Investigation of Firms in Different Industries pp. 1-20

- Nitya Singh and Paul Hong
- Insurance Inclusion in Uganda: Impact of Perceived Value, Insurance Literacy and Perceived Trust pp. 1-20

- Archillies Kiwanuka and Athenia Bongani Sibindi
- Modeling the Optimal Combination of Proportional and Stop-Loss Reinsurance with Dependent Claim and Stochastic Insurance Premium pp. 1-20

- Suci Sari, Arief Hakim, Ikha Magdalena and Khreshna Syuhada
- Financing for a Sustainable Dry Bulk Shipping Industry: What Are the Potential Routes for Financial Innovation in Sustainability and Alternative Energy in the Dry Bulk Shipping Industry? pp. 1-13

- George Pangalos
- Impact of Financial Distress on the Dividend Policy of Banks in India pp. 1-13

- Anureet Virk Sidhu, Pooja Jain, Satyendra Pratap Singh, Jagjeevan Kanoujiya, Aashi Rawal, Shailesh Rastogi and Venkata Mrudula Bhimavarapu
- Managing Household Finances: How Engaging in Financial Management Activities Relates to the Experiential Well-Being of Americans pp. 1-13

- Thomas Korankye and Blain Pearson
- Housing Price and Interest Rate Hike: A Tale of Five Cities in Australia pp. 1-13

- Fennee Chong
- The Relationship between Intellectual Capital and Audit Fees pp. 1-28

- Mahmoud Lari Dashtbayaz, Amjed Hameed Mezher, Khalid Haitham Khalid Albadr and Bashaer Khudhair Abbas Alkafaji
- Factors Affecting R&D Share in University Revenues: Case of Russia pp. 1-9

- Dmitry Gladyrev
- Portfolio Volatility Estimation Relative to Stock Market Cross-Sectional Intrinsic Entropy pp. 1-24

- Claudiu Vințe and Marcel Ausloos
- Thematic Review of Motivational Factors, Types of Uncertainty, and Entrepreneurship Strategies of Transitional Entrepreneurship among Ethnic Minorities, Immigrants, and Women Entrepreneurs pp. 1-24

- Lukman Raimi, Mirela Panait, Iza Gigauri and Simona Andreea Apostu
- The Effect of Social Capital on Auditor’s Performance pp. 1-22

- Maryamalsadat Mousavi Azghandi, Sahar Jabbari, Hossien Rezaei Ranjbar and Ahmed Al-janabi
- Price Discovery Mechanism and Volatility Spillover between National Agriculture Market and National Commodity and Derivatives Exchange: The Study of the Indian Agricultural Commodity Market pp. 1-22

- Mohit Garg, Shelly Singhal, Kiran Sood, Ramona Rupeika-Apoga and Simon Grima
- Impact of Environmental, Social, and Governance Activities on the Financial Performance of Indian Health Care Sector Firms: Using Competition as a Moderator pp. 1-11

- Bhakti Agarwal, Rahul Singh Gautam, Pooja Jain, Shailesh Rastogi, Venkata Mrudula Bhimavarapu and Saumya Singh
- Predicting Explicit and Valuing Tacit Synergies of High-Tech Based Transactions: Amazon.com’s Acquisition of Dubai-Based Souq.com pp. 1-11

- Andrejs Čirjevskis
- Capabilities and Reputation Risks Towards Firm Performance pp. 1-11

- Noraznira Abd Razak, Najihah Hanisah Marmaya, Mohd Zailani Othman, Idris Osman, Suhailah Kassim, Fatin Aqilah Maskuri and Nik Kutina Mat Tahir
- Analysis of Demand and Supply for Mobile Payments in the UAE during COVID-19 pp. 1-11

- Ahmad Ghandour, Hussein Al-Srehan and Alhanof Almutairi
- Empirical Research Study on the Determinants of Market Indicators for 41 Financial Institutions pp. 1-11

- Larissa M. Batrancea and Alin Fetita
- Spot–Futures Price Adjustments in the Nikkei 225: Linear or Smooth Transition? Financial Centre Leadership or Home Bias? pp. 1-31

- Jieye Qin, Christopher J. Green and Kavita Sirichand
- Surviving Black Swans II: Timing the 2020–2022 Roller Coaster pp. 1-26

- Pankaj Topiwala
- Risk Aversion and Perception of Farmers about Endogenous Risks: An Empirical Study for Maize Producers in Awi Zone, Amhara Region of Ethiopia pp. 1-29

- Yohannes Girma, Berhanu Kuma and Amsalu Bedemo
- A Study about Who Is Interested in Stock Splitting and Why: Considering Companies, Shareholders, or Managers pp. 1-25

- Jiaquan Chen and Marcel Ausloos
- Re-Export: Assessing the Impact of Re-Export Companies on Sectors and the Economy pp. 1-25

- Anatolijs Prohorovs
- Designing a Characteristics Effectiveness Model for Internal Audit pp. 1-44

- Steven Grima, Peter J. Baldacchino, Simon Grima, Murat Kizilkaya, Norbert Tabone and Lauren Ellul
- Assessment of Attractiveness of the Baltic States for Foreign Direct Investment: The TOPSIS Approach pp. 1-15

- Renata Činčikaitė and Ieva Meidute-Kavaliauskiene
- Ecosystems as an Innovative Tool for the Development of the Financial Sector in the Digital Economy pp. 1-15

- Alexey I. Shinkevich, Svetlana S. Kudryavtseva and Vera P. Samarina
- The Influences of Procedural Justice on Turnover Intention and Social Loafing Behavior among Hotel Employees pp. 1-15

- Hussein N. E. Edrees, Abu Elnasr E. Sobaih, Hassane Gharbi and Ahmed E. Abu Elnasr
- Performance Analysis of Gold- and Fiat-Backed Cryptocurrencies: Risk-Based Choice for a Portfolio pp. 1-15

- Muhammad Irfan, Mubeen Abdur Rehman, Sarah Nawazish and Yu Hao
- Agent-Based Modeling of Construction Firms’ Organizational Behavior in Public Tenders pp. 1-19

- Valeriya Gladkikh and Aleksandr Alekseev
- Dynamic Conditional Correlation and Volatility Spillover between Conventional and Islamic Stock Markets: Evidence from Developed and Emerging Countries pp. 1-19

- Mohammad Sahabuddin, Md. Aminul Islam, Mosab I. Tabash, Md. Kausar Alam, Linda Nalini Daniel and Imad Ibraheem Mostafa
- Value and Contrarian Investment Strategies: Evidence from Indian Stock Market pp. 1-19

- Sharneet Singh Jagirdar and Pradeep Kumar Gupta
- Assessment of Project Management Maturity Models Strengths and Weaknesses pp. 1-19

- Valentin Nikolaenko and Anatoly Sidorov
- The Relationship between Changes in Corporate Governance Characteristics and Intellectual Capital pp. 1-19

- Farzaneh Nassirzadeh, Davood Askarany and Solmaz Arefi-Asl
- Pre-IPO Financial Performance and Offer Price Estimation: Evidence from India pp. 1-19

- Ajay Yadav, Jaya Mamta Prosad and Sumanjeet Singh
- A New Multi-Dimensional Framework for Start-Ups Lifespan Assessment Using Bayesian Networks pp. 1-19

- Mohammadreza Valaei and Vahid Khodakarami
- Consumer Segmentation of Green Financial Products Based on Sociodemographic Characteristics pp. 1-19

- Sándor Gáspár, László Pataki, Ákos Barta, Gergő Thalmeiner and Zoltán Zéman
- How Did Swiss Small and Medium Enterprises Weather the COVID-19 Pandemic? Evidence from Survey Data pp. 1-16

- Christina Nicolas, Nathalie Brender and David Maradan
- Better Not Forget: On the Memory of S&P 500 Survivor Stock Companies pp. 1-16

- Klaus Grobys, Yao Han and James W. Kolari
- Demystifying the Effect of the News (Shocks) on Crypto Market Volatility pp. 1-16

- Mukul Bhatnagar, Sanjay Taneja and Ramona Rupeika-Apoga
- Hedging Performance and Fair-Value Financial Reporting: Evidence from Bank Holding Companies pp. 1-16

- Hui Zhou
- A Natural Quasi-Experiment of the Monetary Policy Shocks on the Housing Markets of New Zealand during COVID-19 pp. 1-16

- Chung Yim Yiu
- Deconstructing Risk Factors for Predicting Risk Assessment in Supply Chains Using Machine Learning pp. 1-16

- Guy Burstein and Inon Zuckerman
- Effect of Aid-for-Trade Flows on Investment-Oriented Remittance Flows pp. 1-36

- Sèna Kimm Gnangnon
- Correction: Hamin et al. (2022). Understanding Organisational Risks and Opportunities Associated with Implementing Australia’s National Disability Insurance Scheme from the Nonprofit Service Provider Perspective—Findings from Quantitative Research. Journal of Risk and Financial Management 15: 614 pp. 1-2

- Hamin Hamin, David Rosenbaum and Elizabeth More
- The Usefulness of Accounting Information and Management Accounting Practices under Environmental Uncertainty pp. 1-21

- Rui Pires, Maria-Ceu Gaspar Alves and Catarina Fernandes
- Institutional Investors’ Distraction and Executive Compensation Stickiness Based on Multiple Regression Analysis pp. 1-21

- Yizhao Hong and Chongyan Cao
- Growth of Venture Firms under State Capitalism with Chinese Characteristics: Qualitative Comparative Analysis of Fuzzy Set pp. 1-21

- Kyung Hwan Yun and Chenguang Hu
- Does Corporate Social Responsibility Affect the Timeliness of Audited Financial Information? Evidence from “100 Best Corporate Citizens” pp. 1-21

- Ebenezer K. Lamptey, Jin Dong Park and Isaac Bonaparte
- External vs. In-House Advising Service: Evidence from the Financial Industry Acquisitions pp. 1-21

- Jian Huang, Han Yu and Zhen Zhang
- Estate Planning Behaviour: A Systematic Literature Review pp. 1-21

- Faziatul Amillia Mohamad Basir, Wan Marhaini Wan Ahmad and Mahfuzur Rahman
- Exploring Access to Financial Services by Visually Impaired People pp. 1-7

- Sam Goundar and Milind Sathye
- Threshold of Depression Measure in the Framework of Sentiment Analysis of Tweets: Managing Risk during a Crisis Period Like the COVID-19 Pandemic pp. 1-12

- Jules Clement Mba and Mduduzi Biyase
- The Impact of Fintech and Digital Financial Services on Financial Inclusion in India pp. 1-12

- Mohammad Asif, Mohd Naved Khan, Sadhana Tiwari, Showkat K. Wani and Firoz Alam
- The AGP Model for Risk Management in Agile I.T. Projects pp. 1-12

- Sanjeet Singh, Geetika Madaan, Amrinder Singh, Kiran Sood, Simon Grima and Ramona Rupeika-Apoga
- Is There Any Pattern Regarding the Vulnerability of Smart Contracts in the Food Supply Chain to a Stressed Event? A Quantile Connectedness Investigation pp. 1-12

- Bikramaditya Ghosh and Dimitrios Paparas
- Determinants of Financial Risk Tolerance: An Analysis of Psychological Factors pp. 1-12

- Mahfuzur Rahman, Mohamed Albaity, Tarannum Azim Baigh and Md. Abdul Kaium Masud
- Managers’ Perception and Attitude toward Financial Risks Associated with SMEs: Analytic Hierarchy Process Approach pp. 1-12

- Mahmaod Alrawad, Abdalwali Lutfi, Mohammed Amin Almaiah, Adi Alsyouf, Akif Lutfi Al-Khasawneh, Hussin Mostafa Arafa, Nazar Ali Ahmed, Ahmad M. AboAlkhair and Magdy Tork
- Corporate Social Responsibility Funding and Its Impact on India’s Sustainable Development: Using the Poverty Score as a Moderator pp. 1-12

- Rahul Singh Gautam, Venkata Mrudula Bhimavarapu, Shailesh Rastogi, Jyoti Mehndiratta Kappal, Hitesh Patole and Aman Pushp
- Herding Trend in Working Capital Management Practices: Evidence from the Non-Financial Sector of Pakistan pp. 1-14

- Umar Farooq, Mosab I. Tabash, Ahmad A. Al-Naimi, Linda Nalini Daniel and Mohammad Ahmad Al-Omari
- Acknowledgment to the Reviewers of Journal of Risk and Financial Management in 2022 pp. 1-14

- Editorial Office Jrfm
- Last-Passage American Cancelable Option in Lévy Models pp. 1-14

- Zbigniew Palmowski and Paweł Stȩpniak
- Impacts of Drought on Loan Repayment pp. 1-14

- Joseph L. Breeden
- India’s Total Natural Resource Rents (NRR) and GDP: An Augmented Autoregressive Distributed Lag (ARDL) Bound Test pp. 1-14

- Sanjay Taneja, Mukul Bhatnagar, Pawan Kumar and Ramona Rupeika-Apoga
- Sustaining Growth or Boosting Profit: Accounting Tools under Process-Based Management in a Transition Economy pp. 1-14

- Alexey Bobryshev, Lyubov Chaykovskaya, Vasilii Erokhin and Anna Ivolga
- Performance of US and European Exchange Traded Funds: A Base Point-Slack-Based Measure Approach pp. 1-34

- Carla Henriques, Maria E. Neves, Jeremias A. Conceição and Elisabete S. Vieira
- Retirement Income Sufficiency: A Comparison Study in Australia and New Zealand pp. 1-38

- Xiaobo Xu, Martin Young, Liping Zou and Jiali Fang
- On the Measurement of Hedging Effectiveness for Long-Term Investment Guarantees pp. 1-18

- Maciej Augustyniak, Alexandru Badescu and Mathieu Boudreault
- The Moderating Effect of Financial Knowledge on Financial Risk Tolerance pp. 1-18

- John E. Grable and Abed Rabbani
- Effects of Crude Oil Price Shocks on Stock Markets and Currency Exchange Rates in the Context of Russia-Ukraine Conflict: Evidence from G7 Countries pp. 1-18

- Bhaskar Bagchi and Biswajit Paul
- Balance of Risks and the Anchoring of Consumer Expectations pp. 1-18

- Jane Ryngaert
- What Can District Migration Rates Tell Us about London’s Functional Urban Area? pp. 1-18

- David Gray
- Risk Spillovers between Bitcoin and ASEAN+6 Stock Markets before and after COVID-19 Outbreak: A Comparative Analysis with Gold pp. 1-17

- Parichat Sinlapates, Tanit Sriwong and Surachai Chancharat
- Emerging Research Trends in Green Finance: A Bibliometric Overview pp. 1-17

- Sagarika Mohanty, Sudhansu Sekhar Nanda, Tushar Soubhari, Vishnu N S, Sthitipragyan Biswal and Shalini Patnaik
- A Statistical Analysis of Companies’ Financing Strategies in Portugal during the COVID-19 Pandemic pp. 1-17

- Fernando Tavares, Eulália Santos, Mafalda Venâncio de Vasconcelos and Vasco Capela Tavares
- Development of Approaches and Organizational Models for the Mass Implementation of Information Modeling Technologies in the Investment and Construction Sphere pp. 1-17

- Anatoly Platonov, Viola Larionova and Yury Davy
- Development of the Financial Flow Model for the Sustainable Development of an Industrial Enterprise pp. 1-17

- Farida F. Galimulina, Marina V. Shinkevich and Naira V. Barsegyan
- The Effect of Tourist Destination Image (TDI) on Intention to Visit through Tourism Risk Perception (TRP) of COVID-19 in the Tourism Industry in the New Normal Era in Indonesia: Case Study in East Java pp. 1-17

- Christina Esti Susanti, Yustinus Budi Hermanto and Benny Suwito
- Digital Technologies for Firms’ Competitive Advantage and Improved Supply Chain Performance pp. 1-17

- M M Hussain Shahadat, Abu Hena Mohammed Yeaseen Chowdhury, Robert Jeyakumar Nathan and Maria Fekete-Farkas
- Econometric Modeling of Input-Driven Output Risk through a Versatile CES Production Function pp. 1-23

- Ali Zeytoon-Nejad and Barry K. Goodwin
- Board Gender Diversity and Carbon Proactivity: The Influence of Cultural Factors pp. 1-23

- Haifei Wang, Qingliang Tang and Ting Guo
- Leadership Styles, Motivation, Communication and Reward Systems in Business Performance pp. 1-30

- Galvão Meirinhos, António Cardoso, Maria Neves, Rui Silva and Reiville Rêgo
- Risk Mapping: Ranking and Analysis of Selected, Key Risk in Supply Chains pp. 1-30

- Maria Richert and Marek Dudek
Volume 16, issue 1, 2022
- A European Empirical Study of Institutional Differences in IPOs Anomalies pp. 1-24

- Susana Álvarez-Otero
- A Hybrid Method to Predict Human Action Actors in Accounting Information System pp. 1-24

- Hamed Samarghandi, Davood Askarany and Bahareh Banitalebi Dehkordi
- Innovation Output and Idiosyncratic Volatility: US Evidence pp. 1-17

- Naji Mohammad Alshammasi and Adel Abdulkarim Almomen
- Do Foreign Investment Flow and Overconfidence Influence Stock Price Movement? A Comparative Analysis before and after the COVID-19 Lockdown pp. 1-17

- Citra Sukmadilaga, Almaida Noor Fitri and Erlane K. Ghani
- Blockchain-Augmented Digital Supply Chain Management: A Way to Sustainable Business pp. 1-17

- Samir Yerpude, Kiran Sood and Simon Grima
- The Effect of COVID-19 on Cryptocurrencies and the Stock Market Volatility: A Two-Stage DCC-EGARCH Model Analysis pp. 1-17

- Apostolos Ampountolas
- An Evolving Risk Landscape: Insights from a Decade of Surveys of Executives and Risk Professionals pp. 1-17

- Mark Beasley, Bruce Branson and Don Pagach
- Nexus between Intellectual Capital and Bank Productivity in India pp. 1-17

- Ranjit Tiwari, Harishankar Vidyarthi and Anand Kumar
- Lackluster Adoption of Cryptocurrencies as a Consumer Payment Method in the United States—Hypothesis: Is This Independent Technology in Need of a Brand, and What Kind? pp. 1-11

- Luke Kowalski, William Green, Simon Lilley and Nikiforos Panourgias
- A Futuristic View of Using XBRL Technology in Non-Financial Sustainability Reporting: The Case of the FDIC pp. 1-18

- Rania Mousa and Peterson Ozili
- Measuring Collaborative Synergies with Advanced Real Options: MNEs’ Sequential Acquisitions of International Ventures pp. 1-18

- Andrejs Čirjevskis
- Artificial Intelligence-Driven Talent Management System: Exploring the Risks and Options for Constructing a Theoretical Foundation pp. 1-18

- Ali Faqihi and Shah Jahan Miah
- Impact of Economic Freedom Distance on India’s Inbound Cross-Border Acquisition Volume: Moderating Role of Economic Distance pp. 1-18

- Chandrika Raghavendra, Mahesh Rampilla, Venkata Ramana Thanikella and Isha Gupta
- The Impact of the 2008 Financial Crisis on Lisbon’s Housing Prices pp. 1-18

- João Fragoso Januário and Carlos Oliveira Cruz
- Opportunities or Threats? The Role of Entrepreneurial Risk Perception in Shaping the Entrepreneurial Motivation pp. 1-18

- Liping Yin and Yenchun Jim Wu
- Comparison of Multifactor Asset Pricing Models in the South African Stock Market [2000–2016] pp. 1-22

- Lenia Mukoyi and Kanayo K. Ogujiuba
- A New Measure for Idiosyncratic Risk Based on Decomposition Method pp. 1-8

- Meng-Horng Lee, Chee-Wooi Hooy and Robert Brooks
- Editorial: Special Issue “Risk in Sports and Challenges for Sports Organizations” pp. 1-3

- Michael Barth, Martin Schnitzer and Hannes Winner
- The Impact of Multi-Layer Corporate Governance on Banks’ Performance under the GFC and the COVID-19: A Cross-Country Panel Analysis Approach pp. 1-25

- Oumniya Amrani and Amal Najab
- Portfolio Diversification, Hedge and Safe-Haven Properties in Cryptocurrency Investments and Financial Economics: A Systematic Literature Review pp. 1-25

- José Almeida and Tiago Gonçalves
- An Empirical Examination of Asymmetry on Exchange Rate Spread Using the Quantile Autoregressive Distributed Lag (QARDL) Model pp. 1-25

- Goktug Sahin and Afsin Sahin
- Analysis of Bitcoin Price Prediction Using Machine Learning pp. 1-25

- Junwei Chen
- Is More Financial Literacy Always Beneficial? An Investigation through a Mediator pp. 1-10

- Biwei Chen, Christos Giannikos and Jun Lou
- Energy Crisis Risk Mitigation through Nuclear Power and RES as Alternative Solutions towards Self-Sufficiency pp. 1-29

- George Halkos and Argyro Zisiadou
- The Impact of Non-Interest Income on the Performance of Commercial Banks in the ASEAN Region pp. 1-16

- Thi Thu Hang Phan, An Ha Thi Pham, Hoang Anh Le and Thai Bao Ngoc Lam
- The Moderating Effect of Perceived Risk on Users’ Continuance Intention for FinTech Services pp. 1-16

- Kshitiz Jangir, Vikas Sharma, Sanjay Taneja and Ramona Rupeika-Apoga
- The Impact of CEO Educational Background on Corporate Risk-Taking in China pp. 1-16

- Jinyi Zhang, Chunxiao Xue and Jianing Zhang
- Paradoxes and Tensions in Interorganizational Relationships: A Systematic Literature Review pp. 1-16

- Marcos Vinícius Bitencourt Fortes, Lara Agostini, Douglas Wegner and Anna Nosella
- The Impact of Ownership Characteristics and Gender on Earnings Management: Indonesian Companies pp. 1-15

- Ari Kuncara Widagdo, Rahmawati, Djuminah, Siti Arifah, Francisca Sestri Goestjahjanti and Kiswanto
- A Threshold GARCH Model for Chilean Economic Uncertainty pp. 1-15

- Diego Chávez, Javier E. Contreras-Reyes and Byron Idrovo
- Risk Management in Practice: A Multiple Case Study Analysis in Italian Municipalities pp. 1-15

- Monia Castellini and Vincenzo Riso
- Impact of Change in Promoters’ Shareholding Pattern on the Performance of Small-Cap-Value Equity Stocks in the National Stock Exchange of India pp. 1-15

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