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 15, issue 12, 2022
- A Mathematical Formulation of the Valuation of Ether and Ether Derivatives as a Function of Investor Sentiment and Price Jumps pp. 1-20

- Rebecca Abraham and Hani El-Chaarani
- Politicians’ Personal Legacies from Olympic Bids and Referenda—An Analysis of Individual Risks and Opportunities pp. 1-20

- Thomas Könecke and Michiel De Nooij
- Portfolios under Different Methods and Scenarios: A Case of Fiji’s South Pacific Stock Exchange pp. 1-27

- Ronald Kumar and Peter Josef Stauvermann
- Bibliometric Analysis of Green Finance and Climate Change in Post-Paris Agreement Era pp. 1-13

- Martin Kamau Muchiri, Szilvia Erdei-Gally, Mária Fekete-Farkas and Zoltán Lakner
- Virtual IBAN as a Service in the Law of the European Union and Poland pp. 1-13

- Michał Grabowski
- How Much Are Fans Willing to Pay to Help “Their” Soccer Clubs to Overcome a Crisis? An Analysis of Central European Fans during the COVID-19 Pandemic pp. 1-13

- Petri Lintumäki, Clemens Walcher and Martin Schnitzer
- Analyzing Safe Haven, Hedging and Diversifier Characteristics of Heterogeneous Cryptocurrencies against G7 and BRICS Market Indexes pp. 1-13

- Manoel Fernando Alonso Gadi and Miguel-Angel Sicilia
- Model of Optimizing Correspondence Risk-Return Marketing for Short-Term Lending pp. 1-13

- Andrii Kaminskyi, Maryna Nehrey, Vitalina Babenko and Grzegorz Zimon
- Investigating the Quality of Gender Equality Non-Financial Information Disclosed in the Cooperative Credit Sector: A Case Study pp. 1-13

- Olga Ferraro and Elena Cristiano
- Three Major Crises and Asian Emerging Market Informational Efficiency: A Case of Pakistan Stock Exchange-100 Index pp. 1-13

- Bahrawar Said, Shafiq Ur Rehman and Muhammad Wajid Raza
- The Role of ERM and Corporate Governance in Managing COVID-19 Impacts: SMEs Perspective pp. 1-28

- Monika Wieczorek-Kosmala and Thomas Henschel
- Transactional Leadership and Innovative Behavior as Factors Explaining Emotional Intelligence: A Mediating Effect pp. 1-9

- Diego Norena-Chavez and El Thalassinos
- Stock Market Volatility Response to COVID-19: Evidence from Thailand pp. 1-9

- Suthasinee Suwannapak and Surachai Chancharat
- God’s Stewards: A Global Overview of Christian-Influenced Mutual Fund Providers pp. 1-24

- Joel Diener and André Habisch
- Assessment of Readiness of Croatian Companies to Introduce I4.0 Technologies pp. 1-24

- Rajka Hrbić and Tomislav Grebenar
- Financial Fraud, Independent Female Directors and CEO Power pp. 1-24

- Nafisah Yami and Jannine Poletti-Hughes
- Social Security Payments and Financialization: Lessons from the Greek Case pp. 1-24

- Dionysios Kyriakopoulos, John Yfantopoulos and Theodoros Stamatopoulos
- Newton–Raphson Emulation Network for Highly Efficient Computation of Numerous Implied Volatilities pp. 1-8

- Geon Lee, Tae-Kyoung Kim, Hyun-Gyoon Kim and Jeonggyu Huh
- The Role of Corporate Governance in Investment Efficiency and Financial Information Disclosure Risk in Companies Listed on the Tehran Stock Exchange pp. 1-22

- Samira Moghaddamzadeh Kashani and Mahmoud Mousavi Shiri
- Call Me When You Grow Up: Firms’ Age, Size, and IPO Performance across Sectors pp. 1-22

- Smadar Siev and Mahmoud Qadan
- Estimating the Risk of Financial Distress Using a Multi-Layered Governance Criterion: Insights from Middle Eastern and North African Banks pp. 1-22

- Ali Meftah Gerged, Mohamed Marie and Israa Elbendary
- Millennial Generation’s Islamic Banking Behavioral Intention: The Moderating Role of Profit-Loss Sharing, Perceived Financial Risk, Knowledge of Riba, and Marketing Relationship pp. 1-22

- Asyari, Mohammad Enamul Hoque, M. Kabir Hassan, Perengki Susanto, Taslima Jannat and Abdullah Al Mamun
- Do the Inward and Outward Foreign Direct Investments Spur Domestic Investment in Bangladesh? A Counterfactual Analysis pp. 1-22

- Md. Monirul Islam, Mohammad Tareque, Abu N. M. Wahid, Md. Mahmudul Alam and Kazi Sohag
- The Effect of IFRS Adoption on the Business Climate: A Country Perspective pp. 1-22

- Daniela Penela, João Estevão and Ana Isabel Morais
- Countering Cybercrime Risks in Financial Institutions: Forecasting Information Trends pp. 1-22

- Aleksandra Kuzior, Paulina Brożek, Olha Kuzmenko, Hanna Yarovenko and Tetyana Vasilyeva
- Sustainability Reporting and Management Control System: A Structured Literature Review pp. 1-31

- Fazle Rahi Abm, Jeaneth Johansson, Arne Fagerström and Marita Blomkvist
- Hedonic Models of Real Estate Prices: GAM Models; Environmental and Sex-Offender-Proximity Factors pp. 1-11

- Jason Robert Bailey, Davide Lauria, W. Brent Lindquist, Stefan Mittnik and Svetlozar T. Rachev
- Forecasting the Direction of Daily Changes in the India VIX Index Using Machine Learning pp. 1-26

- Akhilesh Prasad and Priti Bakhshi
- Understanding Organisational Risks and Opportunities Associated with Implementing Australia’s National Disability Insurance Scheme from the Nonprofit Service Provider Perspective—Findings from Quantitative Research pp. 1-26

- Hamin Hamin, David Rosenbaum and Elizabeth More
- Determinants of Dividend Policy: The Case of the Casablanca Stock Exchange pp. 1-19

- Reda Louziri and Khadija Oubal
- Employee Compensation, Training and Financial Performance during the COVID-19 Pandemic pp. 1-19

- Rabie Mahssouni, Mohamed Noureddine Touijer and Mohamed Makhroute
- Old but Resilient Story: Impact of Decentralization on Social Welfare pp. 1-19

- José Luis Alberto Delgado, Dilek Demirbaş and Ahmet Faruk Aysan
- The Role of E-Accounting Adoption on Business Performance: The Moderating Role of COVID-19 pp. 1-19

- Abdalwali Lutfi, Saleh Nafeth Alkelani, Hamza Alqudah, Ahmad Farhan Alshira’h, Malek Hamed Alshirah, Mohammed Amin Almaiah, Adi Alsyouf, Mahmaod Alrawad, Abdelhameed Montash and Osama Abdelmaksoud
- Disclosure of Risks and Opportunities in the Integrated Reports of South African Banks pp. 1-15

- Khuthadzo Ramabulana and Riyad Moosa
- The Impact of Intellectual Capital and Ownership Structure on Firm Performance pp. 1-15

- Znar Ahmed, Muhammad Rosni Amir Hussin and Kashan Pirzada
- The Influence of Audit Committee Chair Characteristics on Financial Reporting Quality pp. 1-15

- Abdalwali Lutfi, Saleh Zaid Alkilani, Mohamed Saad, Malek Hamed Alshirah, Ahmad Farhan Alshirah, Mahmaod Alrawad, Malak Akif Al-Khasawneh, Nahla Ibrahim, Abeer Abdelhalim and Mujtaba Hashim Ramadan
- Do Stock Market Volatility and Cybercrime Affect Cryptocurrency Returns? Evidence from South African Economy pp. 1-15

- Nosipho Mthembu, Kazeem Abimbola Sanusi and Joel Eita
- The Value of Open Banking Data for Application Credit Scoring: Case Study of a Norwegian Bank pp. 1-15

- Lars Ole Hjelkrem, Petter Eilif de Lange and Erik Nesset
- Research on the Relationships between Knowledge-Based Dynamic Capabilities, Organizational Agility, and Firm Performance pp. 1-15

- Guofan Li
- Factors Influencing the Financial Situation and Management of Small and Medium Enterprises pp. 1-16

- Nurul Mohammad Zayed, Isse Sudi Mohamed, Khan Mohammad Anwarul Islam, Iryna Perevozova, Vitalii Nitsenko and Olena Morozova
- The Relationship between Managers’ Disclosure Tone and the Trading Volume of Investors pp. 1-16

- Azam Pouryousof, Farzaneh Nassirzadeh, Reza Hesarzadeh and Davood Askarany
- Editorial: A Systemic Recovery pp. 1-7

- Matheus R. Grasselli, Alan Kirman and William Hynes
- An Entrepreneurial Definition of the Blockchain Technology and a Stacked Layer Model of the ICO Marketplace Using the Text Mining Approach pp. 1-21

- Ahmed Gomaa and Yibai Li
- Predicting Volatility Based on Interval Regression Models pp. 1-21

- Hui Qu and Mengying He
- Formation of Financial Real Estate Risks and Spatial Interactions: Evidence from 35 Cities in China pp. 1-21

- Fengyun Liu, Honghao Ren, Chuanzhe Liu and Dejun Tan
- Cultural Differences between University Students in Online Learning Quality and Psychological Profile during COVID-19 pp. 1-12

- Simone Nomie Sato, Emilia Condes Moreno, Adriana Rico Villanueva, Paulo Orquera Miranda, Pascual Chiarella, Jose Francisco Tornero-Aguilera and Vicente Javier Clemente-Suárez
- Housing Affordability, Public Policy and Economic Dynamics: An Analysis of the City of Lisbon pp. 1-12

- Miguel Lorga, João Fragoso Januário and Carlos Oliveira Cruz
- Distributed Ledger Technology (DLT): A Game Changer for MNEs in Emerging Markets pp. 1-12

- Tamir Agmon and Ido Kallir
- The Effect of Managerial Myopia on the Adjustment Speed of the Company’s Financial Leverage towards the Optimal Leverage pp. 1-12

- Vahab Rostami, Hamed Kargar and Mahdis Samimifard
- Forecasting Detrended Volatility Risk and Financial Price Series Using LSTM Neural Networks and XGBoost Regressor pp. 1-12

- Aistis Raudys and Edvinas Goldstein
- Stability and Growth Pact: Too Young to Die, Too Old to Rock ‘n’ Roll pp. 1-12

- Patroklos Patsoulis, Marios Psychalis and Georgios A. Deirmentzoglou
- Is Professional Soccer a Risk for Their “Lives Afterwards”? A Social-Sciences-Based Examination of Retired Professional Soccer Players from a Long-Term Perspective pp. 1-12

- Michael Barth, Torsten Schlesinger and Werner Pitsch
- The Impact of Women’s Empowerment on Their Entrepreneurship Intention in the Saudi Food Industry pp. 1-14

- Osama H. M. Hassan, Abu Elnasr E. Sobaih and Ibrahim A. Elshaer
- Doping in Recreational Sport as a Risk Management Strategy pp. 1-14

- Werner Pitsch
- Global Social Sustainability and Inclusion: The “Voice” of Social and Environmental Imbalances pp. 1-14

- Andriy Krysovatyy, Iryna Zvarych, Oksana Brodovska and Roman Zvarych
- Regional Economic and Financial Interconnectedness and the Impact of Sanctions: The Case of the Commonwealth of Independent States pp. 1-18

- Mirzosaid Sultonov
- Holding Companies and Debt Financing: A Comparative Analysis Using Option-Adjusted Spreads pp. 1-18

- Natalia Boliari and Kudret Topyan
- A Fractal View on Losses Attributable to Scams in the Market for Initial Coin Offerings pp. 1-18

- Klaus Grobys, Timothy King and Niranjan Sapkota
- Financial Literacy Levels among Saudi Citizens across Budgeting, Saving, Investment, Debt, and Insurance Dimensions pp. 1-18

- Naseem Al Rahahleh
- Analysis of the Impact of COVID-19 Pandemic on the Intraday Efficiency of Agricultural Futures Markets pp. 1-18

- Faheem Aslam, Paulo Ferreira and Haider Ali
- Nexus between Regulatory Sandbox and Performance of Digital Banks—A Study on UK Digital Banks pp. 1-18

- Patrick Bernard Washington, Shafiq Ur Rehman and Ernesto Lee
- Explainable AI for Credit Assessment in Banks pp. 1-23

- Petter Eilif de Lange, Borger Melsom, Christian Bakke Vennerød and Sjur Westgaard
- Global Spillovers of a Chinese Growth Slowdown pp. 1-23

- Shaghil Ahmed, Ricardo Correa, Daniel Dias, Nils Gornemann, Jasper Hoek, Anil Jain, Edith Liu and Anna Wong
- Modeling the Risks of the Global Customs Space pp. 1-23

- Olha Borysenko, Olena Vasyl’yeva, Olga Katerna, Iuliia Masiuk and Oleg Panakhi
- Compositional Classification of Financial Statement Profiles: The Weighted Case pp. 1-17

- Pol Jofre-Campuzano and Germà Coenders
- Board Directorships and Carbon Emissions: Curvilinear Relationships and Moderating Roles of Other Board Characteristics pp. 1-17

- Kwok Yip Cheung and Chung Yee Lai
- Institutional Ownership and Firm Performance: Evidence from an Emerging Economy pp. 1-17

- Syeda Humayra Abedin, Humaira Haque, Tanjina Shahjahan and Md Nurul Kabir
- The Impact of Owner-Managers’ Personality Traits on Their Small Hospitality Enterprise Performance in Saudi Arabia pp. 1-17

- Abu Elnasr E. Sobaih, Amer A. Al-qutaish, Hassane Gharbi and Ahmed E. Abu Elnasr
- Causality between Arbitrage and Liquidity in Platinum Futures pp. 1-17

- Kentaro Iwatsubo and Clinton Watkins
- Political Connectedness and Financial Performance of SMEs pp. 1-17

- Gaygysyz Ashyrov and Oliver Lukason
- Corporate Investment Decision: A Review of Literature pp. 1-17

- Umar Farooq, Mosab I. Tabash, Ahmad A. Al-Naimi and Krzysztof Drachal
- The Influence of Transparency and Disclosure on the Valuation of Banks in India: The Moderating Effect of Environmental, Social, and Governance Variables, Shareholder Activism, and Market Power pp. 1-17

- Venkata Mrudula Bhimavarapu, Shailesh Rastogi and Rebecca Abraham
- Financial Inclusion in West African Economic and Monetary Union’s Economies: Performance Analysis Using Data Envelopment Analysis pp. 1-30

- Pawoumodom Matthias Takouda, Mohamed Dia and Alassane Ouattara
- Information and Communication Technology Adoption and Life Insurance Market Development: Evidence from Sub-Saharan Africa pp. 1-10

- Athenia Bongani Sibindi
- Time Value of Money Application for the Asymmetric Distribution of Payments and Facts of Economic Life pp. 1-10

- Ilya Slobodnyak and Anatoly Sidorov
Volume 15, issue 11, 2022
- Framework for Screening and Evaluating the Competencies and Qualities of the Board of Directors in South Africa’s State-Owned Companies pp. 1-15

- Modi Hlobo, Tankiso Moloi and Benjamin Marx
- Does Limited Liability Reduce Leveraged Risk?: The Case of Loan Portfolio Management pp. 1-15

- Deb Narayan Barik and Siddhartha P. Chakrabarty
- Forecastability of Agricultural Commodity Futures Realised Volatility with Daily Infectious Disease-Related Uncertainty pp. 1-15

- Sisa Shiba, Goodness C. Aye, Rangan Gupta and Samrat Goswami
- Assessing Productivity Channels of Human Capital in the Southern African Development Community: New Insights from Women’s Empowerment pp. 1-15

- Abiola John Asaleye and Kariena Strydom
- The Effectiveness of Management Ability on Firm Value and Tax Avoidance pp. 1-15

- Maryam Seifzadeh
- Exchange Rate Volatility Effect on Economic Growth under Different Exchange Rate Regimes: New Evidence from Emerging Countries Using Panel CS-ARDL Model pp. 1-20

- Karim Ameziane and Bouchra Benyacoub
- The Asymmetric Overnight Return Anomaly in the Chinese Stock Market pp. 1-20

- Yahui An, Lin Huang and Youwei Li
- An Uphill Battle: Financial Education in Romania in the Midst of Societal Transformation pp. 1-19

- Radu Șimandan, Beatrice Leuștean and Răzvan Mihai Dobrescu
- GHG Emissions and Economic Growth in the European Union, Norway, and Iceland: A Validated Time-Series Approach Based on a Small Number of Observations pp. 1-19

- Sergej Gricar, Stefan Bojnec and Tea Baldigara
- The Consequences of a Switch to Free-to-Play for Overwatch and Its Esports League pp. 1-16

- Thomas Newham, Nicolas Scelles and Maurizio Valenti
- Market Orientation and Hotel Industry: Literature Review and Implications for Periods of Market Turmoil pp. 1-16

- Carlos Sampaio and Mónica Régio
- Institutional Investors’ Willingness to Pay for Green Bonds: A Case for Shanghai pp. 1-16

- Yoshihiro Zenno and Kentaka Aruga
- Corporate Governance and Financial Stability: The Case of Commercial Banks in Vietnam pp. 1-16

- Thi Nhu Quynh Nguyen, Duc Trung Nguyen, Anh Le and Dinh Luan Le
- Corporate Social Responsibility Disclosure and Investment Decisions: Evidence from Saudi Indexed Companies pp. 1-14

- Amel Kouaib and Ines Amara
- Use of Derivatives and Market Valuation of the Banking Sector: Evidence from the European Union pp. 1-14

- Marius Cristian Miloș and Laura Raisa Miloș
- Sustainability Initiatives and Failure Risk of a Firm: How Are They Linked? pp. 1-14

- Kertu Lääts and Oliver Lukason
- A Scientometric Study on Management Literature in Southeast Asia pp. 1-14

- Egi Arvian Firmansyah, Hairunnizam Wahid, Ardi Gunardi and Fahmi Ali Hudaefi
- An Empirical Study of Volatility in Cryptocurrency Market pp. 1-14

- Hemendra Gupta and Rashmi Chaudhary
- The Effects of Imports and Economic Growth in Chinese Economy: A Granger Causality Approach under VAR Framework pp. 1-14

- Khalid Usman and Usman Bashir
- Examining the Role of Personality Traits, Digital Technology Skills and Competency on the Effectiveness of Fraud Risk Assessment among External Auditors pp. 1-14

- Nurul Izzaty Mat Ridzuan, Jamaliah Said, Fazlida Mohd Razali, Dewi Izzwi Abdul Manan and Norhayati Sulaiman
- When Does Pairs Trading Outperform Cross-Sectional Momentum? pp. 1-7

- Oh Kang Kwon and Stephen Satchell
- Carry Trade and Capital Market Returns in South Africa pp. 1-13

- Lumengo Bonga-Bonga and Sefora Motena Rangoanana
- The Different Dividend Signaling Effect under Tax Deduction around Ex-Right Day: Evidence from Taiwan Stock Exchange pp. 1-13

- Hsing-Hua Hsiung, Juo-Lien Wang and Hong-Wei Huang
- Examining the Link between Technical Efficiency, Corporate Governance and Financial Performance of Firms: Evidence from Nigeria pp. 1-13

- Adedoyin Isola Lawal, Lawal-Adedoyin Bose Bukola, Olujide Olakanmi, Timothy Kayode Samson, Nwanji Tony Ike, Abiodun Samuel Ajayi, Fakile Samuel Adeniran, Oseni Ezekiel, Opeyemi Oyelude and Grace Adigun
- Net Stable Funding Ratio (NSFR) and Bank Performance: A Study of the Indian Banks pp. 1-13

- Anureet Virk Sidhu, Shailesh Rastogi, Rajani Gupte, Aashi Rawal and Bhakti Agarwal
- Family Communication, Privacy Orientation, & Financial Literacy: A Survey of U.S. College Students pp. 1-13

- Thomas A. Hanson
- Can EU Bonds Serve as Euro-Denominated Safe Assets? pp. 1-13

- Tilman Bletzinger, William Greif and Bernd Schwaab
- Efficient Pricing of Spread Options with Stochastic Rates and Stochastic Volatility pp. 1-12

- Alexis Levendis and Eben Maré
- Market Intraday Momentum with New Measures for Trading Cost: Evidence from KOSPI Index pp. 1-12

- Chien-Yuan Lai, Zhen-Yu Lin, Cheoljun Eom and Ping-Chen Tsai
- Accounting Comparability, Conservatism, Executive Compensation-Performance, and Information Quality pp. 1-28

- Abbas Ali Daryaei, Yasin Fattahi, Davood Askarany, Saeed Askary and Mahdad Mollazamani
- Choosing a Business or Economics Study Program at University: The Role of the Economics Teacher pp. 1-28

- Michael Jüttler and Stephan Schumann
- Dependencies and Volatility Spillovers among Chinese Stock and Crude Oil Future Markets: Evidence from Time-Varying Copula and BEKK-GARCH Models pp. 1-18

- Xiaoling Yu and Kaitian Xiao
- How to Rate the Financial Performance of Private Companies? A Tailored Integrated Rating Methodology Applied to North-Eastern Italian Districts pp. 1-18

- Guido Max Mantovani and Gregory Gadzinski
- On the Contaminated Weighted Exponential Distribution: Applications to Modeling Insurance Claim Data pp. 1-18

- Abbas Mahdavi, Omid Kharazmi and Javier E. Contreras-Reyes
- Towards True Climate Neutrality for Global Aviation: A Negative Emissions Fund for Airlines pp. 1-18

- Sascha Nick and Philippe Thalmann
- Institutional Motivations for Conversion from Public Sector Unit to a Social Business: The Case Study of Burgundy School of Business in France pp. 1-18

- Arvind Ashta
- Blockchain Platforms in Energy Markets—A Critical Assessment pp. 1-18

- Christoph Burger and Jens Weinmann
- Time Dependence of CAPM Betas on the Choice of Interval Frequency and Return Timeframes: Is There an Optimum? pp. 1-18

- Pankaj Agrrawal, Faye W. Gilbert and Jason Harkins
- Impacts of Emissions Trading Scheme Initiatives on Corporate Carbon Proactivity and Financial Performance pp. 1-18

- Guiliang Zha, Yongqing Li and Qingliang Tang
- Mindsponge-Based Reasoning of Households’ Financial Resilience during the COVID-19 Crisis pp. 1-18

- Minh-Hoang Nguyen, Quy Khuc, Viet-Phuong La, Tri Le, Quang-Loc Nguyen, Ruining Jin, Phuong-Tri Nguyen and Quan Hoang Vuong
- Developing a Model of Insurance Securitisation in Iranian Environmental Conditions pp. 1-18

- Mahshid Peivandi, Mehdi Zeynali, Mahdi Salehi, Ali Paytakhti Oskooe and Younes Badavar Nahandi
- Evaluate the Causal Relations among the Criteria in Successful CSR Practices pp. 1-22

- Chia-Chi Sun and Shu-Ni Yen
- CSR and Firm Risk: Is Shareholder Activism a Double-Edged Sword? pp. 1-22

- Konstantinos Bozos, Timothy King and Dimitrios Koutmos
- Financial Literacy of Adults in Germany FILSA Study Results pp. 1-17

- Michael Schuhen, Susanne Kollmann, Minou Seitz, Gunnar Mau and Manuel Froitzheim
- Students’ Perception of the Use of a Rubric and Peer Reviews in an Online Learning Environment pp. 1-17

- Letebele Mphahlele
- Entrepreneurial Financing in Africa during the COVID-19 Pandemic pp. 1-17

- Lenny Phulong Mamaro and Athenia Bongani Sibindi
- Selected Issues of (Good) Governance in North American Professional Sports Leagues pp. 1-17

- Nelson Morales and Mathias Schubert
- Should Firms in Emerging Markets Invest in R&D? Evidence from China’s Manufacturing Sector pp. 1-17

- Dachen Sheng and Heather Montgomery
- Uncertainty and Risk in the Cryptocurrency Market pp. 1-17

- Dora Almeida, Andreia Dionísio, Isabel Vieira and Paulo Ferreira
- A Bibliometric Analysis of Machine Learning Econometrics in Asset Pricing pp. 1-17

- Hector O. Zapata and Supratik Mukhopadhyay
- Effects of Supplier’s Competitive Factors on Relationship Performance and Product Recommendation in Crop Protection Retail Sector pp. 1-17

- Byungok Ahn, Boyoung Kim and Jongpil Yu
- A Study of Banks’ Systemic Importance and Moral Hazard Behaviour: A Panel Threshold Regression Approach pp. 1-23

- C. P. Gupta and Arushi Jain
- Relationships between ESG Disclosure and Economic Growth: A Critical Review pp. 1-23

- Bertrand Kian Hassani and Yacoub Bahini
- A Comparative Analysis of Reputation in Enlisted Firms on the Iraq Stock Exchange pp. 1-11

- Hind Shafeeq Nimr Al-Maliki
- Energy Communities Overview: Managerial Policies, Economic Aspects, Technologies, and Models pp. 1-45

- Grigorios L. Kyriakopoulos
- Accounting and Econometrics: From Paweł Ciompa to Contemporary Research pp. 1-10

- Marek Gruszczyński
- Mega Universities, Nanodegrees, and the Digital Disruption in Higher Education pp. 1-3

- Babu George
Volume 15, issue 10, 2022
- Knowledge Collaboration among Tax Professionals through the Lens of a Community of Practice pp. 1-19

- Nurhidayah Bahar, Shamshul Bahri and Zarina Zakaria
- Greek Banking Sector Stock Reaction to ECB’s Monetary Policy Interventions pp. 1-19

- Nikolaos Petrakis, Christos Lemonakis, Christos Floros and Constantin Zopounidis
- Would You like to Work More Hours?—An Investigation on South Africa pp. 1-19

- Cristina Raluca Gh. Popescu and Esra Karapınar Kocağ
- Appraising Executive Compensation ESG-Based Indicators Using Analytical Hierarchical Process and Delphi Techniques pp. 1-19

- Reon Matemane, Tankiso Moloi and Michael Adelowotan
- Religiosity at the Top and Annual Report Readability pp. 1-19

- Toufiq Nazrul, Adam Esplin, Kevin E. Dow and David M. Folsom
- Revisiting the Long-Run Dynamic Linkage between Dividends and Share Price with Advanced Panel Econometrics Techniques pp. 1-19

- Sudatta Bharati Mohapatra and Nirmal Chandra Kar
- Testing of a Volatility-Based Trading Strategy Using Behavioral Modified Asset Allocation pp. 1-20

- Jonas Freibauer and Silja Grawert
- A State-of-the-Art Fund Performance Index: Higher-Order Omega and Its Consistency with Almost Stochastic Dominance pp. 1-20

- Hengzhen Lu, Yingying Zhang, Ling Xiao and Gurjeet Dhesi
- The Impact of Digitalization on Performance Indicators of Russian Commercial Banks in 2021 pp. 1-20

- Ekaterina A. Potapova, Maxim O. Iskoskov and Natalia V. Mukhanova
- Interplay between Finance and Institutions in the Development Process of the Industrial Sector: Evidence from South Africa pp. 1-20

- Adewale Samuel Hassan and Daniel Francois Meyer
- Do the Underlying Portfolios Matter? A Comparative Study of Equity-Linked Pay-at-Maturity Principal Protected Notes in Canada and the UK pp. 1-20

- Yuanshun Li, Scott Anderson and Patricia A. McGraw
- BWM—RAPS Approach for Evaluating and Ranking Banking Sector Companies Based on Their Financial Indicators in the Saudi Stock Market pp. 1-20

- Mohammed H. Alamoudi and Omer A. Bafail
- Inflation Forecasts and European Asset Returns: A Regime-Switching Approach pp. 1-20

- Nicolas Pesci, Jean-Philippe Aguilar, Victor James and Fabien Rouillé
- Opportunities of Development of Eco-Tourism in the Karelian Arctic in the Conditions of the Existing Environmental and Social Challenges pp. 1-20

- Anastasia V. Vasilieva, Alexander D. Volkov, Valentina V. Karginova-Gubinova and Sergey V. Tishkov
- Social Identity Dimensions as Drivers of Consumer Engagement in Social Media Sports Club pp. 1-15

- Željka Marčinko Trkulja, Jasmina Dlačić and Dinko Primorac
- Evidential Strategies in Financial Statement Analysis: A Corpus Linguistic Text Mining Approach to Bankruptcy Prediction pp. 1-15

- Tobias Nießner, Daniel H. Gross and Matthias Schumann
- On Financial Distributions Modelling Methods: Application on Regression Models for Time Series pp. 1-15

- Paul R. Dewick
- Price Stability Properties and Volatility Analysis of Precious Metals: An ICSS Algorithm Approach pp. 1-15

- Sameen Fatima, Christopher Gan and Baiding Hu
- Grocery Apps and Consumer Purchase Behavior: Application of Gaussian Mixture Model and Multi-Layer Perceptron Algorithm pp. 1-16

- Aidin Salamzadeh, Pejman Ebrahimi, Maryam Soleimani and Maria Fekete-Farkas
- Optimizing Portfolio Risk of Cryptocurrencies Using Data-Driven Risk Measures pp. 1-16

- Sulalitha Bowala and Japjeet Singh
- The Sectoral Effects of Value-Added Tax: Evidence from UAE Stock Markets pp. 1-16

- Anagha Ann Gopakumar, Avneet Kaur, Vikash Ramiah and Krishna Reddy
- Sustainable versus Conventional Cryptocurrencies in the Face of Cryptocurrency Uncertainty Indices: An Analysis across Time and Scales pp. 1-16

- Inzamam UI Haq and Elie Bouri
- Money Attitude and Spiritual Well-Being pp. 1-16

- Hok-Ko Pong
- The Analysis of Risk and Return Using Sharia Compliance Assets Pricing Model with Profit-Sharing Approach (Mudharabah) in Energy Sector Company in Indonesia pp. 1-14

- Ahmad Faisol, Sulaeman Rahman Nidar and Aldrin Herwany
- Attaining Standardization in Islamic Banking Institutions in Pakistan: Analysis on Ijarah Financing pp. 1-14

- Shujaat Saleem, Umair Baig, Ieva Meidute Kavaliauskiene, Mehboob Ul Hassan and Fadillah Mansor
- The Economic Impact of Flood Zone Designations on Residential Property Valuation in Miami-Dade County pp. 1-14

- Evelyn G. Shu, Jeremy R. Porter, Bradley Wilson, Mark Bauer and Mariah L. Pope
- The Convergence Evolution in Europe from a Complex Networks Perspective pp. 1-14

- Theophilos Papadimitriou, Periklis Gogas and Fotios Gkatzoglou
- Idiosyncratic Risk Volatility: Stock Price Informativeness or Price Error? pp. 1-14

- Yuni Pristiwati Noer Widianingsih and Doddy Setiawan
- The Worst Case GARCH-Copula CVaR Approach for Portfolio Optimisation: Evidence from Financial Markets pp. 1-14

- Tahani S. Alotaibi, Luciana Dalla Valle and Matthew J. Craven
- Multiplicative Methodology for Assessing Investment Attractiveness and Risk for Industries pp. 1-9

- Yulia Vertakova, Maria Klevtsova and Anna Zadimidchenko
- Financial Report Readability and Accounting Conservatism pp. 1-9

- Zhimin (Jimmy) Yu
- Multi-Criteria Decision Making in Production Fields: A Structured Content Analysis and Implications for Practice pp. 1-21

- Gerarda Fattoruso
- Review of the Literature on Merger Waves pp. 1-21

- Sangjun Cho and Chune Young Chung
- Social Networks Marketing, Value Co-Creation, and Consumer Purchase Behavior: Combining PLS-SEM and NCA pp. 1-21

- Farzin Arbabi, Seyed Mohammad Khansari, Aidin Salamzadeh, Abbas Gholampour, Pejman Ebrahimi and Maria Fekete-Farkas
- Information Spillovers Prior to M&A Announcements pp. 1-21

- Danjue Clancey-Shang
- The Uneven Short-Run Effects of the COVID-19 Pandemic on Foreign Direct Investment pp. 1-21

- Roxana Wright and Chen Wu
- Volatility Spillover among Japanese Sectors in Response to COVID-19 pp. 1-21

- Hideto Shigemoto and Takayuki Morimoto
- A Mortality Risk Analysis for OSHA’s COVID-19 Emergency Regulations pp. 1-21

- James Broughel and Andrew Baxter
- Board Attributes and Bank Performance in Light of Saudi Corporate Governance Regulations pp. 1-27

- Omer Saeed Habtoor
- ERP and Performance of Companies in Romania pp. 1-12

- Alin Marius Andrieș and Iulia Ungureanu
- Mapping the Literature on Social Responsibility and Stakeholders’ Pressures in the Mining Industry pp. 1-28

- Margarida Rodrigues, Maria-Ceu Alves, Rui Silva and Cidália Oliveira
- The Impact of Intellectual Capital on Dynamic Innovation Performance: An Overview of Research Methodology pp. 1-28

- Mostafa A. Ali, Nazimah Hussin, Hossam Haddad, Nidal Mahmoud Al-Ramahi, Tareq Hammad Almubaydeen and Ibtihal A. Abed
- Shari’a Governance in Bahrain: Analysing the Islamic Banking Industry’s Implementation of the Newly Issued Regulatory Shari’a Governance Module pp. 1-22

- Abdulrahman Al-Saadi, M. Kabir Hassan and Ahmed Mansoor Alkhan
- A Time Series Analysis of Judicial Foreclosures in Spain pp. 1-22

- Rafael González-Val
- The Methodology Matters: What Influences Market Reaction, and Post-Issue Returns in Seasoned Equity Offerings? pp. 1-22

- C. N. V. Krishnan and Minghao Wu
- Earnings Management and Corporate Performance in the Scope of Firm-Specific Features pp. 1-18

- Dominika Gajdosikova, Katarina Valaskova and Pavol Durana
- COVID-19’s Impact on Fintech Adoption: Behavioral Intention to Use the Financial Portal pp. 1-18

- Arfan Shahzad, Nurhana Zahrullail, Ahsan Akbar, Hana Mohelska and Arsalan Hussain
- Firm Performance during COVID-19 Pandemic: Does Ownership Identity Matter? Evidence from Indonesia pp. 1-18

- Dian Perwitasari, Doddy Setiawan, An Nurrahmawati and Isna Putri Rahmawati
- Pricing Cat Bonds for Cloud Service Failures pp. 1-18

- Loretta Mastroeni, Alessandro Mazzoccoli and Maurizio Naldi
- International Information Spillovers and Asymmetric Volatility in South Asian Stock Markets pp. 1-18

- Dinesh Gajurel and Akhila Chawla
- Attitude towards Online Shopping during Pandemics: Do Gender, Social Factors and Platform Quality Matter? pp. 1-18

- Nada Mallah Boustani, May Merhej Sayegh and Zaher Boustany
- The Impacts of the COVID-19 Pandemic on the Tour Operator Market—The Case of Slovakia pp. 1-8

- Ján Derco
- Effects of the Human-Mobility Change during the COVID-19 Pandemic on Electricity Demand pp. 1-11

- Kentaka Aruga
- What Remains Unsolved in Sub-African Environmental Exposure Information Disclosure: A Review pp. 1-11

- Abd Alwahed Dagestani, Lingli Qing and Mohamad Abou Houran
- Assessment of the Financial Benefits from Wind Farms in US Rural Locations pp. 1-23

- Francisco Haces-Fernandez
- A Taxonomy of Product–Service System Perturbations through a Systematic Literature Review pp. 1-23

- Hanfei Wang, Yuya Mitake, Yusuke Tsutsui, Salman Alfarisi and Yoshiki Shimomura
- Surviving Meltdowns That Cannot Be Prevented: Review of Gaps in Managing Uncertainty and Addressing Existential Vulnerabilities pp. 1-23

- Karamjeet S. Paul
- What Do We Know about Crowdfunding and P2P Lending Research? A Bibliometric Review and Meta-Analysis pp. 1-23

- Mustafa Raza Rabbani, Abu Bashar, Iqbal Thonse Hawaldar, Muneer Shaik and Mohammed Selim
- Insight into Predicted Shocks in Tourism: Review of an Ex-Ante Forecasting pp. 1-17

- Sergej Gricar, Stefan Bojnec and Tea Baldigara
- Cross-Border Acquisitions and Shareholders’ Wealth: The Case of the Indian Pharmaceutical Sector pp. 1-17

- Abdul Wajid, Anjim Sabiha, Shakeb Akhtar, Mosab I. Tabash and Linda Nalini Daniel
- The Robustness of the Determinants of Overall Bank Risks in the MENA Region pp. 1-17

- Tarek Eldomiaty, Amr Youssef and Heba Mahrous
- Consumption Loan Augmented Divisia Monetary Index and China Monetary Aggregation pp. 1-17

- William Barnett, Kun He and Jingtong He
- The Characteristics of the Housing Market and the Goal of Stable and Healthy Development in China’s Cities pp. 1-17

- Guocheng Xiang, Juan Tang and Shuntian Yao
- Correlations of Taxation and Macroeconomic Indicators in the OECD Member Countries from 2014 to the First Year of the Crisis Caused by COVID-19 pp. 1-17

- Csaba Lentner, Szilárd Hegedűs and Vitéz Nagy
- Extreme Connectedness between Green Bonds, Government Bonds, Corporate Bonds and Other Asset Classes: Insights for Portfolio Investors pp. 1-17

- Emmanuel Abakah, Aviral Tiwari, Aarzoo Sharma and Dorika Jeremiah Mwamtambulo
- The Implication of IFRS Financial Instruments Disclosure on Value Relevance pp. 1-17

- Taleb Alsarayreh, Mohammad Saleh Altarawneh and Ahmed Eltweri
- Factor-Based Investing in Market Cycles: Fama–French Five-Factor Model of Market Interest Rate and Market Sentiment pp. 1-24

- Yu-Shang Kuo and Jen-Tsung Huang
- The Interplay between COVID-19 and the Economy in Canada pp. 1-26

- Vinicius Albani, Matheus Grasselli, Weijie Pang and Jorge P. Zubelli
- The Effects of Securitization for Managing Banking Risk Using Alternative Tranching Schemes pp. 1-25

- Pedro Cadenas and Henryk Gzyl
- Stochastic Conditional Duration Model with Intraday Seasonality and Limit Order Book Information pp. 1-25

- Tomoki Toyabe and Teruo Nakatsuma
Volume 15, issue 9, 2022
- CO 2 Emissions in G20 Nations through the Three-Sector Model pp. 1-25

- Kejia Yan, Rakesh Gupta and Victor Wong
- Direct and Indirect Implications of the COVID-19 Pandemic on Amazon’s Financial Situation pp. 1-25

- Zixuan Qin, Abeer Hassan and Mahalaxmi Adhikariparajuli
- Developing Novel Technique for Investigating Guidelines and Frameworks: A Text Mining Comparison between International and Japanese Green Bonds pp. 1-17

- Kentaka Aruga, Md. Monirul Islam, Yoshihiro Zenno and Arifa Jannat
- Can Entrepreneurs Who Experienced Business Closure Bring Their New Start-Up to a Successful M&A? pp. 1-17

- Shai Harel, Eliran Solodoha and Stav Rosenzweig
- Analysing Drivers of Knowledge Leakage in Collaborative Agreements: A Magnetic Processing Case Firm pp. 1-17

- Samuel Foli and Susanne Durst
- Interest Rates, House Prices, Fertility, and the Macroeconomy pp. 1-17

- Ermanno Affuso, Khandokar Istiak and James Swofford
- Emissions Reduction Policies and Their Effects on Economy pp. 1-17

- Apoorva Gurtu, Vidhisha Vyas and Amulya Gurtu
- How Does Market Competition Affect Shareholder Voting? Evidence from Branching Deregulation in the U.S. Banking Market pp. 1-23

- Karel Hrazdil, Jeong-Bon Kim, Lijing Tong and Min Zhang
- Mapping the Trend, Application and Forecasting Performance of Asymmetric GARCH Models: A Review Based on Bibliometric Analysis pp. 1-23

- Neenu Chalissery, Suhaib Anagreh, Mohamed Nishad T. and Mosab I. Tabash
- Breaking Cournot: The Effects of Capacity-Adjusting Technology pp. 1-11

- Richard J. Arend
- Carbon Futures and Clean Energy Stocks: Do They Hedge or Safe Haven against the Climate Policy Uncertainty? pp. 1-11

- Mohammad Enamul Hoque and Sourav Batabyal
- Financial Inclusion in Rural South Africa: A Qualitative Approach pp. 1-22

- Munacinga Simatele and Loyiso Maciko
- Corporate Governance and CSR Disclosure: International Evidence for the Period 2006–2016 pp. 1-22

- Zeynab Miniaoui, Faten Chibani and Khaled Hussainey
- The Determinants of Immigrants’ Skill Composition pp. 1-18

- Esra Karapınar Kocağ, Yutong Li and Cristina Raluca Gh. Popescu
- Season Ticketing as a Risk Management Tool in Professional Team Sports: A Pricing Analysis of German Soccer and Basketball pp. 1-18

- Christopher Huth and Markus Kurscheidt
- Target Date Funds, Drawdown Risk, and Central Bank Intervention: Evidence during the COVID-19 Pandemic pp. 1-18

- Arjun K. Iyer, Seth A. Hoelscher and Cédric L. Mbanga
- Accounting Conservatism and Earnings Quality pp. 1-18

- Farzaneh Nassir Zadeh, Davood Askarany and Solmaz Arefi Asl
- “Empirical Corporate Finance: Opportunities and Challenges”—Editorial Synthesis of the Special Issue pp. 1-8

- Philip Sinnadurai
- Trading Activity in Public Real Estate Markets pp. 1-12

- Thomas Richter
- Risks and Challenges Associated with NEOM Project in Saudi Arabia: A Marketing Perspective pp. 1-12

- Areej Algumzi
- Herding Behavior in Developed, Emerging, and Frontier European Stock Markets during COVID-19 Pandemic pp. 1-12

- Sinisa Bogdan, Natali Suštar and Bojana Olgić Draženović
- Human Resource Skill Adjustment in Service Sector: Predicting Dynamic Capability in Post COVID-19 Work Environment pp. 1-12

- Nurul Mohammad Zayed, Friday Ogbu Edeh, Saad Darwish, K. M. Anwarul Islam, Halyna Kryshtal, Vitalii Nitsenko and Olena Stanislavyk
- Does the Impact of Transparency and Disclosure on the Firm’s Valuation Depend on the ESG? pp. 1-12

- Venkata Mrudula Bhimavarapu, Shailesh Rastogi, Rajani Gupte, Geetanjali Pinto and Sudam Shingade
- Exploring Coupled Open Innovation for Digital Servitization in Grocery Retail: From Digital Dynamic Capabilities Perspective pp. 1-12

- Andrejs Čirjevskis
- A Fourier Interpolation Method for Numerical Solution of FBSDEs: Global Convergence, Stability, and Higher Order Discretizations pp. 1-32

- Polynice Oyono Ngou and Cody Hyndman
- The Impact of Microfinance Institutions on Poverty Alleviation pp. 1-13

- Collin Chikwira, Edson Vengesai and Petronella Mandude
- Paradigm Shift in Finance: The Transformation of the Theory from Perfect to Imperfect Capital Markets Using the Example of Company Valuation pp. 1-13

- Dietmar Ernst and Werner Gleißner
- An Alternative to Coping with COVID-19—Knowledge Management Applied to the Banking Industry in Taiwan pp. 1-21

- Chih-Hsiung Chang, Wu-Hua Chang, Hsiu-Chin Hsieh and Yi-Yu Shih
- Saddlepoint Method for Pricing European Options under Markov-Switching Heston’s Stochastic Volatility Model pp. 1-9

- Mengzhe Zhang and Leunglung Chan
- Financial Inclusion and Intersectionality: A Case of Business Funding in the South African Informal Sector pp. 1-14

- Munacinga Simatele and Martin Kabange
- Impact of the COVID-19 Pandemic on EU Convergence pp. 1-14

- Josef Abrhám and Milan Vošta
- An Extended Fama-French Multi-Factor Model in Direct Real Estate Investing pp. 1-14

- Chung-Yim Yiu, Chuyi Xiong and Ka-Shing Cheung
- A Framework for Short- vs. Long-Term Risk Indicators for Outsourcing Potential for Enterprises Participating in Global Value Chains: Evidence from Western Balkan Countries pp. 1-14

- Jolta Kacani, Lindita Mukli and Eglantina Hysa
- Effect of Structural Economic Vulnerability on the Participation in International Trade pp. 1-36

- Sena Kimm Gnangnon
- Board Characteristics and Earnings Management: Evidence from the Vietnamese Market pp. 1-16

- Sangjun Cho and Chuneyoung Chung
- Volatility Spillovers between Stock Market and Hedge Funds: Evidence from Asia Pacific Region pp. 1-39

- Sameen Fatima, Christopher Gan and Baiding Hu
- The Financial Determinants of Integrated Reporting Disclosure by Jordanian Companies pp. 1-20

- Hamzeh Al Amosh, Saleh F. A. Khatib and Khaled Hussainey
- Fractile Graphical Analysis in Finance: A New Perspective with Applications pp. 1-20

- Anil K. Bera and Aurobindo Ghosh
- Investigating the Co-Volatility Spillover Effects between Cryptocurrencies and Currencies at Different Natures of Risk Events pp. 1-15

- Shu-Han Hsu
- Issues of Letter of Credit in Malaysian Islamic Banks pp. 1-15

- Sharifah Faigah Syed Alwi, Ismah Osman, Mohd Bahroddin Badri, Amirul Afif Muhamat, Ruhaini Muda and Uzaimah Ibrahim
- Volatility Spillover Effects during Pre-and-Post COVID-19 Outbreak on Indian Market from the USA, China, Japan, Germany, and Australia pp. 1-15

- Mohanasundaram Thangamuthu, Suneel Maheshwari and Deepak Raghava Naik
- Assessing the Decision Usefulness of Integrated Reports of Namibian Listed Companies pp. 1-15

- Daniel W. Kamotho, Tankiso S. Moloi and Simone Halleen
- The Effect of Tax Fairness, Peer Influence, and Moral Obligation on Sales Tax Evasion among Jordanian SMEs pp. 1-15

- Nayef Mohammad Al-Rahamneh and Zainol Bidin
- Does FDI Promote the Resource Curse in Nigeria? pp. 1-15

- Olatunji Shobande
- The Impact of Organizational Culture on the Effectiveness of Corporate Governance to Control Earnings Management pp. 1-19

- José Ignacio Jarne-Jarne, Susana Callao-Gastón, Miguel Marco-Fondevila and Fernando Llena-Macarulla
- Tracing the Optimal Level of Political and Social Change under Risks and Uncertainties: Some Lessons from Ancient Sparta and Athens pp. 1-19

- George Halkos, Emmanouil-Marios-Lazaros Economou and Nicholas C. Kyriazis
Volume 15, issue 8, 2022
- HF-SCA: Hands-Free Strong Customer Authentication Based on a Memory-Guided Attention Mechanisms pp. 1-24

- Cosimo Distante, Laura Fineo, Luca Mainetti, Luigi Manco, Benito Taccardi and Roberto Vergallo
- Multiple Neighborhood Cellular Automata as a Mechanism for Creating an AGI on a Blockchain pp. 1-24

- Konstantinos Sgantzos, Ian Grigg and Mohamed Al Hemairy
- The Relationship between Audit Adjustments and Audit Quality in Iraq pp. 1-17

- Mahdi Salehi, Mohammed Ibrahim Jebur, Saleh Orfizadeh and Ali Mohammed Abbas Aljahnabi
- Factors Influencing the Take-Up of Agricultural Insurance and the Entry into the Mutual Fund: A Case Study of the Czech Republic pp. 1-17

- Sofia Kislingerová and Jindřich Špička
- The Pervasive Role of Campaign and Product-Related Uncertainties in Inhibiting Crowdfunding Success pp. 1-17

- Christian Hopp, Stefan Rose and Jermain Kaminski
- Does Board Cultural Diversity Contributed by Foreign Directors Improve Firm Performance? Evidence from Australia pp. 1-23

- Olga Dodd and Bowen Zheng
- Management Control Systems and International Entrepreneurship in Small, Young Firms from Resource-Based Theory, Contingence, and Effectuation Approach Perspectives pp. 1-23

- Marta Pérez Sigüenza, Laura Rodríguez-León Rodríguez, Juan Manuel Ramon Jeronimo and Raquel Flórez López
- Cap Rates as a Function of Real Economic Growth pp. 1-18

- Matt Larriva
- The Impact of Digitalization in Supporting the Performance of Circular Economy: A Case Study of Greece pp. 1-18

- Stavros Kalogiannidis, Dimitrios Kalfas, Fotios Chatzitheodoridis and Stamatis Kontsas
- The Impact of Banking Sector Development on Economic Growth: The Case of Vietnam’s Transitional Economy pp. 1-18

- Phuc Tran Nguyen
- How Did Amazon Achieve CSR and Some Sustainable Development Goals (SDGs)—Climate Change, Circular Economy, Water Resources and Employee Rights during COVID-19? pp. 1-18

- Wenxuan Yu, Abeer Hassan and Mahalaxmi Adhikariparajuli
- The COVID-19 Housing Boom: Is a 2007–2009-Type Crisis on the Horizon? pp. 1-22

- Diamando Afxentiou, Peter Harris and Paul Kutasovic
- R&D, Industrial Policy and Growth pp. 1-42

- Alicia H. Dang and Roberto Samaniego
- A Generalized Entropy Approach to Portfolio Selection under a Hidden Markov Model pp. 1-25

- Leonard MacLean, Lijun Yu and Yonggan Zhao
- Algorithm Aversion as an Obstacle in the Establishment of Robo Advisors pp. 1-25

- Ibrahim Filiz, Jan René Judek, Marco Lorenz and Markus Spiwoks
- Oil Price Uncertainty Shocks and Global Equity Markets: Evidence from a GVAR Model pp. 1-26

- Afees Salisu, Rangan Gupta and Riza Demirer
- Capital Structure and Its Determinants—A Comparison of European Top-Rated CSR and Other Companies pp. 1-16

- Peter Krištofík, Juraj Medzihorský and Hussam Musa
- Do You Feel Safe Here? The Role of Psychological Safety in the Relationship between Transformational Leadership and Turnover Intention Amid COVID-19 Pandemic pp. 1-16

- Abu Elnasr E. Sobaih, Hassane Gharbi and Ahmed E. Abu Elnasr
- A Synergy Value Analysis of Sustainable Management Projects: Illustrated by the Example of the Aesthetic Medicine Industry pp. 1-16

- Tyrone T. Lin, Hui-Tzu Yen and Shu-Yen Hsu
- Can Ensemble Machine Learning Methods Predict Stock Returns for Indian Banks Using Technical Indicators? pp. 1-16

- Sabyasachi Mohapatra, Rohan Mukherjee, Arindam Roy, Anirban Sengupta and Amit Puniyani
- An Analysis of Whether Privately Owned Financial Planning Practices Are Transitioning to Fully Independent Advice Providers pp. 1-16

- Darren Pawski, Robert Powell and Anna Golab
- Bubble in Carbon Credits during COVID-19: Financial Instability or Positive Impact (“Minsky” or “Social”)? pp. 1-16

- Bikramaditya Ghosh, Spyros Papathanasiou, Vandita Dar and Konstantinos Gravas
- Spreads and Volatility in House Returns pp. 1-16

- Peter Chinloy, Cheng Jiang and Kose John
- Connectedness between Sectors: The Case of the Polish Stock Market before and during COVID-19 pp. 1-19

- Viorica Chirila
- Overview of Social Assessment Methods for the Economic Analysis of Cultural Heritage Investments pp. 1-19

- Sanja Tišma, Aleksandra Uzelac, Daniela Angelina Jelinčić, Sunčana Franić and Mira Mileusnić Škrtić
- Examining the Asymmetric Effects of Third Country Exchange Rate Volatility on Trade between the US and the EU pp. 1-20

- Chien-Hui Lee, Shu-Hui Li and Jen-Yu Lee
- Modeling Bivariate Dependency in Insurance Data via Copula: A Brief Study pp. 1-20

- Indranil Ghosh, Dalton Watts and Subrata Chakraborty
- Reforms of Corporate Governance Codes in Bangladesh: Developments and Future Directions pp. 1-20

- Md Tariqul Islam, Mahfuzur Rahman and Shrabani Saha
- The Impacts of the Russia–Ukraine Invasion on Global Markets and Commodities: A Dynamic Connectedness among G7 and BRIC Markets pp. 1-20

- Md. Kausar Alam, Mosab I. Tabash, Syed Billah, Sanjeev Kumar and Suhaib Anagreh
- Co-Movement, Portfolio Diversification, Investors’ Behavior and Psychology: Evidence from Developed and Emerging Countries’ Stock Markets pp. 1-15

- Mohammad Sahabuddin, Md. Aminul Islam, Mosab I. Tabash, Suhaib Anagreh, Rozina Akter and Md. Mizanur Rahman
- Is Earnings Management Related to Labor Productivity Gap? Evidence from the USA pp. 1-15

- Rafiqul Bhuyan and Fuad Hasan
- Supply Chain Risk Management in Young and Mature SMEs pp. 1-15

- Samuel Foli, Susanne Durst, Lidia Davies and Serdal Temel
- Hedging Policies to Reduce Agency Costs in Brazil pp. 1-15

- Vinícius Medeiros Magnani, Marcelo Augusto Ambrozini, Rafael Moreira Antonio and Rafael Confetti Gatsios
- Do ESG Ratings Reduce the Asymmetry Behavior in Volatility? pp. 1-32

- Hashem Zarafat, Sascha Liebhardt and Mustafa Hakan Eratalay
- Net Impact of COVID-19 on REIT Returns pp. 1-32

- Yongpei Cai and Kuan Xu
- Assessing the Risk Characteristics of the Cryptocurrency Market: A GARCH-EVT-Copula Approach pp. 1-28

- Pascal Bruhn and Dietmar Ernst
- COVID-19 Mortality and Economic Losses: The Role of Policies and Structural Conditions pp. 1-28

- Weichen Wang, Andrea Gurgone, Humberto Martínez, Maria Cristina Barbieri Góes, Ettore Gallo, Ádam Kerényi, Enrico Maria Turco, Carla Coburger and Pêdra D. S. Andrade
- Health Insurance Patterns of Older Veterans: Evidence from the Health and Retirement Study pp. 1-12

- Amanda C. Stype
- Corporate Financial Strategy in an Emerging Market: Evidence from Indonesia pp. 1-12

- Erik Syawal Alghifari, Atang Hermawan, Ardi Gunardi, Agus Rahayu and Lili Adi Wibowo
- Co-Jumps, Co-Jump Tests, and Volatility Forecasting: Monte Carlo and Empirical Evidence pp. 1-21

- Weijia Peng and Chun Yao
- Disentangling Director Attributes: Human Capital versus Social Capital of Directors pp. 1-21

- Angela Andersen, Alexandre Garel, Aaron Gilbert and Alireza Tourani-Rad
- Risk Management in the Internationalization of Small and Medium-Sized Spanish Companies pp. 1-21

- Ana Cruz González Calzadilla, María Segovia Villarreal, Juan Manuel Ramón Jerónimo and Raquel Flórez López
- Earnings Less Risk-Free Interest Charge (ERIC) and Stock Returns—A Value-Based Management Perspective on ERIC’s Relative and Incremental Information Content pp. 1-21

- Rainer Lueg and Jon Svennesen Toft
- Introduction of a Corporate Security Risk Management System: The Experience of Poland pp. 1-27

- Iryna Kalina, Viktoriia Khurdei, Vira Shevchuk, Tetiana Vlasiuk and Ihor Leonidov
- Systematic and Idiosyncratic Risks of the U.S. Airline Industry pp. 1-13

- Rafiqul Bhuyan, André Varella Mollick and Md Ruhul Amin
- A Giant Falls: The Impact of Evergrande on Asian Stock Indexes pp. 1-14

- Dora Almeida, Andreia Dionísio, Muhammad Enamul Haque and Paulo Ferreira
- The Role of Coefficient Drivers of Time-Varying Coefficients in Estimating the Total Effects of a Regressor on the Dependent Variable of an Equation pp. 1-14

- Paravastu Ananta Venkata Bhattanatha Swamy, I-Lok Chang, Peter von zur Muehlen and Amit Achameesing
- Pandemic-Era Uncertainty pp. 1-14

- Brent Meyer, Emil Mihaylov, Jose Maria Barrero, Steven Davis, David Altig and Nicholas Bloom
- The Use of Artificial Intelligence and Audit Quality: An Analysis from the Perspectives of External Auditors in the UAE pp. 1-14

- Nora Azima Noordin, Khaled Hussainey and Ahmad Faisal Hayek
- Promotion Pressures of Local Leaders and Real Estate Investments: China and Leader Heterogeneity pp. 1-14

- Zhuo Chen, Mingzhi Hu and Zhiyi Qiu
- The Influence of Information Transparency and Disclosure on the Value of Listed Companies: Evidence from Vietnam pp. 1-14

- Loc Dong Truong, Thai Xuan Le and H. Swint Friday
- How Have District-Based House Price Earnings Ratios Evolved in England and Wales? pp. 1-14

- David Gray
- How Market Orientation Impacts Customer’s Brand Loyalty and Buying Decisions pp. 1-14

- Elizabeth Serra, Mariana de Magalhães, Rui Silva and Galvão Meirinhos
Volume 15, issue 7, 2022
- Zombie Firms during and after Crisis pp. 1-11

- Ivana Blažková and Gabriela Chmelíková
- A Procedure to Set Prices and Select Inventory in Thinly Traded Markets Using Data from eBay pp. 1-8

- Xinbo Hu and Paul J. Zak
- Valuing Collaborative Synergies with Real Options Application: From Dynamic Political Capabilities Perspective pp. 1-22

- Andrejs Čirjevskis
- Investigating and Predicting Intentions to Continue Using Mobile Payment Platforms after the COVID-19 Pandemic: An Empirical Study among Retailers in India pp. 1-24

- Rabindra Kumar Jena
- Surviving Black Swans: The Challenge of Market Timing Systems pp. 1-25

- Pankaj Topiwala and Wei Dai
- Market Quality and Short-Selling Ban during the COVID-19 Pandemic: A High-Frequency Data Approach pp. 1-29

- Sandra Ferreruela and Daniel Martín
- Crowd Reactions to Entrepreneurial Failure in Rewards-Based Crowdfunding: A Psychological Contract Theory Perspective pp. 1-26

- Swati Oberoi, Smita Srivastava, Vishal K. Gupta, Rohit Joshi and Atul Mehta
- Mapping the Sustainable Human-Resource Challenges in Southeast Asia’s FinTech Sector pp. 1-26

- An-Chi Wu and Duc-Dinh Kao
- Effects of Multiple Financial News Shocks on Tourism Demand Volatility Modelling and Forecasting pp. 1-47

- Yuruixian Zhang, Wei Chong Choo, Yuhanis Abdul Aziz, Choy Leong Yee, Cheong Kin Wan and Jen Sim Ho
- Artificial Intelligence and Firm Performance: Does Machine Intelligence Shield Firms from Risks? pp. 1-20

- Linh Tu Ho, Christopher Gan, Shan Jin and Bryan Le
- Factors Influencing Saudi Young Female Consumers’ Luxury Fashion in Saudi Arabia: Predeterminants of Culture and Lifestyles in Neom City pp. 1-13

- Areej Algumzi
- The Evolution of Job Lock in the U.S.: Evidence from the Affordable Care Act pp. 1-13

- James Bailey, Gregory Colman and Dhaval Dave
- Are Banks Still a Risk Source for Stock Market? Some Empirical Evidences pp. 1-13

- Michele Anelli, Michele Patanè and Stefano Zedda
- Is Bitcoin a Safe Haven for Indian Investors? A GARCH Volatility Analysis pp. 1-13

- Sarika Murty, Vijay Victor and Maria Fekete-Farkas
- Institutional Ownership and Investment Efficiency: Evidence from Iran pp. 1-17

- Mohammad Moradi, Hassan Yazdifar, Hoda Eskandar and Navid Reza Namazi
- A Primer on Rules of Origin as Non-Tariff Barriers pp. 1-23

- Dzmitry Kniahin and Jaime de Melo
- Waste Bank-Socio-Economic Empowerment Nexus in Indonesia: The Stance of Maqasid al-Shariʻah pp. 1-23

- Miftahorrozi Miftahorrozi, Shabeer Khan and Muhammad Bhatti
- Driving SMEs’ Performance in South Africa: Investigating the Role of Performance Appraisal Practices and Managerial Competencies pp. 1-18

- Nhamo Mashavira, Sevias Guvuriro and Crispen Chipunza
- Health Services and Patient Satisfaction in IRAN during the COVID-19 Pandemic: A Methodology Based on Analytic Hierarchy Process and Artificial Neural Network pp. 1-18

- Seyed Mohammad Khansari, Farzin Arbabi, Mir Hadi Moazen Jamshidi, Maryam Soleimani and Pejman Ebrahimi
- A Revised Technology–Organisation–Environment Framework for Brick-and-Mortar Retailers Adopting M-Commerce pp. 1-18

- Mateus Vicente Justino, Robertson Tengeh and Michael Twum-Darko
- Developing an Impact-Focused Typology of Socially Responsible Fund Providers pp. 1-18

- Joel Diener and André Habisch
- A Discourse on Foresight and the Valuation of Explicit and Tacit Synergies in Strategic Collaborations pp. 1-18

- Andrejs Čirjevskis
- The Effects of ESG Activity Recognition of Corporate Employees on Job Performance: The Case of South Korea pp. 1-18

- Minsuck Jin and Boyoung Kim
- Evidence of Abnormal Trading on COVID-19 Pfizer Vaccine Development Information pp. 1-10

- Andrew N. Mason and Ahmed Elkassabgi
- Performance Evaluation of Utility Exchange-Traded Funds: A Super-Efficiency Approach pp. 1-10

- Ioannis E. Tsolas
- Causal Effects of Financial Education Intervention Aimed at University Students on Financial Knowledge and Financial Self-Efficacy pp. 1-16

- Manuel Salas-Velasco
- Global Top E-Commerce Companies: Transparency Analysis Based on Annual Reports pp. 1-16

- Ionel Bostan, Alic Bîrcă, Aliona Bîrcă and Christiana Brigitte Sandu
- Parsimonious AHP-DEA Integrated Approach for Efficiency Evaluation of Production Processes pp. 1-15

- Salvatore Ammirato, Gerarda Fattoruso and Antonio Violi
- Russia’s War in Ukraine: Consequences for European Countries’ Businesses and Economies pp. 1-15

- Anatolijs Prohorovs
- Financial Technology and Its Impact on Digital Literacy in India: Using Poverty as a Moderating Variable pp. 1-15

- Rahul Singh Gautam, Shailesh Rastogi, Aashi Rawal, Venkata Mrudula Bhimavarapu, Jagjeevan Kanoujiya and Samaksh Rastogi
- Strategy and Practice for Sustainability in Businesses in the Middle East and North Africa in a Global Perspective pp. 1-19

- Ayman Ismail, Fatima Boutaleb, Esra E. Karadeniz, Ehud Menipaz, Chafik Bouhaddioui, Widad A. Rahman, Lidia Sanchez-Ruiz and Thomas Schøtt
- Fintech Innovations in the Financial Service Industry pp. 1-19

- Mansurali Anifa, Swamynathan Ramakrishnan, Shanmugan Joghee, Sajal Kabiraj and Malini Mittal Bishnoi
- How Can European Regulation on ESG Impact Business Globally? pp. 1-19

- Rocío Redondo Alamillos and Frédéric de Mariz
- Board Characteristics and the Insolvency Risk of Non-Financial Firms pp. 1-19

- Florian Maier and Burcin Yurtoglu
- Does Board Gender Diversity Really Improve Firm Performance? Evidence from Greek Listed Firms pp. 1-19

- Stavros E. Arvanitis, Evangelos G. Varouchas and George Agiomirgianakis
- The Effects of National Fundamental Factors on Regional House Prices: A Factor-Augmented VAR Analysis pp. 1-19

- Xiang Gao, Wen Kong and Zhijun Hu
- The Impact of Vertical Theories of Harm on Investor Returns: An Event Study of US Vertical Mergers pp. 1-19

- Ralph Sonenshine and Seyni Da
- Does Volume of Gold Consumption Influence the World Gold Price? pp. 1-14

- Maria Immanuvel S and Daniel Lazar
- A Particle Swarm Optimization Copula-Based Approach with Application to Cryptocurrency Portfolio Optimisation pp. 1-14

- Jules Clement Mba and Magdaline Mbong Mai
- Crypto-Coins and Credit Risk: Modelling and Forecasting Their Probability of Death pp. 1-34

- Dean Fantazzini
- Financial Crises and Business Cycle Implications for Islamic and Non-Islamic Bank Lending in Indonesia pp. 1-32

- Samar Issa
- Factors Affecting Risk Attitude of Rice Farmers: Evidence from Vietnam’s Mekong Delta pp. 1-12

- Khuu Thi Phuong Dong, Phan Dinh Khoi, Phan Hong Nhung, Nguyen Thanh Binh and Tran Thi Hanh Phuc
- Predicting Innovation Capability through Knowledge Management in the Banking Sector pp. 1-12

- Friday Ogbu Edeh, Nurul Mohammad Zayed, Vitalii Nitsenko, Olha Brezhnieva-Yermolenko, Julia Negovska and Maryna Shtan
- Investor Perception, Market Reaction, and Post-Issue Performance in Bank Seasoned Equity Offerings pp. 1-21

- Krishnan Cnv and Yu He
- Relationship between Advertising Disclosure, Influencer Credibility and Purchase Intention pp. 1-21

- Vesna Sesar, Ivana Martinčević and Monika Boguszewicz-Kreft
- Identification of Risk Factors in Business Valuation pp. 1-21

- Muhammad Najib Razali, Rohaya Abdul Jalil, Kamalahasan Achu and Hishamuddin Mohd Ali
Volume 15, issue 6, 2022
- Peculiarities of Sustainable Cultural Development: A Case of Dark Tourism in Lithuania pp. 1-25

- Virginija Jureniene and Martynas Radzevicius
- Economic Stimulus and Financial Instability: Recent Case of the U.S. Household pp. 1-25

- Youngna Choi
- The Effects of Certificate-of-Need Laws on the Quality of Hospital Medical Services pp. 1-29

- Thomas Stratmann
- The Great Game Will Never End: Why the Global Financial Crisis Is Bound to Be Repeated pp. 1-61

- David Blake
- Consumer Perceptions of the Use of Nondegradable Plastic Packaging and Environmental Pollution: A Review of Theories and Empirical Literature pp. 1-17

- Virimai Victor Mugobo, Herbert Ntuli and Chux Gervase Iwu
- The Economic Policy Uncertainty and Its Effect on Sustainable Investment: A Panel ARDL Approach pp. 1-17

- Susilo Nur Aji Cokro Darsono, Wing-Keung Wong, Tran Thai Ha Nguyen and Dyah Titis Kusuma Wardani
- The Effects of CSR Report Mandatory Policy on Analyst Forecasts: Evidence from Taiwan pp. 1-17

- Tzu-Yun Tseng and Nien-Su Shih
- The Interactive Effect of Ownership Structure on the Relationship between Annual Board Report Readability and Stock Price Crash Risk pp. 1-17

- Mohsen Tavakoli Shandiz, Farzaneh Nassir Zadeh and Davood Askarany
- Empirically Investigating the Disclosure of Nonfinancial Information: A Content Study on Corporations Listed in the Saudi Capital Market pp. 1-23

- Reem Fraih Alshiban and Khalid Rasheed Al-Adeem
- The Pricing Model of Pension Benefit Guaranty Corporation Insurance with Regime-Switching Processes pp. 1-23

- Ting-Fu Chen, Shih-Kuei Lin, An-Sing Chang and Wei-Hao Wang
- Dynamic Causality Analysis of COVID-19 Pandemic Risk and Oil Market Changes pp. 1-11

- Mike K. P. So, Jacky N. L. Chan and Amanda M. Y. Chu
- Wealth Inequality in South Africa—The Role of Government Policy pp. 1-11

- Marlin Jason Fortuin, Gerhard Philip Maree Grebe and Patricia Lindelwa Makoni
- The Use of Principal Component Analysis (PCA) in Building Yield Curve Scenarios and Identifying Relative-Value Trading Opportunities on the Romanian Government Bond Market pp. 1-37

- Andreea Oprea
- Are Structural Funds a Real Solution for Regional Development in the European Union? A Study on the Northeast Region of Romania pp. 1-18

- Ionel Bostan, Andrei-Alexandru Moroşan, Cristian-Valentin Hapenciuc, Pavel Stanciu and Iulian Condratov
- The Generalized Gamma Distribution as a Useful RND under Heston’s Stochastic Volatility Model pp. 1-18

- Benzion Boukai
- Challenges for Corporate Reputation—Online Reputation Management in Times of Global Pandemic pp. 1-18

- František Pollák and Peter Markovič
- Budgetary Allocations and Government Response to COVID-19 Pandemic in South Africa and Nigeria pp. 1-18

- Agunyai Samuel Chukwudi and Ojakorotu Victor
- Banking Risks in the Asset and Liability Management System pp. 1-18

- Liubov Lysiak, Iuliia Masiuk, Anatolii Chynchyk, Olena Yudina, Oleksandr Olshanskiy and Valentyna Shevchenko
- Politically Connected Firms and Forward-Looking Disclosure in the Era of Oman Vision 2040 pp. 1-22

- Hidaya Al Lawati
- Mitigation Strategies for COVID-19: Lessons from the K-SEIR Model Calibrated to the Observable Data pp. 1-38

- Alexander Lipton and Marcos Lopez de Prado
- Optimal Portfolio Allocation between Global Stock Indexes and Safe Haven Assets: Gold versus the Swiss Franc (1999–2021) pp. 1-24

- Marco Tronzano
- Influence of the Emotion of Fear on Patterns of Consumer Behavior toward Dietary Supplements during the COVID-19 Pandemic pp. 1-24

- Dijana Vuković, Boris Jurič and Iva Krnjak
- International Corporate Cash Holdings and Firm-Level Exposure to COVID-19: Do Cultural Dimensions Matter? pp. 1-14

- Khanh Hoang, Cuong Nguyen, Dung Tran and Anh Phan
- The Performance of Shrinkage Estimator for Stock Portfolio Selection in Case of High Dimensionality pp. 1-12

- Nhat Minh Nguyen, Trung Duc Nguyen, El Thalassinos and Anh Le
- Impact of Negative Tweets on Diverse Assets during Stressful Events: An Investigation through Time-Varying Connectedness pp. 1-12

- N. L. Balasudarsun, Bikramaditya Ghosh and Sathish Mahendran
- Residual State Ownership and Firm Performance: A Case of Vietnam pp. 1-28

- Manh Hoang Nguyen and Thi Quy Vo
- Exploring a Three-Factor Dependence Structure of Conditional Volatilities: Some Quantile Regression Evidence from Real Estate Investment Trusts pp. 1-13

- Kim Liow
- Economic Growth, Exchange Rate and Remittance Nexus: Evidence from Africa pp. 1-13

- Adedoyin Isola Lawal, Afees Salisu, Abiola John Asaleye, Ezeikel Oseni, Bukola Bose Lawal-Adedoyin, Samuel Olatunde Dahunsi, Emmanuel Oluwasola Omoju, Abigail Oyeronke DickTonye, Elizabeth Bolatito Ogunwole and Abiola Ayopo Babajide
- Supervision of Banking Networks Using the Multivariate Threshold-Minimum Dominating Set (mT-MDS) pp. 1-13

- Periklis Gogas, Theophilos Papadimitriou and Maria-Artemis Matthaiou
- Using Variable Slope Total Derivative Estimations to Pick between and Improve Macro Models pp. 1-13

- Jonathan Leightner
- A Study of Private Equity Rounds of Entrepreneurial Finance in EU: Are Buyout Funds Uninvited Guests for Startup Ecosystems? pp. 1-16

- Hiroyuki Miyamoto, Cristian Mejia and Yuya Kajikawa
- The ESG Disclosure and the Financial Performance of Norwegian Listed Firms pp. 1-16

- George Giannopoulos, Renate Victoria Kihle Fagernes, Mahmoud Elmarzouky and Kazi Abul Bashar Muhammad Afzal Hossain
- Disasters and Investment: Assessing the Performance of the Underlying Economy Following a Large-Scale Stimulus in the Built Environment pp. 1-16

- David Dyason
- A New Look at the Swing Contract: From Linear Programming to Particle Swarm Optimization pp. 1-20

- Tapio Behrndt and Ren-Raw Chen
- Time to Simplify Banking Supervision—An Evidence-Based Study on PCA Framework in India pp. 1-20

- Soumik Bhusan, Angshuman Hazarika and Naresh Gopal
- A Fuzzy Imperfect Production Inventory Model Based on Fuzzy Differential and Fuzzy Integral Method pp. 1-19

- Amalesh Kumar Manna, Leopoldo Eduardo Cárdenas-Barrón, Jayanta Kumar Dey, Shyamal Kumar Mondal, Ali Akbar Shaikh, Armando Céspedes-Mota and Gerardo Treviño-Garza
- Consumer Responses to Selected Activities: Price Increases, Lack of Product Information and Numerical Way of Expressing Product Prices pp. 1-19

- Mirela Martinčić, Dijana Vuković and Anica Hunjet
- National Governance Index, Corruption Index and Growth Rate—International Evidence from Sub-Saharan and MENA Countries pp. 1-19

- Omar Al Farooque, Ali Hamid and Lan Sun
- A Machine Learning Framework towards Bank Telemarketing Prediction pp. 1-19

- Stéphane Cédric Koumétio Tékouabou, Ştefan Gherghina, Hamza Toulni, Pedro Neves Mata, Mário Nuno Mata and José Moleiro Martins
- Estimation and Inference for the Threshold Model with Hybrid Stochastic Local Unit Root Regressors pp. 1-15

- Chaoyi Chen and Thanasis Stengos
- Informal Finance: A Boon or Bane for African SMEs? pp. 1-15

- Olipha Mpofu and Athenia Sibindi
Volume 15, issue 5, 2022
- What’s Different about Bank Holding Companies? pp. 1-32

- Ralph Chami, Thomas F. Cosimano, Jun Ma and Celine Rochon
- Childhood Sporting Experience and Charitable Donations to Disaster Victims pp. 1-12

- Eiji Yamamura
- Theories of Crowdfunding and Token Issues: A Review pp. 1-28

- Anton Miglo
- Bank Risk-Taking and Legal Origin: What Do We Know about Dual Banking Economies? pp. 1-13

- Mohsin Ali, Nafis Alam, Mudeer Ahmed Khattak and Wajahat Azmi
- Non-Fungible Token: A Systematic Review and Research Agenda pp. 1-9

- Hong Bao and David Roubaud
- The Performance and Diversification Potential of Non-Listed Value-Add Real Estate Funds in Japan pp. 1-16

- Martin Hoesli, Graeme Newell, Muhammad Jufri Bin Marzuki and Rose Neng Lai
- An Assessment of the Association between Political Orientation and Financial Risk Tolerance pp. 1-16

- John Grable, Dee Warmath and Eun Jin Kwak
- Climate Insurance for Agriculture in Europe: On the Merits of Smart Contracts and Distributed Ledger Technologies pp. 1-16

- Reimund Schwarze and Oleksandr Sushchenko
- Attributes of Business Incubators: A Conjoint Analysis of Venture Capitalist’s Decision Making pp. 1-16

- Michele Manconi, Salvatore Bellomo, Anna Nosella and Lara Agostini
- Issues in Islamic Derivatives and Proposals for Reforms in the OTC Market in Indonesia pp. 1-16

- Romi Adetio Setiawan
- Introduction to the Special Issue ‘Transnational and Transdisciplinary Lessons of COVID-19 from the Perspective of Risk and Management’ pp. 1-5

- Alistair Cole, Julien S. Baker, Emilie Tran and Yang Gao
- Deep Partial Hedging pp. 1-5

- Songyan Hou, Thomas Krabichler and Marcus Wunsch
- Deposit Competition, Interbank Market, and Bank Profit pp. 1-15

- Bo Jiang, Hector Tzavellas and Xiaoying Yang
- Stock Market Synchronization: The Role of Geopolitical Risk pp. 1-15

- Kazi Sohag, Rogneda Vasilyeva, Alina Urazbaeva and Valentin Voytenkov
- Vague Pension Future: Empirical Evidence from the Israeli Radical Privatized Market pp. 1-15

- Ishay Wolf and Smadar Levi
- Understanding Post-Privatisation Performance of Statutory Bodies Subject to Government Shareholding—A Suggested Theoretical Framework, for Malaysian Researchers pp. 1-15

- Philip Sinnadurai and Susela Devi
- On the Asymptotic Behavior of the Optimal Exercise Price Near Expiry of an American Put Option under Stochastic Volatility pp. 1-19

- Wenting Chen and Song-Ping Zhu
- The Profitability of Technical Analysis during the COVID-19 Market Meltdown pp. 1-19

- Camillo Lento and Nikola Gradojevic
- Green Insurance: A Roadmap for Executive Management pp. 1-19

- Lukas Stricker, Carlo Pugnetti, Joël Wagner and Angela Zeier Röschmann
- Development of Risk Index and Risk Governance Index: Application in Indian Public Sector Undertakings pp. 1-19

- Suneel Maheshwari, Vasudha Gupta and Deepak Raghava Naik
- Founding Family Ownership and Firm Performance: Some Evidence from the Italian Stock Market pp. 1-19

- Pierluigi Pierni, Dennis Marco Montagna and Mario Maggi
- Risk Management of Startups of Innovative Products pp. 1-20

- Taliat Bielialov
- Modelling Seasonal Short-Run Effects in Time-Series Tourism Prices pp. 1-20

- Sergej Gricar and Stefan Bojnec
- An Application of Portfolio Mean-Variance and Semi-Variance Optimization Techniques: A Case of Fiji pp. 1-25

- Ronald Kumar, Peter Stauvermann and Aristeidis Samitas
- Distributed Renewable Energy Management: A Gap Analysis and Proposed Blockchain-Based Architecture pp. 1-25

- Annegret Henninger and Atefeh Mashatan
- Were Culture and Heritage Important for the Resilience of Tourism in the COVID-19 Pandemic? pp. 1-10

- Krešimir Jurlin
- How the Closure of a U.S. Tax Loophole May Affect Investor Portfolios pp. 1-10

- Christoph Frei and Liam Welsh
- An Investigation of the Link between Major Shareholders’ Behavior and Corporate Governance Performance before and after the COVID-19 Pandemic: A Case Study of the Companies Listed on the Iranian Stock Market pp. 1-30

- Rezvan Pourmansouri, Amir Mehdiabadi, Vahid Shahabi, Cristi Spulbar and Ramona Birau
- Causality between Financial Development and Foreign Direct Investment in Asian Developing Countries pp. 1-26

- Huy Tiet Pham, Christopher Gan and Baiding Hu
- Machine Learning Applications to Land and Structure Valuation pp. 1-24

- Michael Mayer, Steven Bourassa, Martin Hoesli and Donato Scognamiglio
- The Impact of Migration on Vietnam Household Living Standards pp. 1-11

- Ngoc Hung Pham, Manh Dung Tran, Anh Duc Le and Thuy Linh Le
- Portfolio Optimization on Multivariate Regime-Switching GARCH Model with Normal Tempered Stable Innovation pp. 1-23

- Cheng Peng, Young Shin Kim and Stefan Mittnik
- A Comparative Analysis of the Economic Sustainability of Cultural Work in the UK since the COVID-19 Pandemic and Examination of Universal Basic Income as a Solution for Cultural Workers pp. 1-17

- Cécile Doustaly and Vishalakshi Roy
- Credit Risk, Regulatory Costs and Lending Discrimination in Efficient Residential Mortgage Markets pp. 1-17

- David Nickerson
- Simulation-Based Business Valuation: Methodical Implementation in the Valuation Practice pp. 1-17

- Dietmar Ernst
- Does Ownership Structure Moderate the Relationship between Systemic Risk and Corporate Governance? Evidence from Gulf Cooperation Council Countries pp. 1-17

- Ilyes Abidi, Mariem Nsaibi and Khaled Hussainey
- Nudges and Networks: How to Use Behavioural Economics to Improve the Life Cycle Savings-Consumption Balance pp. 1-17

- David Blake
- Impact of Liquidity Coverage Ratio on Performance of Select Indian Banks pp. 1-17

- Anureet Virk Sidhu, Shailesh Rastogi, Rajani Gupte and Venkata Mrudula Bhimavarapu
- Forecasting a Stock Trend Using Genetic Algorithm and Random Forest pp. 1-18

- Rebecca Abraham, Mahmoud El Samad, Amer M. Bakhach, Hani El-Chaarani, Ahmad Sardouk, Sam El Nemar and Dalia Jaber
- The Impact of Corporate Governance and Political Connectedness on the Financial Performance of Lebanese Banks during the Financial Crisis of 2019–2021 pp. 1-18

- Hani El-Chaarani and Rebecca Abraham
- An Investigation of the Beta Anomaly in Emerging Markets: A South African Case pp. 1-18

- Mabekebeke Segojane and Godfrey Ndlovu
- Dynamics between Power Consumption and Economic Growth at Aggregated and Disaggregated (Sectoral) Level Using the Frequency Domain Causality pp. 1-18

- Ashutosh Dash, Sangram Keshari Jena, Aviral Tiwari and Shawkat Hammoudeh
- Gender Differences in Risk-Taking Investment Strategies in Defined Contribution Plans pp. 1-18

- Christos Giannikos and Efstathia Korkou
- Linking Supply Chain Disruption Orientation to Supply Chain Resilience and Market Performance with the Stimulus–Organism–Response Model pp. 1-18

- Aaron Rae Stephens, Minhyo Kang and Charles Arthur Robb
Volume 15, issue 4, 2022
- The Impact of Quality of Public Administration on Local Economic Growth in Vietnam pp. 1-13

- Thanh Hung Pham, Thi Thanh Hang Hoang, El Thalassinos and Anh Le
- Homebuyer Purchase Decisions: Are They Anchoring to Appraisal Values or Market Prices? pp. 1-13

- Ka-Shing Cheung, Chung-Yim Yiu and Yihan Guan
- Household Portfolio Allocations: Evidence on Risk Preferences from the Household, Income, and Labour Dynamics in Australia (HILDA) Survey Using Tobit Models pp. 1-13

- Safdar Ullah Khan, Satyanarayana Ramella, Habib Ur Rahman and Zulfiqar Hyder
- The Impact of Investment Efficiency on Firm Value and Moderating Role of Institutional Ownership and Board Independence pp. 1-13

- Mahdi Salehi, Grzegorz Zimon, Arash Arianpoor and Fatemeh Eidi Gholezoo
- Audit Committee Diversity, Analysts’ Forecast Accuracy and Earnings Management: Evidence from Malaysia pp. 1-27

- Marziana Madah Marzuki
- Digital Twin: Financial Technology’s Next Frontier of Robo-Advisor pp. 1-9

- Muhammad Anshari, Mohammad Nabil Almunawar and Masairol Masri
- COVID-19 Impact on the Sport Sector Economy and Athletic Performance pp. 1-5

- Huw D. Wiltshire, Rashmi Supriya and Julien S. Baker
- Shareholder Activism and Its Impact on Profitability, Return, and Valuation of the Firms in India pp. 1-20

- Sudam Shingade, Shailesh Rastogi, Venkata Mrudula Bhimavarapu and Abhijit Chirputkar
- Mean Reversions in Major Developed Stock Markets: Recent Evidence from Unit Root, Spectral and Abnormal Return Studies pp. 1-20

- James Nguyen, Wei-Xuan Li and Clara Chia-Sheng Chen
- An Early Warning System for Currency Crises in Emerging Countries pp. 1-25

- Lutfa Tilat Ferdous, Khnd Md Mostafa Kamal, Amirul Ahsan, Nhung Hong Thuy Hoang and Munshi Samaduzzaman
- A Survey of the Accounting Industry on Holdings of Cryptocurrencies in Xiamen City, China pp. 1-25

- Huqin Yan, Kejia Yan and Rakesh Gupta
- Multifactor Market Indexes pp. 1-26

- Wei Liu and James W. Kolari
- What If? Electricity as Money pp. 1-24

- David A. Gautschi, Heidi C. Gautschi and Christopher Tucci
- Asymmetric Exchange Rate Pass-Through in Turkish Imports of Cocoa Beans pp. 1-11

- Nazif Durmaz and John Kagochi
- Deployment of Interpretive Structural Modeling in Barriers to Industry 4.0: A Case of Small and Medium Enterprises pp. 1-22

- Pankaj Goel, Raman Kumar, Harish Kumar Banga, Swapandeep Kaur, Rajesh Kumar, Danil Yurievich Pimenov and Khaled Giasin
- Monetary Policy Shocks in Open Economies and the Inflation Unemployment Trade-Off: The Case of the Euro Area pp. 1-12

- Antonio Ribba
- COVID-19—A Black Swan for Foreign Direct Investment: Evidence from European Countries pp. 1-21

- Eglantina Hysa, Erinda Imeraj, Nerajda Feruni, Mirela Panait and Valentina Vasile
- Sail Away to a Safe Harbor? COVID-19 Vaccinations and the Volatility of Travel and Leisure Companies pp. 1-21

- Ender Demir, Renatas Kizys, Wael Rouatbi and Adam Zaremba
- Non-Parametric Statistic for Testing Cumulative Abnormal Stock Returns pp. 1-14

- Seppo Pynnonen
- Predicting Inflation—A Holistic Approach pp. 1-14

- Kujtim Avdiu and Stephan Unger
- Xenocentrism and Formal Education: Evaluating Its Impact on the Behavior of Chilean Consumers pp. 1-14

- Luis J. Camacho, Patricio Ramírez-Correa and Cristian Salazar-Concha
- False Friends? On the Effect of Bureaucracy, Informality, Corruption and Conflict in Ukraine on Foreign and Domestic Acquisitions pp. 1-14

- Viktoriya Gonchar, Oleksandr Kalinin, Olena Khadzhynova and Killian J. McCarthy
- The MAX Effect in an Oil Exporting Country: The Case of Norway pp. 1-16

- Muhammad Kashif and Thomas Leirvik
- Inferences from Portfolio Theory and Efficient Market Hypothesis to the Impact of Social Media on Sovereign Debt: Colombia, Ecuador, and Peru pp. 1-16

- Esteban Serrano-Monge
- Theoretical Investigation on the Optimal Contracting for Directors Holding Multiple Directorships pp. 1-16

- Guoyu Lin and Anna Bergman Brown
- Corporate Fraud and Accounting Firm Involvement: Evidence from China pp. 1-16

- Jun Wang and Duo Wang
- To Trust or Not to Trust? COVID-19 Facemasks in China–Europe Relations: Lessons from France and the United Kingdom pp. 1-16

- Emilie Tran and Yu-chin Tseng
- The Effect of Index Option Trading on Stock Market Volatility in China: An Empirical Investigation pp. 1-19

- Kai Wu, Yi Liu and Weiyang Feng
- Redevelopment of Brownfields for Cultural Use from ERDF Fund—The Case of Hungary between 2014 and 2020 pp. 1-19

- Mariann Szabó and Fruzsina Bozsoki
- Best-Arm Identification Using Extreme Value Theory Estimates of the CVaR pp. 1-15

- Dylan Troop, Frédéric Godin and Jia Yuan Yu
- Tourism Activity as an Engine of Growth: Lessons Learned from the European Union pp. 1-15

- Velisaria Matzana, Aikaterina Oikonomou and Michael Polemis
- The Impact of ESG Ratings on the Systemic Risk of European Blue-Chip Firms pp. 1-41

- Mustafa Eratalay and Ariana Paola Cortés Ángel
- Time to Assess Bias in Machine Learning Models for Credit Decisions pp. 1-10

- Liming Brotcke
- Business Closures and (Re)Openings in Real-Time Using Google Places: Proof of Concept pp. 1-10

- Daniel E. Rigobon, Thibaut Duprey, Artur Kotlicki, Philip Schnattinger, Soheil Baharian and Thomas R. Hurd
- A Singular Stochastic Control Approach for Optimal Pairs Trading with Proportional Transaction Costs pp. 1-23

- Haipeng Xing
- The Effects of Carbon Emissions and Agency Costs on Firm Performance pp. 1-17

- Muhammad Nurul Houqe, Solomon Opare, Muhammad Kaleem Zahir-ul-Hassan and Kamran Ahmed
- Model Selection and Post Selection to Improve the Estimation of the ARCH Model pp. 1-17

- Marwan Al-Momani and Abdaljbbar B. A. Dawod
- The Impact of Fashion Brand Sustainability on Consumer Purchasing Decisions pp. 1-17

- Doroteja Mandarić, Anica Hunjet and Dijana Vuković
- Antecedents of Behavioural Intention to Adopt Internet Banking Using Structural Equation Modelling pp. 1-18

- Shivani Inder, Kiran Sood and Simon Grima
- Enacting Economic Resilience: A Synthesis of Economic and Communication Frameworks pp. 1-18

- Timothy Betts and Patrice M. Buzzanell
- Goal Setting, Personality Traits, and the Role of Insurers and Other Service Providers for Swiss Millennials and Generation Z pp. 1-18

- Carlo Pugnetti, Pedro Henriques and Ulrich Moser
- Impact of COVID-19, Political, and Financial Events on the Performance of Commercial Banking Sector pp. 1-18

- Ghulam Ghouse, Muhammad Bhatti and Muhammad Hassam Shahid
Volume 15, issue 3, 2022
- Corporate Social Responsibility and Capital Allocation Efficiency in Australia and New Zealand pp. 1-18

- Alexandre Garel, Alireza Tourani-Rad and Shengze Xu
- The Effect of Monetary Policy and Private Investment on Green Finance: Evidence from Hungary pp. 1-18

- Goshu Desalegn, Maria Fekete-Farkas and Anita Tangl
- The Elephant in the Dark: A New Framework for Cryptocurrency Taxation and Exchange Platform Regulation in the US pp. 1-18

- Koray Caliskan
- Monetization of the Economies as a Priority of the New Monetary Policy in the Face of Economic Sanctions pp. 1-18

- Svetlana Zenchenko, Wadim Strielkowski, Lubos Smutka, Tomáš Vacek, Yana Radyukova and Vladislav Sutyagin
- The Interplay between Digitalization, Education and Financial Development: A European Case Study pp. 1-23

- Alexandra Horobet, Irina Mnohoghitnei, Emanuela Marinela Luminita Zlatea and Lucian Belascu
- Further Tests of the ZCAPM Asset Pricing Model pp. 1-23

- James W. Kolari, Jianhua Z. Huang, Wei Liu and Huiling Liao
- Application of Social Network Analysis to Visualization and Description of Industrial Clusters: A Case of the Textile Industry pp. 1-17

- Marina Y. Sheresheva, Lilia A. Valitova, Elena Sharko and Ekaterina V. Buzulukova
- Imperfect Competition, Real Estate Prices and New Stylized Facts pp. 1-17

- Ronald Kumar and Peter Stauvermann
- Are Incurred Loss Standards Countercyclical? A Case Study Using U.S. Bank Holding Company Data pp. 1-30

- Fang Du, Diana Hancock and Alexander H. von Hafften
- Family Ownership, Corporate Governance and Risk-Taking pp. 1-15

- Luis Otero-González, Luis-Ignacio Rodríguez-Gil, Milagros Vivel-Búa and Aracely Tamayo-Herrera
- Examining Farm Financial Management: How Do Small US Farms Meet Their Agricultural Expenses? pp. 1-15

- Omobolaji Omobitan and Aditya Khanal
- Dynamic and Static Volatility Interruptions: Evidence from the Korean Stock Markets pp. 1-19

- Kyong Shik Eom, Kyung Yoon Kwon, Sung Chae La and Jong-Ho Park
- Fintech and Financial Health in Vietnam during the COVID-19 Pandemic: In-Depth Descriptive Analysis pp. 1-19

- Robert Jeyakumar Nathan, Budi Setiawan and Mac Nhu Quynh
- Optimal Control Strategies for the Premium Policy of an Insurance Firm with Jump Diffusion Assets and Stochastic Interest Rate pp. 1-19

- Dalila Guerdouh, Nabil Khelfallah and Josep Vives
- The Mediating Effects of Implied Volatility and Exchange Rate on the U.S. Tourism-Growth Nexus pp. 1-16

- Pat Obi and Godwin-Charles Ogbeide
- Mean–Variance Portfolio Efficiency under Leverage Aversion and Trading Impact pp. 1-16

- Chanaka Edirisinghe and Jaehwan Jeong
- Metatheoretical Issues of the Evolution of the International Political Economy pp. 1-14

- Aleksy Kwilinski, Nataliya Dalevska and Vyacheslav V. Dementyev
- Intended Use of IPO Proceeds and Survival of Listed Companies in Malaysia pp. 1-14

- Siti Sarah Alyasa-Gan and Norliza Che-Yahya
- Good Practice Principles in Modelling Defined Contribution Pension Plans pp. 1-21

- Kevin Dowd and David Blake
- Influence of Senior Executives Characteristics on Corporate Environmental Disclosures: A Bibliometric Analysis pp. 1-21

- Hafiz Muhammad Arslan, Ye Chengang, Bilal, Muhammad Siddique and Yusra Yahya
- Market Misreaction? Leverage and Mergers and Acquisitions pp. 1-21

- C. N. V. Krishnan and Vasiliy Yakimenko
- Information Jumps, Liquidity Jumps, and Market Efficiency pp. 1-21

- Michael C. Tseng and Soheil Mahmoodzadeh
- Outliers and Time-Varying Jumps in the Cryptocurrency Markets pp. 1-7

- Anupam Dutta and Elie Bouri
- Implementation Risk Factors of Collaborative Housing in Poland: The Case of ‘Nowe Żerniki’ in Wrocław pp. 1-12

- Piotr Lis, Zuzanna Rataj and Katarzyna Suszyńska
- Financial Institution Type and Firm-Related Attributes as Determinants of Loan Amounts pp. 1-12

- Edmund Mallinguh and Zeman Zoltan
- Semiparametric Time-Series Model Using Local Polynomial: An Application on the Effects of Financial Risk Factors on Crop Yield pp. 1-12

- Syed Ejaz Ahmed, Dursun Aydin and Ersin Yilmaz
- Dependence Structures between Sovereign Credit Default Swaps and Global Risk Factors in BRICS Countries pp. 1-22

- Prayer M. Rikhotso and Beatrice Desiree Simo-Kengne
- The Determinants of Outward Foreign Direct Investment from Latin America and the Caribbean: An Integrated Entropy-Based TOPSIS Multiple Regression Analysis Framework pp. 1-22

- Henrique Correa da Cunha, Vik Singh and Shengkun Xie
- A 3-Dimensional Frame of Reference for Prevention of Risk in Supply Chain pp. 1-22

- Han-Khanh Nguyen
- Copula Modelling to Analyse Financial Data pp. 1-11

- Paul R. Dewick and Shuangzhe Liu
- Balance and Stability of Polish Pension Insurance System pp. 1-11

- Marta Maciejasz and Bartosz Chorkowy
- Impact of Financial Innovation and Institutional Quality on Financial Development in Emerging Markets pp. 1-11

- Suha Mahmoud Alawi, Wajih Abbassi, Rukhma Saqib and Madeeha Sharif
- The COVID-19 Health Crisis and Its Impact on China’s International Relations pp. 1-11

- Jean-Pierre Cabestan
- Responses of the International Bond Markets to COVID-19 Containment Measures pp. 1-11

- Bao Cong Nguyen To, Tam Van Thien Nguyen, Nham Thi Hong Nguyen and Hoai Thu Ho
- COVID-19 and the Mortgage Market in Luxembourg pp. 1-24

- Francois Koulischer, Pauline Perray and Thi Thu Huyen Tran
- Vinculum of Sustainable Development Goal Practices and Firms’ Financial Performance: A Moderation Role of Green Innovation pp. 1-24

- Parvez Alam Khan, Satirenjit Kaur Johl and Shakeb Akhtar
- The Heterogeneous Impact of Sectoral Foreign Aid Inflows on Sectoral Growth: SUR Evidence from Selected Sub-Saharan African and MENA Countries pp. 1-45

- Nadeem Abdulmalik Abdulrahman Aljonaid, Fengming Qin and Zhaoyong Zhang
- Cryptocurrencies, Diversification and the COVID-19 Pandemic pp. 1-25

- David Allen
- Are GARCH and DCC Values of 10 Cryptocurrencies Affected by COVID-19? pp. 1-25

- Kejia Yan, Huqin Yan and Rakesh Gupta
- The Impact of the U.S. Macroeconomic Variables on the CBOE VIX Index pp. 1-25

- Akhilesh Prasad, Priti Bakhshi and Arumugam Seetharaman
- Spatial Analysis and Modeling of the Housing Value Changes in the U.S. during the COVID-19 Pandemic pp. 1-25

- Xinba Li and Chihwa Kao
- Corporate Failure Risk Assessment for Knowledge-Intensive Services Using the Evidential Reasoning Approach pp. 1-29

- Meng-Meng Tan, Dong-Ling Xu and Jian-Bo Yang
- The Crowdfunding of Altruism pp. 1-29

- Luisa Faust, Maura Kolbe, Sasan Mansouri and Paul P. Momtaz
- Housing Real Estate Economics and Finance pp. 1-3

- Rita Yi Man Li
- Measures of Volatility, Crises, Sentiment and the Role of U.S. ‘Fear’ Index (VIX) on Herding in BRICS (2007–2021) pp. 1-42

- Hang Zhang and Evangelos Giouvris
- The Effect of Mandatory Audit Firm Rotation on Earnings Management and Audit Fees: Evidence from Iran pp. 1-20

- Mahdi Salehi, Grzegorz Zimon, Hossein Tarighi and Javad Gholamzadeh
- The Effect of Financial Inclusion and Competitiveness on Financial Stability: Why Financial Regulation Matters in Developing Countries? pp. 1-20

- João Jungo, Mara Madaleno and Anabela Botelho
- Copulas and Portfolios in the Electric Vehicle Sector pp. 1-20

- Andrej Stenšin and Daumantas Bloznelis
- A Study of the Machine Learning Approach and the MGARCH-BEKK Model in Volatility Transmission pp. 1-9

- Prashant Joshi, Jinghua Wang and Michael Busler
- Do Post-Corona European Economic Policies Lift Growth Prospects? Exploring an ML-Methodology pp. 1-13

- Bodo Herzog
Volume 15, issue 2, 2022
- Acknowledgment to Reviewers of Journal of Risk and Financial Management in 2021 pp. 1-8

- Editorial Office Jrfm
- Certificate of Need Laws and Health Care Use during the COVID-19 Pandemic pp. 1-11

- Agnitra Roy Choudhury, Sriparna Ghosh and Alicia Plemmons
- High-Frequency Trading (HFT) and Market Quality Research: An Evaluation of the Alternative HFT Proxies pp. 1-31

- Shahadat Hossain
- Predictors of Excess Return in a Green Energy Equity Portfolio: Market Risk, Market Return, Value-at-Risk and or Expected Shortfall? pp. 1-31

- Rebecca Abraham, Hani El-Chaarani and Zhi Tao
- Lessons from Remarkable FinTech Companies for the Financial Inclusion in Peru pp. 1-46

- Patricia Vilcanqui Velazquez, Vito Bobek, Romana Korez Vide and Tatjana Horvat
- Economic Trends in the Transition into a Circular Bioeconomy pp. 1-24

- Manfred Kircher
- Sovereign Exposures of European Banks: It Is Not All Doom pp. 1-24

- Martien Lamers, Thomas Present and Rudi Vander Vennet
- On Survivor Stocks in the S&P 500 Stock Index pp. 1-24

- Klaus Grobys
- Diffusion on the Peer-to-Peer Network pp. 1-45

- Julien Riposo
- An Intergenerational Issue: The Equity Issues Due to Public–Private Partnerships; The Critical Aspect of the Social Discount Rate Choice for Future Generations pp. 1-26

- Abeer Al Yaqoobi and Marcel Ausloos
- Measuring the Financial Liberalization Index for Pakistan pp. 1-25

- Muhammad Idrees, Umar Hayat, Magdalena Radulescu, Md Shabbir Alam, Abdul Rehman and Mirela Panait
- The Dynamic Relationship between Investor Attention and Stock Market Volatility: International Evidence pp. 1-25

- Imene Ben El Hadj Said and Skander Slim
- What Effects Could Global Value Chain and Digital Infrastructure Development Policies Have on Poverty and Inequality after COVID-19? pp. 1-29

- Ximena del Carpio, Jose Cuesta, Maurice Kugler, Gustavo Hernández and Gabriel Piraquive
- Statistical Analysis Dow Jones Stock Index—Cumulative Return Gap and Finite Difference Method pp. 1-44

- Kejia Yan, Rakesh Gupta and Sama Haddad
- Effect of COVID-19 on International Trade among the Visegrad Countries pp. 1-20

- Erginbay Ugurlu and Irena Jindřichovská
- Customers’ Risk Tolerance and Suppliers’ Investment Inefficiency pp. 1-20

- Karel Hrazdil, Jeong-Bon Kim and Xin Li
- COVID-19: Barriers to Physical Activity in Older Adults, a Decline in Health or Economy? pp. 1-5

- Jiao Jiao, Rashmi Supriya, Bik C. Chow, Julien S. Baker, Frédéric Dutheil, Yang Gao, Sze-Hoi Chan, Wei Liang, Feifei Li and Dan Tao
- Net Buying Pressure and Informed Trading in the Options Market: Evidence from Earnings Announcements pp. 1-9

- Ihsan Badshah and Hardjo Koerniadi
- The Drivers of Policies to Limit the Spread of COVID-19 in Europe pp. 1-9

- Sébastien Bourdin, Slimane Ben Miled and Jamil Salhi
- Shopping Behavior in the Context of the Digital Economy pp. 1-13

- Katarina Repkova Stofkova, Dominik Laitkep and Zuzana Stofkova
- Determining Factors of FDI Flows to Selected Caribbean Countries pp. 1-13

- Sandra Sookram, Roger Hosein, Leera Boodram and George Saridakis
- Sustainability Initiatives for Green Tourism Development: The Case of Wayanad, India pp. 1-13

- Nimi Markose, Bindu Vazhakkatte Tazhathethil and Babu George
- Xenocentrism and Consumer Buying Behavior: A Comparative Analysis of Malaysian vs. Nigerian Consumers pp. 1-13

- Vimala Venugopal, Mário Nuno Mata, Chiemelie Benneth Iloka, Rui D. Dantas, Anabela Batista, João Xavier Rita and José Moleiro Martins
- Breakdown of Government Debt into Components in Euro Area Countries pp. 1-13

- Török László
- Sustainable Blueprint: Do Stock Investors Increase Emissions? pp. 1-13

- Olatunji Shobande and Lawrence Ogbeifun
- A Comparative Analysis of the Nature of Stock Return Volatility in BRICS and G7 Markets pp. 1-27

- Lorraine Muguto and Paul-Francois Muzindutsi
- Children and Life-Cycle Consumption pp. 1-28

- Charles Grant
- Risk Management and Agency Theory: Role of the Put Option in Corporate Bonds pp. 1-28

- Manish Tewari and Pradipkumar Ramanlal
- The Development of an Integrated External Environment Monitoring Framework Aimed at the Internal Control of the Procurement Process of Fat and Oil Companies pp. 1-18

- Sergei Bulgakov and Elena Makarenko
- The Presence of Foreign Capital and the Internationalization of Portuguese Industrial SMEs pp. 1-18

- Luís Pacheco, Carla Lobo and Isabel Maldonado
- Opportunities and Barriers for FinTech in SAARC and ASEAN Countries pp. 1-37

- Tasadduq Imam, Angelique McInnes, Sisira Colombage and Robert Grose
- Testing Stock Market Efficiency from Spillover Effect of Panama Leaks pp. 1-23

- Adeel Nasir, Ştefan Gherghina, Mário Nuno Mata, Kanwal Iqbal Khan, Pedro Neves Mata and Joaquim António Ferrão
- What Problem Is Post-Crisis QE Trying to Solve? pp. 1-17

- Paul Atkinson and Adrian Blundell-Wignall
- Corporate Taxation and Firm-Specific Determinants of Capital Structure: Evidence from the UK and US Multinational Firms pp. 1-17

- Sarmad Ali, Adalberto Rangone and Muhammad Farooq
- From Fragility to Resilience—How Prepared Was the Romanian Business Environment to Face the COVID-19 Crisis? pp. 1-17

- Suzana Demyen
- Optimal Allocation of Retirement Portfolios pp. 1-17

- Kevin Maritato, Morton Lane, Matthew Murphy and Stan Uryasev
- The Impact of Foreign Capital on the Level of ERM Implementation in Czech SMEs pp. 1-17

- Lenka Syrová and Jindřich Špička
- Self-Weighted LSE and Residual-Based QMLE of ARMA-GARCH Models pp. 1-17

- Shiqing Ling and Ke Zhu
- Forecasting the Price of the Cryptocurrency Using Linear and Nonlinear Error Correction Model pp. 1-10

- Jong-Min Kim, Chanho Cho and Chulhee Jun
- State Health Insurance Benefit Mandates and Health Care Affordability pp. 1-10

- James Bailey
- Machine Learning the Carbon Footprint of Bitcoin Mining pp. 1-30

- Hector F. Calvo-Pardo, Tullio Mancini and Jose Olmo
- Eurozone Stock Market Reaction to Monetary Policy Interventions and Other Covariates pp. 1-19

- Nikolaos Petrakis, Christos Lemonakis, Christos Floros and Constantin Zopounidis
- An Assessment of the Impact of Legal Regulation on Financial Security in OECD Countries pp. 1-19

- Robertas Vaitkus and Asta Vasiliauskaitė
- Market Misreaction? Evidence from Cross-Border Acquisitions pp. 1-19

- Krishnan Cnv and Jialun Wu
- Fight Alone or Together? The Influence of Risk Perception on Helping Behavior pp. 1-15

- Liping Yin and Yen-Chun Jim Wu
- Do Ethical Companies Have High Stock Prices or High Returns? pp. 1-15

- Bing Yu, Shengxiong Wu and Mary Jane Lenard
- Role of Service Quality, Price, and Firm Image on Customer Satisfaction in Philippine Accounting Firms pp. 1-16

- Sandra Brucal, Cris Corpuz, Indra Abeysekera and Raul David
- Optimum Structure of Corporate Groups pp. 1-16

- Stylianos Artsidakis, Yiannis Thalassinos, Theofanis Petropoulos and Konstantinos Liapis
- Price and Volatility Transmissions among Natural Gas, Fertilizer, and Corn Markets: A Revisit pp. 1-14

- Zhengliang Yang, Xiaoxue Du, Liang Lu and Hernan Tejeda
- Is There Any Witching in the Cryptocurrency Market? pp. 1-14

- Alex Plastun, Ludmila Khomutenko and Serhii Bashlai
- The Bucharest Stock Exchange: A Starting Point in Structuring a Valuable CSR Index pp. 1-14

- Mirela Clementina Panait, Marian Catalin Voica, Eglantina Hysa, Alfonso Siano and Maria Palazzo
- Digital Transformation of Small and Medium Enterprises: Aspects of Public Support pp. 1-21

- Ramona Rupeika-Apoga, Larisa Bule and Kristine Petrovska
- Board Information Technology Governance Mechanisms and Firm Performance among Iraqi Medium-Sized Enterprises: Do IT Capabilities Matter? pp. 1-21

- Ibrahim M. Menshawy, Rohaida Basiruddin, Raihana Mohdali and Nazahan Qahatan
- Effects of Real Exchange Rate Volatility on Trade: Empirical Analysis of the United States Exports to BRICS pp. 1-21

- E. M. Ekanayake and Amila Dissanayake
- The Impact of Corporate Governance on the Financial Performance of the Banking Sector in the MENA (Middle Eastern and North African) Region: An Immunity Test of Banks for COVID-19 pp. 1-21

- Hani El-Chaarani, Rebecca Abraham and Yahya Skaf
- Home Countries Matter for the Internationalisation of Emerging Market Multinational Enterprises pp. 1-4

- Yifan Zhong, Ruosu Gao and Xiaoguang Yue
- Urban Leverage and Housing Price in China pp. 1-12

- Wanying Lu and Jianfu Shen
Volume 15, issue 1, 2022
- Subjective Return Expectations, Perceptions, and Portfolio Choice pp. 1-29

- Hector Calvo-Pardo, Xisco Oliver and Luc Arrondel
- The Effects of the COVID-19 Crisis on Risk Factors and Option-Implied Expected Market Risk Premia: An International Perspective pp. 1-29

- Belén Nieto and Gonzalo Rubio
- You Learn When It Hurts: Evidence in the Mutual Fund Industry pp. 1-29

- Ruth Gimeno, José Luis Sarto and Luis Vicente
- Bankruptcy Prediction Using Machine Learning Techniques pp. 1-10

- Shekar Shetty, Mohamed Musa and Xavier Brédart
- Hierarchical Time-Varying Estimation of Asset Pricing Models pp. 1-26

- Richard T. Baillie, Fabio Calonaci and George Kapetanios
- Credit Risk in G20 Nations: A Comparative Analysis in International Finance Using Option-Adjusted-Spreads pp. 1-23

- Natalia Boliari and Kudret Topyan
- Exchange Rate Forecasting with Advanced Machine Learning Methods pp. 1-17

- Jonathan Felix Pfahler
- The Time-Varying Relation between Stock Returns and Monetary Variables pp. 1-17

- David G. McMillan
- Dynamic Conditional Bias-Adjusted Carry Cost Rate Futures Hedge Ratios pp. 1-17

- Dean Leistikow, Yi Tang and Wei Zhang
- The Impact of CEO Duality and Financial Performance on CSR Disclosure: Empirical Evidence from State-Owned Enterprises in China pp. 1-17

- Cosmina L. Voinea, Fawad Rauf, Khwaja Naveed and Cosmin Fratostiteanu
- Multiscale Partial Correlation Clustering of Stock Market Returns pp. 1-22

- Antonis Michis
- The Capitalist Spirit and Endogenous Growth pp. 1-22

- Ronald Kumar, Peter Stauvermann and Frank Wernitz
- Integrated Intellectual Investment Portfolio as an Efficient Instrument to Manage Personal Financial Investment pp. 1-22

- Aleksandras Vytautas Rutkauskas and Viktorija Stasytytė
- The Economics of a Bed Shortage: Certificate-of-Need Regulation and Hospital Bed Utilization during the COVID-19 Pandemic pp. 1-18

- Matthew Mitchell and Thomas Stratmann
- Predictability of the Realised Volatility of International Stock Markets Amid Uncertainty Related to Infectious Diseases pp. 1-18

- Sisa Shiba, Juncal Cunado and Rangan Gupta
- Evidence of Economic Policy Uncertainty and COVID-19 Pandemic on Global Stock Returns pp. 1-24

- Thomas Chinan Chiang
- Development of Tools for Synergy of Social Functions of the State and Housing Mortgage Loans in Russia: Regional Analysis of the Central, Southern and Volga Federal Districts pp. 1-9

- Olga Semenyuta, Irina Dubinina and Anton Degtyarev
- Exports and Imports-Led Growth: Evidence from a Small Developing Economy pp. 1-14

- Humnath Panta, Mitra Lal Devkota and Dhruba Banjade
- Organisational Support for High-Performance Athletes to Develop Financial Literacy and Self-Management Skills pp. 1-14

- Hee Jung Hong and Ian Fraser
- Assessment of the Development of the Stock Market in the Russian Federation in a Crisis pp. 1-12

- Diana Burkaltseva, Shakizada Niyazbekova, Oleg Blazhevich, Mir Abdul Kayum Jallal, Viktor Reutov, Svetlana Yanova, Vitaly Dyatel, Dugma Mihaylova, Elena Klochkova, Natalya Brovkina, Ardak Nurpeisova and Zeinegul Yessymhanova
- Time Evolution of Market Efficiency and Multifractality of the Japanese Stock Market pp. 1-12

- Tetsuya Takaishi
- Machine-Learning-Based Semiparametric Time Series Conditional Variance: Estimation and Forecasting pp. 1-12

- Justin Dang and Aman Ullah
- Measurement of Economic Forecast Accuracy: A Systematic Overview of the Empirical Literature pp. 1-28

- Goran Buturac
- Simulating Multi-Asset Classes Prices Using Wasserstein Generative Adversarial Network: A Study of Stocks, Futures and Cryptocurrency pp. 1-21

- Feng Han, Xiaojuan Ma and Jiheng Zhang
- Stimulating Non-Energy Exports in Trinidad and Tobago: Evidence from a Small Petroleum-Exporting Economy Experiencing the Dutch Disease pp. 1-21

- Roger Hosein, Leera Boodram and George Saridakis
- The Risk Measurement under the Variance-Gamma Process with Drift Switching pp. 1-27

- Roman V. Ivanov
- Factors Influencing Investments into Human Resources to Support Company Performance pp. 1-13

- Jarmila Duháček Šebestová and Cristina Raluca Gh. Popescu
- Kernel Regression Coefficients for Practical Significance pp. 1-13

- Hrishikesh Vinod
- Methodological Foundations of the Risk of the Stock Markets of Developed and Developing Countries in the Conditions of the Crisis pp. 1-16

- Diana Burkaltseva, Shakizada Niyazbekova, Lyudmila Borsch, Mir Abdul Kayum Jallal, Nataliya Apatova, Ardak Nurpeisova, Alexander Semenov and Ayagoz Zhansagimova
- The Impact of Board Diversity, CEO Characteristics, and Board Committees on Financial Performance in the Case of Romanian Companies pp. 1-16

- Bogdan Aurelian Mihail, Dalina Dumitrescu, Carmen Daniela Micu and Adriana Lobda
- Financial Burden and Shortage of Respiratory Rehabilitation for SARS-CoV-2 Survivors: The Next Step of the Pandemic? pp. 1-5

- Frédéric Dutheil, Maelys Clinchamps, Julien S. Baker, Rashmi Supriya, Alistair Cole, Yang Gao and Valentin Navel
- Content Analysis of Passengers’ Perceptions of Airport Service Quality: The Case of Honolulu International Airport pp. 1-19

- Wonmi Bae and Junwook Chi
- Extending Uppsala Model with Springboard Perspective in Emerging Multinational’s Sequential Internationalisation—Evidence from a Construction Company’s Expansion in Africa pp. 1-19

- Ruosu Gao, Qiuling Gao, Xiaolin Zhuang and Kaiyang Sun
- From Science to Policy: How to Support Social Entrepreneurship in Croatia pp. 1-19

- Sanja Tišma, Sanja Maleković, Daniela Angelina Jelinčić, Mira Mileusnić Škrtić and Ivana Keser
- Time-Discrete Hedging of Down-and-Out Puts with Overnight Trading Gaps pp. 1-20

- Rainer Baule and Philip Rosenthal
- Cluster Enterprise Comprehensive Risk Assessment: Methodology Based on the Functional-Target Approach pp. 1-15

- Yulia Vertakova, Irina Izmalkova and Evgeniy Leontyev
- The Impact of Digital Transformation on Performance: Evidence from Vietnamese Commercial Banks pp. 1-15

- Trang Doan Do, Ha An Thi Pham, El Thalassinos and Anh Le
- Trading Activities and the Volatility of Return on Malaysian Crude Palm Oil Futures pp. 1-15

- Xiu Wei Yeap and Hooi Hooi Lean
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