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.
Is something missing from the series or not right? See the RePEc data check for the archive and series.
Volume 14, issue 12, 2021
- The Skewness Risk in the Energy Market pp. 1-24

- Jungah Yoon, Xinfeng Ruan and Jin E. Zhang
- COVID-19 Vaccinations and the Volatility of Energy Companies in International Markets pp. 1-21

- Ender Demir, Renatas Kizys, Wael Rouatbi and Adam Zaremba
- Fans’ Perceptions towards Video Assistant Referee (VAR) in the English Premier League pp. 1-16

- Tommy Hamsund and Nicolas Scelles
- An Analysis of the Effects of Public Investment on Labor Demand through the Channel of Economic Growth with a Focus on Socio-Professional Categories and Gender pp. 1-16

- Mame Cheikh Anta Sall and Adriana Burlea-Schiopoiu
- Assessment of the Competitiveness of Islamic Fintech Implementation: A Composite Indicator for Cross-Country Analysis pp. 1-16

- Sofya Glavina, Irina Aidrus and Anna Trusova
- FinTechs, BigTechs and Banks—When Cooperation and When Competition? pp. 1-16

- Janina Harasim
- Inflation and Hyperinflation Countries in 2018–2020: Risks of Different Assets and Foreign Trade pp. 1-16

- Olli-Pekka Hilmola
- Hidden Supply Chain Risk and Incoterms ®: Analysis and Mitigation Strategies pp. 1-16

- Jonathan Davis and John Vogt
- Determinants of Financial Performance of Insurance Companies: Empirical Evidence Using Kenyan Data pp. 1-13

- Kamanda Morara and Athenia Sibindi
- Project Management Maturity Models for Construction Firms pp. 1-13

- Filipe Machado, Nelson Duarte, António Amaral and Teresa Barros
- Trust, Transparency and Welfare: Third-Sector Adult Social Care Delivery and the COVID-19 Pandemic in the UK pp. 1-13

- Paul Chaney and Christala Sophocleous
- Efficiency and Determinants of Capital Structure in the Greek Pharmaceutical, Cosmetic and Detergent Industries pp. 1-13

- Ioannis E. Tsolas
- Mental Time Travel and Retirement Savings pp. 1-13

- David Blake and John Pickles
- Optimal Returns in Indian Stock Market during Global Pandemic: A Comparative Study pp. 1-13

- Pradip Debnath and Hari Mohan Srivastava
- Corporate Governance from a Cross-Country Perspective and a Comparison with Romania pp. 1-13

- Bogdan Aurelian Mihail and Dalina Dumitrescu
- Inflation Co-Movement Dynamics: A Cross-Country Investigation Using a Continuous Wavelet Approach pp. 1-43

- Aviral Tiwari, Emmanuel Abakah, Luis Gil-Alana and Moses Kenneth Abakah
- The Initial Coin Offering (ICO) Process: Regulation and Risks pp. 1-7

- Oksana A. Karpenko, Tatiana K. Blokhina and Lali V. Chebukhanova
- The Role of Investor Relations and Good Corporate Governance on Firm Performance in the Case of the Companies Listed on the Bucharest Stock Exchange pp. 1-12

- Bogdan Aurelian Mihail, Dalina Dumitrescu, Daniela Serban, Carmen Daniela Micu and Adriana Lobda
- Evaluating Business Model for Hotel Industry by Grey-TOPSIS pp. 1-12

- Hsueh-Feng Chang, Shu-Hua Wu, Joyce Hsiu-Yu Chen and Chao-Hui Ke
- COVID-19 Disclosure: A Novel Measurement and Annual Report Uncertainty pp. 1-12

- Mahmoud Elmarzouky, Khaldoon Albitar, Atm Enayet Karim and Ahmed Saber Moussa
- Sticky Stock Market Analysts pp. 1-27

- Ibrahim Filiz, Jan René Judek, Marco Lorenz and Markus Spiwoks
- GARCH (1,1) Models and Analysis of Stock Market Turmoil during COVID-19 Outbreak in an Emerging and Developed Economy pp. 1-19

- Budi Setiawan, Marwa Ben Abdallah, Maria Fekete-Farkas, Robert Jeyakumar Nathan and Zoltan Zeman
- COVID 19 and Bank Profitability in Low Income Countries: The Case of Uganda pp. 1-19

- Lorna Katusiime
- Climate Transition Risk and the Impact on Green Bonds pp. 1-19

- Yevheniia Antoniuk and Thomas Leirvik
- Determinants of Bank M&As in Central and Eastern Europe pp. 1-19

- Alin Marius Andrieș, Sabina Cazan and Nicu Sprincean
- An Imperfect Production Model for Breakable Multi-Item with Dynamic Demand and Learning Effect on Rework over Random Planning Horizon pp. 1-20

- Amalesh Kumar Manna, Leopoldo Eduardo Cárdenas-Barrón, Barun Das, Ali Akbar Shaikh, Armando Céspedes-Mota and Gerardo Treviño-Garza
- Performance, Risk, and Cost of Capital: Trends and Opportunities for Future CSR Research pp. 1-20

- Asif Saeed and Robert Sroufe
- Support Mechanisms for Canada’s Cultural and Creative Sectors during COVID-19 pp. 1-20

- Charlie Wall-Andrews, Emma Walker and Wendy Cukier
- The Impact of Instrumental Stakeholder Management on Blockchain Technology Adoption Behavior in Agri-Food Supply Chains pp. 1-20

- Michael Paul Kramer, Linda Bitsch and Jon H. Hanf
- Conceptual Framework—Artificial Intelligence and Better Entrepreneurial Decision-Making: The Influence of Customer Preference, Industry Benchmark, and Employee Involvement in an Emerging Market pp. 1-20

- George Amoako, Paul Omari, Desmond K. Kumi, George Cudjoe Agbemabiase and George Asamoah
- Forecasting Commodity Prices Using the Term Structure pp. 1-39

- Yasmeen Idilbi-Bayaa and Mahmoud Qadan
- Behavioral and Mental Responses towards the COVID-19 Pandemic among Chinese Older Adults: A Cross-Sectional Study pp. 1-14

- Wei Liang, Yanping Duan, Min Yang, Borui Shang, Chun Hu, Yanping Wang and Julien Steven Baker
- A New Approach for Risk of Corporate Bankruptcy Assessment during the COVID-19 Pandemic pp. 1-14

- Katarzyna Boratyńska
- Perception of Consumers’ Awareness about Sustainability of Fashion Brands pp. 1-14

- Doroteja Mandarić, Anica Hunjet and Goran Kozina
- Ownership Structure and Firm Performance in the Middle East: A Meta-Analysis pp. 1-23

- Yaseen Al-Janadi
- Effects of COVID-19 on Variations of Taxpayers in Tourism-Reliant Regions: The Case of the Mexican Caribbean pp. 1-23

- Oliver Cruz-Milan and Sergio Lagunas-Puls
- Firm Sustainable Development Goals and Firm Financial Performance through the Lens of Green Innovation Practices and Reporting: A Proactive Approach pp. 1-23

- Parvez Alam Khan, Satirenjit Kaur Johl and Shakeb Akhtar
- Natural Resources and Civil Conflict: The Role of Military Expenditures pp. 1-26

- Rabah Arezki and Markus Brueckner
- Dimension Reduction via Penalized GLMs for Non-Gaussian Response: Application to Stock Market Volatility pp. 1-26

- Tao Li, Anthony F. Desmond and Thanasis Stengos
- Central Counterparties and Liquidity Provision in Cash Markets pp. 1-26

- Thomas Richter
- Stacking Subsidies in Factor Markets: Evidence from Market Experiments pp. 1-26

- Anthony Baffoe-Bonnie, Christopher T. Bastian, Dale J. Menkhaus and Owen R. Phillips
- Designing a Roadmap for Human Resource Management in the Banking 4.0 pp. 1-22

- Iwa Kuchciak and Izabela Warwas
- A Bayesian Semiparametric Realized Stochastic Volatility Model pp. 1-22

- Jia Liu
- Green Bond: A Systematic Literature Review for Future Research Agendas pp. 1-29

- Giuseppe Cortellini and Ida Panetta
- Analysis of the Financial Information Contained in the Texts of Current Reports: A Deep Learning Approach pp. 1-17

- Maciej Wujec
- Audit Committees and COVID-19-Related Disclosure Tone: Evidence from Oman pp. 1-17

- Badar Alshabibi, Shanmuga Pria and Khaled Hussainey
- Evaluation of the Financial Performance of the Municipalities in Slovakia in the Context of Multidimensional Statistics pp. 1-10

- Jozef Lukáč, Katarína Teplická, Katarína Čulková and Daniela Hrehová
- ICT Adoption and Stock Market Development in Africa: An Application of the Panel ARDL Bounds Testing Procedure pp. 1-15

- Jerry Ikechukwu Igwilo and Athenia Sibindi
- Trust, Transparency and Transnational Lessons from COVID-19 pp. 1-15

- Alistair Cole, Julien S. Baker and Dionysios Stivas
- Post-Acquisition Performance of Emerging Market Firms: A Multi-Dimensional Analysis of Acquisitions in India pp. 1-18

- Arindam Das
- Does the Exchange Rate and Its Volatility Matter for International Trade in Ethiopia? pp. 1-18

- Tiblets Nguse, Betgilu Oshora, Maria Fekete-Farkas, Anita Tangl and Goshu Desalegn
- The Relationship between LGBT Executives and Firms’ Value and Financial Performance pp. 1-18

- Isabel Costa Lourenço, Donatella Di Marco, Manuel Branco, Ana Isabel Lopes, Raquel Wille Sarquis and Mark T. Soliman
- Doping Sanctions in Sport: Knowledge and Perception of (Legal) Consequences of Doping—An Explorative Study in Austria pp. 1-18

- Cornelia Blank, Magdalena Flatscher-Thöni, Katharina Gatterer, Elisabeth Happ, Wolfgang Schobersberger and Verena Stühlinger
- People Financing Entrepreneurs within and outside the Family: Pandemic Decline and Resilience in Cultures around the World pp. 1-18

- Ahmed Tolba, Ayman Ismail and Thomas Schøtt
- Super RaSE: Super Random Subspace Ensemble Classification pp. 1-18

- Jianan Zhu and Yang Feng
- COVID-19: An Economic or Social Disease? Implications for Disadvantaged Populations pp. 1-4

- Hijrah Nasir, Valentin Navel, Julien S Baker, Rashmi Supriya, Alistair Cole, Yang Gao and Frederic Dutheil
Volume 14, issue 11, 2021
- RETRACTED: Salhi (2021). The Relationship between CEO Psychological Biases, Corporate Governance and Corporate Social Responsibility. Journal of Risk and Financial Management 14: 317 pp. 1-1

- Bassem Salhi
- Return Based Risk Measures for Non-Normally Distributed Returns: An Alternative Modelling Approach pp. 1-48

- Eyden Samunderu and Yvonne T. Murahwa
- An Assessment of Post-COVID-19 EU Recovery Funds and the Distribution of Them among Member States pp. 1-11

- María-Dolores Guillamón, Ana-María Ríos and Bernardino Benito
- Unleveraged Portfolios and Pure Allocation Return pp. 1-11

- Barbara Alemanni, Mario Maggi and Pierpaolo Uberti
- Managing Financial Risks while Performing International Commercial Transactions. Intertemporal Lessons from Athens in Classical Times pp. 1-14

- Emmanouil-Marios-Lazaros Economou, Nikolaos A. Kyriazis and Nicholas C. Kyriazis
- Australians’ Financial Wellbeing and Household Debt: A Panel Analysis pp. 1-14

- Muhammad S. Tahir and Abdullahi D. Ahmed
- The Determinants of Investment Account Holders’ Disclosure in Islamic Banks: International Evidence pp. 1-14

- Raoudha Saidani, Neila Boulila Taktak and Khaled Hussainey
- Crypto Exchanges and Credit Risk: Modeling and Forecasting the Probability of Closure pp. 1-23

- Dean Fantazzini and Raffaella Calabrese
- Whose Policy Uncertainty Matters in the Trade between Korea and the U.S.? pp. 1-23

- Mohsen Bahmani-Oskooee and Jungho Baek
- Google Search in Exchange Rate Models: Hype or Hope? pp. 1-40

- Bodo Herzog and Lana dos Santos
- A Focus on Ethical Value under the Vision of Leadership, Teamwork, Effective Communication and Productivity pp. 1-32

- Víctor Mercader, Esthela Galván-Vela, Rafael Ravina-Ripoll and Cristina Raluca Gh. Popescu
- Impact of Geopolitical Risk on the Information Technology, Communication Services and Consumer Staples Sectors of the S&P 500 Index pp. 1-32

- Gerard Atabong Fossung, Vasileios Chatzis Vovas and A. M. M. Shahiduzzaman Quoreshi
- Order Routing Decisions for a Fragmented Market: A Review pp. 1-32

- Suchismita Mishra and Le Zhao
- Level of Financial Performance of Selected Construction Companies in South Africa pp. 1-18

- Emmanuel Dele Omopariola, Abimbola Windapo, David John Edwards and Hatem El-Gohary
- Bank Risk Capital and Its Effectiveness in Selected Euro Area Banking Sectors pp. 1-18

- Irena Pyka and Aleksandra Nocoń
- Alcohol Consumption Pre and Post COVID-19. Implications for Health, Underlying Pathologies, Risks and Its Management pp. 1-4

- Julien S. Baker, Rashmi Supriya, Dan Tao and Yang Gao
- Does Board Diversity Attract Foreign Institutional Ownership? Insights from the Chinese Equity Market pp. 1-15

- Shoukat Ali, Ramiz Ur Rehman, Muhammad Ishfaq Ahmad and Joe Ueng
- Skewed Binary Regression to Study Rental Cars by Tourists in the Canary Islands pp. 1-15

- Nancy Dávila-Cárdenes, José María Pérez-Sánchez, Emilio Gómez-Déniz and José Boza-Chirino
- Overconfidence, Financial Advice Seeking and Household Portfolio Under-Diversification pp. 1-15

- Stijn P. M. Broekema and Marc M. Kramer
- Short-Term Impact of COVID-19 on Indian Stock Market pp. 1-15

- Yashraj Varma, Renuka Venkataramani, Parthajit Kayal and Moinak Maiti
- Creating Unbiased Machine Learning Models by Design pp. 1-15

- Joseph L. Breeden and Eugenia Leonova
- A Neutrosophic Fuzzy Optimisation Model for Optimal Sustainable Closed-Loop Supply Chain Network during COVID-19 pp. 1-22

- Agnieszka Szmelter-Jarosz, Javid Ghahremani-Nahr and Hamed Nozari
- Volatility Spillover Dynamics between Large-, Mid-, and Small-Cap Stocks in the Time-Frequency Domain: Implications for Portfolio Management pp. 1-22

- Sangram Keshari Jena, Aviral Tiwari, Ashutosh Dash and Emmanuel Abakah
- Modelling Returns in US Housing Prices—You’re the One for Me, Fat Tails pp. 1-17

- Tamas Kiss, Hoang Nguyen and Pär Österholm
- Forecasting Stochastic Volatility Characteristics for the Financial Fossil Oil Market Densities pp. 1-17

- Per Bjarte Solibakke
- The Impact of Corporate Social Responsibility as a Marketing Investment on Firms’ Performance: A Risk-Oriented Approach pp. 1-17

- Mohamed M. Ibrahim, Mohamed M. El Frargy and Khaled Hussainey
- Optimization of a Portfolio of Investment Projects: A Real Options Approach Using the Omega Measure pp. 1-17

- Javier G. Castro, Edison A. Tito and Luiz E. Brandão
- Investment Decisions with Two-Factor Uncertainty pp. 1-17

- Tine Compernolle, Kuno J. M. Huisman, Peter Kort, Maria Lavrutich, Cláudia Nunes and Jacco J. J. Thijssen
- The Impact of Unsystematic Factors on Bitcoin Value pp. 1-17

- Zvonko Merkaš and Vlasta Roška
- The Effects of ERM Adoption on European Insurance Firms Performance and Risks pp. 1-17

- Doureige Jurdi and Sam M. AlGhnaimat
- Impact of COVID-19 on the Stock Market by Industrial Sector in Chile: An Adverse Overreaction pp. 1-24

- Pedro Antonio González and José Luis Gallizo
- Efficient Variance Reduction for American Call Options Using Symmetry Arguments pp. 1-21

- François-Michel Boire, R. Mark Reesor and Lars Stentoft
- Stress Spillovers among Financial Markets: Evidence from Spain pp. 1-21

- Julián Andrada-Félix, Adrian Fernandez-Perez and Simon Sosvilla-Rivero
- An Empirical Investigation into Alarming Signals Ignored by the U.S. Multi-Brand Retailer J. Crew Incorporation during COVID-19 Pandemic pp. 1-21

- Ganga Bhavani, Reena Agrawal, Suhan Mendon, Cristi Spulbar and Ramona Birau
- Offsetting Risk in a Neoliberal Environment: The Link between Asset-Based Welfare and NIMBYism pp. 1-21

- Matthew C. Record
- Green and Sustainable Life Insurance: A Bibliometric Review pp. 1-21

- Haitham Nobanee, Ghaith Butti Alqubaisi, Abdullah Alhameli, Helal Alqubaisi, Nouf Alhammadi, Shahla Alsanah Almasahli and Noora Wazir
- Subsidies and Economic and Financial Performance of Enterprises pp. 1-16

- Štefan Bojnec and Sabina Žampa
- Approval of an Arrangement in the Restructuring Proceedings and the Financial Condition of Companies Listed on the Stock Exchanges in Warsaw. Is There Any Relationship? pp. 1-16

- Błażej Prusak and Paweł Galiński
- An Investigation into the Sources of Depreciations in Mongolian Tugrik Exchange Rate: A Structural VAR Approach pp. 1-16

- Gunbileg Ganbayar
- Can Sustainable Corporate Governance Enhance Internal Audit Function? Evidence from Omani Public Listed Companies pp. 1-16

- Ali Rehman
- Contingent Effect of Board Gender Diversity on Performance in Emerging Markets: Evidence from the Egyptian Revolution pp. 1-16

- Melsa Ararat, Moataz El-Helaly, Alan Lowe and Nermeen Shehata
- Volatility and Depth in Commodity and FX Futures Markets pp. 1-16

- Alexandre Aidov and Olesya Lobanova
- Foreign Direct Investment and Trade—Between Complementarity and Substitution. Evidence from European Union Countries pp. 1-16

- Marian Catalin Voica, Mirela Panait, Eglantina Hysa, Arjona Cela and Otilia Manta
- Expectations Concordance and Stock Market Volatility: Knightian Uncertainty in the Year of the Pandemic pp. 1-13

- Roman Frydman and Nicholas Mangee
- Technology Adoption and Learning-by-Doing: The Case of Bt Cotton Adoption in China pp. 1-13

- Guang Tian, Xiaoxue Du, Fangbin Qiao and Andres Trujillo-Barrera
- Determinants of the Economic Vulnerability of Businesses to Pandemics and Similar Events pp. 1-13

- Clement Tisdell
- Choosing a Price and Cost Combination—The Role of Correlation pp. 1-13

- Avner Bar-Ilan and Yishay Maoz
- Infrastructure and Economic Growth pp. 1-13

- Markus Brueckner
- External Shocks and Volatility Overflow among the Exchange Rate of the Yen, Nikkei, TOPIX and Sectoral Stock Indices pp. 1-13

- Mirzosaid Sultonov
- Financial Literacy as a Driver of Financial Inclusion in Kenya and Tanzania pp. 1-13

- Ashenafi Fanta and Kingstone Mutsonziwa
- Does the Disclosure of an Audit Engagement Partner’s Name Improve the Audit Quality? A Difference-in-Difference Analysis pp. 1-30

- Kose John and Min (Shirley) Liu
- How Many Stocks Are Sufficient for Equity Portfolio Diversification? A Review of the Literature pp. 1-30

- Azra Zaimovic, Adna Omanovic and Almira Arnaut-Berilo
- Complementary Currencies for Humanitarian Aid pp. 1-30

- Leanne Ussher, Laura Ebert, Georgina M. Gómez and William O. Ruddick
- Empirical Analysis of MSCI China A-Shares pp. 1-25

- Yan Li and Weiping Li
- Technical Analysis of Tourism Price Process in the Eurozone pp. 1-25

- Sergej Gričar and Štefan Bojnec
- Maximum Drawdown, Recovery, and Momentum pp. 1-25

- Jaehyung Choi
- Churn Management in Telecommunications: Hybrid Approach Using Cluster Analysis and Decision Trees pp. 1-25

- Mirjana Pejić Bach, Jasmina Pivar and Božidar Jaković
- Political Stress and the Sustainability of Funded Pension Schemes: Introduction of a Financial Theory pp. 1-12

- Ishay Wolf
- Simultaneous Analysis of Insurance Participation and Acreage Response from Subsidized Crop Insurance for Cotton pp. 1-20

- Ibrahima Sall and Russell Tronstad
- The Nexus among Competitively Valued Exchange Rates, Price Level, and Growth Performance in the Turkish Economy; New Insight from the Global Value Chains pp. 1-19

- Umar Aliyu Shuabiu, Mohammed A. M. Usman and Behiye Çavuşoğlu
- Application of Artificial Intelligence in Stock Market Forecasting: A Critique, Review, and Research Agenda pp. 1-34

- Ritika Chopra and Gagan Sharma
- Solvency Risk and Corporate Performance: A Case Study on European Retailers pp. 1-34

- Alexandra Horobet, Stefania Cristina Curea, Alexandra Smedoiu Popoviciu, Cosmin-Alin Botoroga, Lucian Belascu and Dan Gabriel Dumitrescu
Volume 14, issue 10, 2021
- An Assessment of the Efficiency of Canadian Power Generation Companies with Bootstrap DEA pp. 1-27

- Mohamed Dia, Shashi K. Shahi and Luckny Zéphyr
- Succession as a Risk Process in the Survival of a Family Business—Case of Slovakia pp. 1-20

- Boris Rumanko, Zuzana Lušňáková, Monika Moravanská and Mária Šajbidorová
- Accounting Policies, Institutional Factors, and Firm Performance: Qualitative Insights in a Developing Country pp. 1-20

- Daniel Badulescu, Muhammad Nouman Akhtar, Mumtaz Ahmad and Mariam Abbas Soharwardi
- Framework on Performance Management in Automotive Industry: A Case Study pp. 1-20

- Elena Lascu, Irina Severin, Florina Daniela Lascu, Razvan Adrian Gudana, Gabriela Nalbitoru and Nicoleta Daniela Ignat
- Minimising Risk—The Application of Kotter’s Change Management Model on Customer Relationship Management Systems: A Case Study pp. 1-20

- Danny Sittrop and Cheryl Crosthwaite
- A Wavelet Perspective of Crisis Contagion between Advanced Economies and the BRIC Markets pp. 1-29

- Constantin Gurdgiev and Conor O’Riordan
- The Rich Get Richer and the Poor Get Poorer: Social Media and the Post-IPO Behavior of Investors in Biotechnology Firms: The Relationship with Twitter Volume pp. 1-17

- Smadar Siev
- Multi-Asset Value Payoff: Is Recent Underperformance Cyclical? pp. 1-17

- Yesim Tokat-Acikel, Marco Aiolfi and Yiwen Jin
- Make the Best from Comparing Conventional and Islamic Asset Classes: A Design of an All-Seasons Combined Portfolio pp. 1-17

- Andrea Delle Foglie and Gianni Pola
- Changes in Consumption in the Early COVID-19 Era: Zip-Code Level Evidence from the U.S pp. 1-10

- Hakan Yilmazkuday
- Univariate and Multivariate Machine Learning Forecasting Models on the Price Returns of Cryptocurrencies pp. 1-10

- Dante Miller and Jong-Min Kim
- The Preventive Role of Exercise on the Physiological, Psychological, and Psychophysiological Parameters of Coronavirus 2 (SARS-CoV-2): A Mini Review pp. 1-12

- Julien S. Baker, Alistair Cole, Dan Tao, Feifei Li, Wei Liang, Jojo Jiao, Yang Gao and Rashmi Supriya
- Modeling of Social Risks in the Labor Sphere pp. 1-12

- Olha Shulha, Tatiana Kostyshyna, Maryna Semykina, Liudmyla Katan and Hanna Smirnova
- Volatility Spillovers among Cryptocurrencies pp. 1-12

- Lee Smales
- Multiscale Decomposition and Spectral Analysis of Sector ETF Price Dynamics pp. 1-22

- Tim Leung and Theodore Zhao
- Variable Slope Forecasting Methods and COVID-19 Risk pp. 1-22

- Jonathan Leightner, Tomoo Inoue and Pierre Lafaye de Micheaux
- Corporate Cash Holdings and National Culture: Evidence from the Middle East and North Africa Region pp. 1-22

- Sherif El-Halaby, Hosam Abdelrasheed and Khaled Hussainey
- Does Fixed Income Buffer against Fraud Shocks? pp. 1-22

- Steven James Lee
- Determinants of EMNEs’ Entry Mode Decision with Environmental Volatility Issues: A Review and Research Agenda pp. 1-22

- Yameng Li, Ruosu Gao and Jingyi Wang
- Customer Value Creation for the Emerging Market Middle Class: Perspectives from Case Studies in India pp. 1-18

- Rifat Sharmelly and Anton Klarin
- Self-Organising (Kohonen) Maps for the Vietnam Banking Industry pp. 1-18

- Man Ha, Christopher Gan, Cuong Nguyen and Patricia Anthony
- Assessing Institutional Dynamics of Governance Compliance in Emerging Markets: The GCC Real Estate Sector pp. 1-18

- Rekha Pillai, Husam-Aldin N. Al-Malkawi and Muhammad Bhatti
- Transnational and Transdisciplinary Lessons from the COVID-19 Pandemic pp. 1-3

- Frédéric Dutheil, Valentin Navel, Julien S. Baker, Emilie Tran, Alistair Cole, Binh Quach, Jiao Jiao, Jean-Baptiste Bouillon-Minois and Maëlys Clinchamps
- Impact of Improved Corporate Governance and Regulations on Earnings Management Practices—Analysis of 7 Industries from the Indian National Stock Exchange pp. 1-15

- Jose Joy Thoppan, Robert Jeyakumar Nathan and Vijay Victor
- The Effect of U.S. Investor Sentiment on Cross-Listed Securities Returns: A High-Frequency Approach pp. 1-15

- Juan Pablo Gutierrez Pineda and Daniel Perez Liston
- The COVID-19 Shock: A Bayesian Approach pp. 1-15

- Oussama Abi Younes and Sumru Altug
- Questioning the Assumptions, Sustainability and Ethics of Endless Economic Growth pp. 1-15

- Haydn Washington
- Experts’ Perspective on the Development of Experiential Marketing Strategy: Implementation Steps, Benefits, and Challenges pp. 1-15

- Ana-Maria Urdea and Cristinel Constantin
- Causality between Energy Consumption and Economic Growth in the Presence of Growth Volatility: Multi-Country Evidence pp. 1-26

- Gulasekaran Rajaguru and Safdar Ullah Khan
- The Road from Money to Happiness pp. 1-13

- Gabriela Mihaela Mureșan, Melinda Timea Fülöp and Cristina Ciumaș
- FinTech: Ecosystem, Opportunities and Challenges in Saudi Arabia pp. 1-13

- Mansour Saleh Albarrak and Sara Ali Alokley
- Failure Prediction in the Condition of Information Asymmetry: Tax Arrears as a Substitute When Financial Ratios Are Outdated pp. 1-13

- Oliver Lukason and Germo Valgenberg
- Predicting Insolvency of the Construction Companies in the Creditworthiness Assessment Process—Empirical Evidence from Poland pp. 1-16

- Rafał Balina, Marta Idasz-Balina and Noer Azam Achsani
- Does Heterogeneity in COVID-19 News Affect Asset Market? Monte-Carlo Simulation Based Wavelet Transform pp. 1-16

- Asima Siddique, Ghulam Mujtaba Kayani and Saira Ashfaq
- Agency-Linked Risk Management with Ownership and Board Sub-Committee Governance: Evidence from an OECD Economy pp. 1-16

- Omar Al Farooque
- The Effect of Risk, R&D Intensity, Liquidity, and Inventory on Firm Performance during COVID-19: Evidence from US Manufacturing Industry pp. 1-16

- Jack Clampit, Dinesh Hasija, Michael Dugan and John Gamble
- Assess the Impact of the COVID-19 Pandemic and Propose Solutions for Sustainable Development for Textile Enterprises: An Integrated Data Envelopment Analysis-Binary Logistic Model Approach pp. 1-23

- Han-Khanh Nguyen and Mai-Nam Vu
- A Novel Measure of Political Risk and Foreign Direct Investment Inflows pp. 1-23

- Pavel Jeutang and Kwabena Kesse
- Analyst Forecasts during the COVID-19 Pandemic: Evidence from REITs pp. 1-21

- Paul Anglin, Jianxin Cui, Yanmin Gao and Li Zhang
- Cost–Benefit Analysis in the Evaluation of Cultural Heritage Project Funding pp. 1-21

- Sanja Tišma, Mira Mileusnić Škrtić, Sanja Maleković and Daniela Angelina Jelinčić
- Propagation of International Supply-Chain Disruptions between Firms in a Country pp. 1-14

- Hiroyasu Inoue
- The Influence of the Independent Non-Executive Board Members on the Financial Performance of the Companies Listed in the Bucharest Stock Exchange pp. 1-14

- Bogdan Aurelian Mihail and Carmen Daniela Micu
- Do Overlapped Audit Committee Directors Affect Tax Avoidance? pp. 1-14

- Hidaya Al Lawati and Khaled Hussainey
- Behavioral Decision Making in Normative and Descriptive Views: A Critical Review of Literature pp. 1-14

- Junyi Chai, Zhiquan Weng and Wenbin Liu
- Democracy and Corruption pp. 1-14

- Markus Brueckner
- Cross-Border M&A Motives and Home Country Institutions: Role of Regulatory Quality and Dynamics in the Asia-Pacific Region pp. 1-24

- Peter Zámborský, Zheng Joseph Yan, Erwann Sbai and Matthew Larsen
- Predicting Bank Failures: A Synthesis of Literature and Directions for Future Research pp. 1-24

- Li Xian Liu, Shuangzhe Liu and Milind Sathye
- A Novel Model Structured on Predictive Churn Methods in a Banking Organization pp. 1-24

- Leonardo José Silveira, Plácido Rogério Pinheiro and Leopoldo Soares de Melo Junior
- The Nexus between Financial Development and Economic Growth: Panel Data Evidence from Developing Countries pp. 1-24

- E. M. Ekanayake and Ranjini Thaver
- Sovereign Default Forecasting in the Era of the COVID-19 Crisis pp. 1-24

- Tamás Kristóf
- Gender Differences in Intra-Household Financial Decision-Making: An Application of Coarsened Exact Matching pp. 1-11

- Frederik Booysen and Sevias Guvuriro
Volume 14, issue 9, 2021
- Market Liquidity and Its Dimensions: Linking the Liquidity Dimensions to Sentiment Analysis through Microblogging Data pp. 1-12

- Francisco Guijarro, Ismael Moya-Clemente and Jawad Saleemi
- Utility Indifference Option Pricing Model with a Non-Constant Risk-Aversion under Transaction Costs and Its Numerical Approximation pp. 1-12

- Pedro Pólvora and Daniel Ševčovič
- Measuring Synergies of Banks’ Cross-Border Mergers by Real Options: Case Study of Luminor Group AB pp. 1-20

- Andrejs Čirjevskis
- The Turkish Cypriot Municipalities’ Productivity and Performance: An Application of Data Envelopment Analysis and the Tobit Model pp. 1-19

- Dilber Çağlar Onbaşıoğlu
- Second-Order Least Squares Method for Dynamic Panel Data Models with Application pp. 1-19

- Mustafa Salamh and Liqun Wang
- Corporate Governance and Risk Management: Lessons (Not) Learnt from the Financial Crisis pp. 1-19

- Alessandro Gennaro and Michelle Nietlispach
- Dynamic Impact of Unconventional Monetary Policy on International REITs pp. 1-19

- Hardik A. Marfatia, Rangan Gupta and Keagile Lesame
- Accuracy of European Stock Target Prices pp. 1-27

- Joana Almeida and Raquel Gaspar
- Investigating the Impact of Trade Disruptions on Price Transmission in Commodity Markets: An Application of Threshold Cointegration pp. 1-7

- Janelle Mann and Derek Brewin
- Financial Contagion Patterns in Individual Economic Sectors. The Day-of-the-Week Effect from the Polish, Russian and Romanian Markets pp. 1-28

- Elena Valentina Țilică
- The Economic Sustainability of Culture in Hawai’i: Tourists’ Willingness to Pay for Hawaiian Cultural Experiences pp. 1-25

- Gabriella Andrade, Holly Itoga, Cathrine Linnes, Jerome Agrusa and Joseph Lema
- Mathematical Foundations for Balancing the Payment System in the Trade Credit Market pp. 1-25

- Tomaž Fleischman and Paolo Dini
- Government Subsidisation and Shareholder Wealth Impact: Evidence from Malaysia pp. 1-24

- Philip Sinnadurai, Ravichandran Subramaniam, Susela Devi and Kyungyoung Ko
- An Equilibrium-Based Measure of Systemic Risk pp. 1-24

- Katerina Ivanov, James Schulte, Weidong Tian and Kevin Tseng
- Mergers and Acquisitions Risk Modeling pp. 1-24

- Yulia Vertakova, Inga Vselenskaya and Vladimir Plotnikov
- Economic Performance and Composition of Nordic Bioeconomy Sectors (NBES) pp. 1-21

- Filip Lestan, Babu George and Sajal Kabiraj
- Does the Money Multiplier Hold in Pacific Island Countries? The Case of Papua New Guinea pp. 1-21

- Mark Ofoi and Parmendra Sharma
- The Behavioural Aspects of Financial Literacy pp. 1-16

- Florian Gerth, Katia Lopez, Krishna Reddy, Vikash Ramiah, Damien Wallace, Glenn Muschert, Alex Frino and Leonie Jooste
- A Discount Technique-Based Inventory Management on Electronics Products Supply Chain pp. 1-16

- Md. Sujan Miah, Md. Mominul Islam, Mahmudul Hasan, Abu Hashan Md. Mashud, Dipa Roy and Shib Sankar Sana
- Time-Varying Risk and the Relation between Idiosyncratic Risk and Stock Return pp. 1-16

- Chengbo Fu
- Financial Market Reaction to Patent Lawsuits against Integrated Circuit Design Companies pp. 1-16

- Su-Chen Yu and Kuang-Hsun Shih
- Kelly Criterion for Optimal Credit Allocation pp. 1-16

- Son Tran and Peter Verhoeven
- The Impact of COVID-19 on Stock Market Returns in Vietnam pp. 1-16

- Dao Van Hung, Nguyen Thi Minh Hue and Vu Thuy Duong
- Understanding the Interaction of Chinese Fiscal and Monetary Policy pp. 1-13

- Zehua Luan, Xiangyu Man and Xuan Zhou
- Market Behavior in the Face of Political Violence: Evidence from Tsarist Russia pp. 1-13

- Christopher Hartwell
- FDML versus GMM for Dynamic Panel Models with Roots Near Unity pp. 1-9

- Adrian Mehic
- Is Industry Size a Carrier for Wage Inequality? A Panel Study Addressing Independent Variables of Inherently Different Sizes across Units pp. 1-9

- Jarle Aarstad and Olav Andreas Kvitastein
- Impact of Elimination of Dividend Distribution Tax on Indian Corporate Firms Amid COVID Disruptions pp. 1-38

- Anshu Agrawal
- A Balanced Portfolio Can Have a Higher Geometric Return Than the Risky Asset pp. 1-5

- Miriam Arden and Tiemen Woutersen
- GJR-GARCH Volatility Modeling under NIG and ANN for Predicting Top Cryptocurrencies pp. 1-22

- Fahad Mostafa, Pritam Saha, Mohammad Rafiqul Islam and Nguyet Nguyen
- Anchoring and Asymmetric Information in the Real Estate Market: A Machine Learning Approach pp. 1-22

- Ka Shing Cheung, Julian TszKin Chan, Sijie Li and Chung Yim Yiu
- Poland–Turkey Comparison of Mobile Payments Quality in Pandemic Time pp. 1-22

- Witold Chmielarz, Marek Zborowski, Alicja Fandrejewska and Mesut Atasever
- Stochastic Analysis and Neural Network-Based Yield Prediction with Precision Agriculture pp. 1-17

- Humayra Shoshi, Erik Hanson, William Nganje and Indranil SenGupta
- Industry, Firm, and Country Level Dynamics of Capital Structure: A Case of Pakistani Firms pp. 1-17

- Idrees Liaqat, Muhammad Asif Khan, József Popp and Judit Oláh
- Crisis Mitigation through Cash Assistance to Increase Local Consumption Levels—A Case Study of a Bimonetary System in Barcelona, Spain pp. 1-17

- Susana Martín Belmonte, Jordi Puig, Mercè Roca and Marta Segura
- Leader Dismissal or Continuity, President Longevity, Geographic Orientation of Owners and Team Performance: Insights from French Men’s Football, 1994–2016 pp. 1-17

- Nicolas Scelles and Matthieu Llorca
- Testing Housing Markets for Episodes of Exuberance: Evidence from Different Polish Cities pp. 1-29

- Janusz Sobieraj and Dominik Metelski
- Are Foreign Banks Disadvantaged Vis-À-Vis Domestic Banks in China? pp. 1-36

- Li Xian Liu, Fuming Jiang, Milind Sathye and Hongbo Liu
- Artificial Intelligence for Cluster Analysis: Case Study of Transport Companies in Czech Republic pp. 1-36

- Eva Kalinová
- The Optimal Spending Rate versus the Expected Real Return of a Sovereign Wealth Fund pp. 1-36

- Knut Aase and Petter Bjerksund
- Financial Leverage and Debt Maturity Targeting: International Evidence pp. 1-36

- Ali Gungoraydinoglu and Ozde Oztekin
- Contextual Factors and the Diffusion of MAIs in Manufacturing and Non-Manufacturing Sectors in Libya pp. 1-33

- Alhadi Boukr, Hassan Yazdifar and Davood Askarany
- Financial Inclusion through Digital Financial Services (DFS): A Study in Uganda pp. 1-18

- Jimmy Ebong and Babu George
- Conditions for the Growth of the “Silver Economy” in the Context of Sustainable Development Goals: Peculiarities of Russia pp. 1-18

- Liudmila Reshetnikova, Natalia Boldyreva, Maria Perevalova, Svetlana Kalayda and Zhanna Pisarenko
- Bank Competition Using Networks: A Study on an Emerging Economy pp. 1-18

- Molla Ramizur Rahman and Arun Kumar Misra
- Predicting Food-Safety Risk and Determining Cost-Effective Risk-Reduction Strategies pp. 1-18

- William Nganje, Linda D. Burbidge, Elisha K. Denkyirah and Elvis M. Ndembe
- Non-Financial Reporting—Standardization Options for SME Sector pp. 1-18

- Patrycja Krawczyk
- Political Participation in the Risk Society: The Italian Case pp. 1-18

- Marianna Bartiromo and Enrico Ivaldi
- Do Inflation Expectations Matter for Small, Open Economies? Empirical Evidence from the Solomon Islands pp. 1-18

- Angeline B. Rohoia and Parmendra Sharma
- Stock Split Rule Changes and Stock Liquidity: Evidence from Bursa Malaysia pp. 1-15

- S. Amir Tabibian, Zhaoyong Zhang and Abdollah Ah Mand
- Why the Operating Performance of Post-IPO Firms Decreases: Evidence from China pp. 1-15

- Hai Long, Xiaochen Lin and Yu Chen
- The Ascent of Bitcoin: Bibliometric Analysis of Bitcoin Research pp. 1-15

- Ahmet Aysan, Hüseyin Bedir Demirtaş and Mustafa Saraç
- Contrasting Cryptocurrencies with Other Assets: Full Distributions and the COVID Impact pp. 1-15

- Esfandiar Maasoumi and Xi Wu
- The Determinants of Green Bond Issuance in the European Union pp. 1-15

- Anamaria Dan and Adriana Tiron-Tudor
- Technological Windows of Opportunity for Russian Arctic Regions: Modeling and Exploitation Prospects pp. 1-11

- Vera P. Samarina, Tatiana P. Skufina, Diana Yu. Savon and Svetlana S. Kudryavtseva
- The Impact of Oil Price Shocks on Oil-Dependent Countries’ Currencies: The Case of Azerbaijan and Kazakhstan pp. 1-14

- Katarzyna Czech and Ibrahim Niftiyev
- Price Transmission in Cotton Futures Market: Evidence from Three Countries pp. 1-14

- Amrinder Singh and Tarun Kumar Soni
- The Determinants of PayTech’s Success in the Mobile Payment Market—The Case of BLIK pp. 1-23

- Joanna Błach and Monika Klimontowicz
- Sustainability Determinants of Cultural and Creative Industries in Peripheral Areas pp. 1-23

- Francesca Imperiale, Roberta Fasiello and Stefano Adamo
- A Panel Study of Factor Accumulation and Export Quality pp. 1-53

- Purba Mukerji
Volume 14, issue 8, 2021
- Oil Market Factors as a Source of Commonality in Liquidity in International Equity Markets pp. 1-33

- Abdulrahman Alhassan, Atsuyuki Naka and Abdullah Noman
- Exploring Critical Success Factors of Competence-Based Synergy in Strategic Alliances: The Renault–Nissan–Mitsubishi Strategic Alliance pp. 1-22

- Andrejs Čirjevskis
- COVID-19 and Islamic Stock Index: Evidence of Market Behavior and Volatility Persistence pp. 1-22

- Adil Saleem, Judit Bárczi and Judit Sági
- Subjective Knowledge, Perceived Risk, and Information Search when Purchasing a Franchise: A Comparative Exploration from Australia pp. 1-17

- Peter Balsarini, Claire Lambert, Maria M. Ryan and Martin MacCarthy
- Artificial Intelligence: The Attitude of the Public and Representatives of Various Industries pp. 1-17

- Tatjana Vasiljeva, Ilmars Kreituss and Ilze Lulle
- The Print Media Convergence: Overall Trends and the COVID-19 Pandemic Impact pp. 1-17

- Marina Sheresheva, Lyudmila Skakovskaya, Elena Bryzgalova, Anton Antonov-Ovseenko and Helen Shitikova
- Development of Social Cost and Benefit Analysis (SCBA) in the Maq??id Shariah Framework: Narratives on the Use of Drones for Takaful Operators pp. 1-17

- Amirul Afif Muhamat, Ahmad Farouk Zulkifli, Suzana Sulaiman, Geetha Subramaniam and Saadiah Mohamad
- COVID-19 Pandemic and Romanian Stock Market Volatility: A GARCH Approach pp. 1-29

- Ştefan Gherghina, Daniel Ștefan Armeanu and Camelia Cătălina Joldeș
- Hedging Long-Dated Oil Futures and Options Using Short-Dated Securities—Revisiting Metallgesellschaft pp. 1-10

- James S. Doran and Ehud I. Ronn
- Optimizing Stock Market Returns during Global Pandemic Using Regression in the Context of Indian Stock Market pp. 1-10

- Pradip Debnath and Hari Mohan Srivastava
- Determinants of Insurance Penetration in West African Countries: A Panel Auto Regressive Distributed Lag Approach pp. 1-15

- Odunayo Olarewaju and Thabiso Msomi
- Does a Board Characteristic Moderate the Relationship between CSR Practices and Financial Performance? Evidence from European ESG Firms pp. 1-15

- Matteo Rossi, Jamel Chouaibi, Salim Chouaibi, Wafa Jilani and Yamina Chouaibi
- Managing Risks in the Improved Model of Rolling Mill Loading: A Case Study pp. 1-15

- Nelli Vladimirovna Syreyshchikova, Danil Yurievich Pimenov, Elena Nikolaevna Yaroslavova, Munish Kumar Gupta, Muhammad Aamir and Khaled Giasin
- On Prices of Privacy Coins and Bitcoin pp. 1-15

- Olli-Pekka Hilmola
- The Perceived Effectiveness of Blockchain for Digital Operational Risk Resilience in the European Union Insurance Market Sector pp. 1-15

- Simon Grima, Murat Kizilkaya, Kiran Sood and Mehmet ErdemDelice
- Constructing Divisia Monetary Aggregates for Singapore pp. 1-15

- William Barnett and Nguyen Van H.
- How Fast Does the Clock of Finance Run?—A Time-Definition Enforcing Stationarity and Quantifying Overnight Duration pp. 1-15

- Michele Caraglio, Fulvio Baldovin and Attilio L. Stella
- The Coaching Black Box: Risk Mitigation during Change Management pp. 1-18

- William Percy and Kevin Dow
- Cash Holding and Firm Value in the Presence of Managerial Optimism pp. 1-18

- Ashfaq Habib, Muhammad Bhatti, Muhammad Asif Khan and Zafar Azam
- Risk and Opportunity—The Leadership Challenge in a World of Uncertainty—Learnings from Research into the Implementation of the Australian National Disability Insurance Scheme pp. 1-18

- David Rosenbaum and Elizabeth More
- The Effect of Dividend Payment on Firm’s Financial Performance: An Empirical Study of Vietnam pp. 1-11

- Anh Huu Nguyen, Cuong Duc Pham, Nga Thanh Doan, Trang Thu Ta, Hieu Thanh Nguyen and Tu Van Truong
- Labour Migration of Parents and Threats to Children and Youth pp. 1-11

- Artur Kraus and Natalia Wojtas
- The Impact of Brand Equity on Conversion Behavior in the Use of Personal Banking Services: Case Study of Commercial Banks in Vietnam pp. 1-14

- Thi Thu Cuc Nguyen
- Applying Quantile Regression to Assess the Relationship between R&D, Technology Import and Patent Performance in Taiwan pp. 1-14

- Chung-Chu Chuang, Chung-Min Tsai, Hsiao-Chen Chang and Yi-Hsien Wang
- Recent Patterns of Economic Alignment in the European (Monetary) Union pp. 1-23

- Agnieszka Gehringer and Jörg König
- A Systems Perspective in Examining Industry Clusters: Case Studies of Clusters in Russia and India pp. 1-23

- Anton Klarin, Rifat Sharmelly and Yuliani Suseno
- Factor Endowments, Economic Integration, Round-Tripping, and Inward FDI: Evidence from the Baltic Economies pp. 1-26

- Andrzej Cieślik and Oleg Gurshev
- Big Data’s Disruptive Effect on Job Profiles: Management Accountants’ Case Study pp. 1-26

- Adriana Tiron-Tudor and Delia Deliu
- Spillovers and Asset Allocation pp. 1-31

- Lai T. Hoang and Dirk G. Baur
- Public Investment on Irrigation and Poverty Alleviation in Rural Laos pp. 1-12

- Bounmy Inthakesone and Pakaiphone Syphoxay
- Regulatory Response to the Rise of Fintech Credit in The Netherlands pp. 1-12

- Fred Huibers
- Transfer Entropy Approach for Portfolio Optimization: An Empirical Approach for CESEE Markets pp. 1-12

- Tihana Škrinjarić, Derick Quintino and Paulo Ferreira
- Digital Marketing Effects of Clubhouse on Crowdfunding in the Context of COVID-19 pp. 1-19

- Peter Konhäusner and Robert Seidentopf
- Financial Stress and Health Considerations: A Tradeoff in the Reopening Decisions of U.S. Liberal Arts Colleges during the COVID-19 Pandemic pp. 1-19

- Jonah Tobin, Oliver Hall, Jacob Lazris and David Zimmerman
- CSR Unconscious Consumption by Generation Z in the COVID-19 Era—Responsible Heretics Not Paying CSR Bonus? pp. 1-19

- Radka MacGregor Pelikánová and Martin Hála
- Pricing Product Options and Using Them to Complete Markets for Functions of Two Underlying Asset Prices pp. 1-20

- Dilip B. Madan and King Wang
- The Effect of Misalignment of CEO Personality and Corporate Governance Structures on Firm Performance pp. 1-20

- Irene M. Gordon, Karel Hrazdil, Johnny Jermias and Xin Li
- Misfit? The Use of Metrics in Innovation pp. 1-20

- Ilse Svensson de Jong
- The Spillover of Inflation among the G7 Countries pp. 1-20

- Khandokar Istiak, Aviral Tiwari, Humaira Husain and Kazi Sohag
- Do Terror Attacks Affect the Euro? Evidence from the 21st Century pp. 1-24

- Stelios Markoulis
- The COVID-19 Pandemic and Commercial Property Rent Dynamics pp. 1-24

- Roddy Allan, Ervi Liusman, Teddy Lu and Desmond Tsang
- What Information in Financial Statements Could Be Used to Predict the Risk of Equity Investment? pp. 1-24

- Min (Shirley) Liu
- Spurious Relationships for Nearly Non-Stationary Series pp. 1-24

- Yushan Cheng, Yongchang Hui, Michael McAleer and Wing-Keung Wong
- American Option Pricing with Importance Sampling and Shifted Regressions pp. 1-21

- Francois-Michel Boire, R. Mark Reesor and Lars Stentoft
- The Old Boys Club in New Zealand Listed Companies pp. 1-21

- Chen Chen, David Ding and William R. Wilson
- Improvement of Service Quality in the Supply Chain of Commercial Banks—A Case Study in Vietnam pp. 1-21

- Han-Khanh Nguyen and Thuy-Dung Nguyen
- Policy and Business Cycle Shocks: A Structural Factor Model Representation of the US Economy pp. 1-21

- Mario Forni and Luca Gambetti
- Modeling and Simulating Cross Country Banking Contagion Risks pp. 1-16

- Stefano Zedda and Antonella Spinace-Casale
- The Impact of COVID-19 on the Work of Property Valuers: A Glance at the Polish State of Play pp. 1-16

- Małgorzata Uhruska and Agnieszka Małkowska
- Forecasting High-Dimensional Financial Functional Time Series: An Application to Constituent Stocks in Dow Jones Index pp. 1-13

- Chen Tang and Yanlin Shi
- The History of Enterprise Risk Management at Hydro One Inc pp. 1-13

- John Fraser, Rob Quail and Betty Simkins
- Capital Structure, Working Capital, and Governance Quality Affect the Financial Performance of Small and Medium Enterprises in Taiwan pp. 1-13

- Anh-Huyen Vu Thi and The-Dong Phung
- What Microeconomic Fundamentals Drove Global Oil Prices during 1986–2020? pp. 1-13

- Anastasios Malliaris and Mary Malliaris
- Modelling the Impact of Different COVID-19 Pandemic Waves on Real Estate Stock Returns and Their Volatility Using a GJR-GARCHX Approach: An International Perspective pp. 1-8

- Mateusz Tomal
- Do Board Characteristics Matter for Growth Firms? Evidence from China pp. 1-9

- Qiuwei Li, Wei Zhou, Hui Zhou and Jiaxuan Chen
Volume 14, issue 7, 2021
- The Slow Death of Capital Protection pp. 1-8

- Christian Bauer and Marc Oliver Rieger
- Financial Risk and Better Returns through Smart Beta Exchange-Traded Funds? pp. 1-30

- Jordan Bowes and Marcel Ausloos
- Spatial Impact of Foreign Direct Investment on Poverty Reduction in Vietnam pp. 1-16

- Quynh Anh Do, Quoc Hoi Le, Thanh Duong Nguyen, Vu Van Anh, Lan Huong Tran and Cuc Thi Thu Nguyen
- Geographic Scope and Real Estate Firm Performance during the COVID-19 Pandemic pp. 1-16

- Xiaoling Chu, Chiuling Lu and Desmond Tsang
- Testing the Efficiency of Globally Listed Private Equity Markets pp. 1-16

- Lars Tegtmeier
- Global Index on Financial Losses Due to Crime in the United States pp. 1-16

- Thilini Mahanama, Abootaleb Shirvani and Svetlozar T. Rachev
- ‘My Sport Won’t Pay the Bills Forever’: High-Performance Athletes’ Need for Financial Literacy and Self-Management pp. 1-16

- Hee Jung Hong and Ian Fraser
- Empirical Evidence Regarding the Impact of Economic Growth and Inflation on Economic Sentiment and Household Consumption pp. 1-16

- Larissa Batrancea
- Determinants of Bank Profitability in CEE Countries: Evidence from GMM Panel Data Estimates pp. 1-23

- Alexandra Horobet, Magdalena Radulescu, Lucian Belascu and Sandra Maria Dita
- A Comparative Analysis on Probability of Volatility Clusters on Cryptocurrencies, and FOREX Currencies pp. 1-23

- Usha Rekha Chinthapalli
- Tax Rates and Tax Revenues in the Context of Tax Competitiveness pp. 1-13

- Martina Helcmanovská and Alena Andrejovská
- B2B Networking, Renewable Energy, and Sustainability pp. 1-13

- Davood Askarany, Hassan Yazdifar and Kevin Dow
- Analysis of Australia’s Fiscal Vulnerability to Crisis pp. 1-13

- Gulasekaran Rajaguru, Safdar Ullah Khan and Habib-Ur Rahman
- The Relationship between Carry Trade and Asset Markets in South Africa pp. 1-13

- Lumengo Bonga-Bonga and Tebogo Maake
- Impacts of Infectious Disease Outbreaks on Firm Performance and Risk: The Forest Industries during the COVID-19 Pandemic pp. 1-13

- Ståle Størdal, Gudbrand Lien and Erik Trømborg
- S&P 500 Index Price Spillovers around the COVID-19 Market Meltdown pp. 1-13

- Camillo Lento and Nikola Gradojevic
- International Environmental Agreements and CO 2 Emissions: Fresh Evidence from 11 Polluting Countries pp. 1-13

- Aikaterina Oikonomou, Michael Polemis and Symeoni-Eleni Soursou
- The Role of Board Independence and Ownership Structure in Improving the Efficacy of Corporate Financial Distress Prediction Model: Evidence from India pp. 1-13

- Shilpa H. Shetty and Theresa Nithila Vincent
- Bitcoin and Portfolio Diversification: A Portfolio Optimization Approach pp. 1-24

- Walid Bakry, Audil Rashid, Somar Al-Mohamad and Nasser El-Kanj
- Risk Implications for the Role of Budgets in Implementing Post-Acquisition Systems Integration Strategies pp. 1-24

- Nazila Razi, Elizabeth More and Gensheng Shen
- Risk and the Market’s Reaction to M&A Announcements pp. 1-24

- Ye Cai and Hersh Shefrin
- Volatility Spillover and International Contagion of Housing Bubbles pp. 1-14

- Jean-Louis Bago, Koffi Akakpo, Imad Rherrad and Ernest Ouédraogo
- Cost-Effectiveness Analysis of COVID-19 Case Quarantine Strategies in Two Australian States: New South Wales and Western Australia pp. 1-14

- Adrian Melia, Doowon Lee, Nader Mahmoudi, Yameng Li and Francesco Paolucci
- The Development of a Small and Medium-Sized Business Risk Management Intervention Tool pp. 1-14

- Niël Almero Krüger and Natanya Meyer
- The Causal Nexus of Consumer and Business Confidence Indexes in Early Pandemic Period: Evidence from OECD Countries pp. 1-14

- Inna Bielova, Jaroslav Halík and Lyudmila Ryabushka
- When Wrong Is Right: Leaving Room for Error in Innovation Measurement pp. 1-14

- Ilse Svensson de Jong
- Impact of Efficiency on Voluntary Disclosure of Non-Banking Financial Company—Microfinance Institutions in India pp. 1-21

- Arpita Sharma and Shailesh Rastogi
- Modeling Credit Risk: A Category Theory Perspective pp. 1-21

- Cao Son Tran, Dan Nicolau, Richi Nayak and Peter Verhoeven
- Combining Investment and Tax Strategies for Optimizing Lifetime Solvency under Uncertain Returns and Mortality pp. 1-25

- Sanjiv Das, Daniel Ostrov, Aviva Casanova, Anand Radhakrishnan and Deep Srivastav
- Catch the Heterogeneity: The New Bank-Tailored Integrated Rating pp. 1-25

- Daniela Arzu, Marcella Lucchetta and Guido Max Mantovani
- Causes and Effects of Sand and Dust Storms: What Has Past Research Taught Us? A Survey pp. 1-25

- Christian Opp, Michael Groll, Hamidreza Abbasi and Mansour Ahmadi Foroushani
- Computational Analysis of the Properties of Post-Keynesian Endogenous Money Systems pp. 1-25

- Stef Kuypers, Thomas Goorden and Bruno Delepierre
- Asymmetry and Leverage with News Impact Curve Perspective in Australian Stock Returns’ Volatility during COVID-19 pp. 1-15

- Najam Iqbal, Muhammad Saqib Manzoor and Muhammad Bhatti
- Equity Premium with Habits, Wealth Inequality and Background Risk pp. 1-15

- Christos Giannikos and Georgios Koimisis
- Storming the Beachhead: An Examination of Developed and Emerging Market Multinational Strategic Location Decisions in the U.S pp. 1-15

- Denise R. Dunlap and Roberto S. Santos
- Risk Disclosure and Corporate Cash Holdings pp. 1-15

- Issal Haj-Salem and Khaled Hussainey
- The Dynamics of Foreign Exchange Derivative Use in China pp. 1-18

- Yidi Sun and Bruce Morley
- A Neural Network Monte Carlo Approximation for Expected Utility Theory pp. 1-18

- Yichen Zhu and Marcos Escobar-Anel
- Evidence of Stock Market Contagion during the COVID-19 Pandemic: A Wavelet-Copula-GARCH Approach pp. 1-18

- Huthaifa Alqaralleh and Alessandra Canepa
- Bitcoin Return Volatility Forecasting: A Comparative Study between GARCH and RNN pp. 1-18

- Ze Shen, Qing Wan and David J. Leatham
- Loan Delinquency: Some Determining Factors pp. 1-7

- Fennee Chong
- Machine Learning in Finance: A Metadata-Based Systematic Review of the Literature pp. 1-31

- Thierry Warin and Aleksandar Stojkov
- A Survey on Volatility Fluctuations in the Decentralized Cryptocurrency Financial Assets pp. 1-46

- Nikolaos A. Kyriazis
- The Effect of Risk Rating Agencies Decisions on Economic Growth and Investment in a Developing Country: The Case of South Africa pp. 1-17

- Daniel Francois Meyer and Lerato Mothibi
- Forecasting Volatility and Tail Risk in Electricity Markets pp. 1-17

- Antonio Naimoli and Giuseppe Storti
- Family Business in the Digital Age: The State of the Art and the Impact of Change in the Estimate of Economic Value pp. 1-17

- Olga Ferraro and Elena Cristiano
- A Reappraisal of the Prebisch-Singer Hypothesis Using Wavelets Analysis pp. 1-17

- Hany Fahmy
- Modelling Systemically Important Banks vis-à-vis the Basel Prudential Guidelines pp. 1-20

- M. Zulkifli Salim and Kevin Daly
- How the Covid-19 Pandemic Influenced the Approach to Risk Management in Cycling Events pp. 1-20

- Filippo Bazzanella, Nunzio Muratore, Philipp Alexander Schlemmer and Elisabeth Happ
- Determinants of Financial Inclusion in Small and Medium Enterprises: Evidence from Ethiopia pp. 1-19

- Betgilu Oshora, Goshu Desalegn, Eva Gorgenyi-Hegyes, Maria Fekete-Farkas and Zoltan Zeman
- Investment Decisions with Endogeneity: A Dirichlet Tree Analysis pp. 1-19

- Mahsa Samsami and Ralf Wagner
- Revisited: Monopoly and Long-Run Capital Accumulation in Two-Sector Overlapping Generation Model pp. 1-19

- Ronald Kumar and Peter Stauvermann
- Employee Organisational Commitment and the Mediating Role of Work Locus of Control and Employee Job Satisfaction: The Perspective of SME Workers pp. 1-19

- Miston Mapuranga, Eugine Tafadzwa Maziriri, Tarisai Fritz Rukuni and Thobekani Lose
- RETRACTED: The Relationship between CEO Psychological Biases, Corporate Governance and Corporate Social Responsibility pp. 1-19

- Bassem Salhi
- Economic Education and Household Financial Outcomes during the Financial Crisis pp. 1-12

- Paul Grimes, Kevin E. Rogers and William D. Bosshardt
- Creative Accounting and the Possibility of Its Detection in the Evaluation of the Company by Expert pp. 1-12

- Eva Adámiková and Tatiana Čorejová
Volume 14, issue 6, 2021
- Spatial Fiscal Interactions in Colombian Municipalities: Evidence from Oil Price Shocks pp. 1-15

- Raju Mainali
- Financial Performance of Iranian Banks from 2013 to 2019: A Panel Data Approach pp. 1-15

- Pejman Ebrahimi, Maria Fekete-Farkas, Parisa Bouzari and Róbert Magda
- A Panel Data Analysis of Economic Growth Determinants in 34 African Countries pp. 1-15

- Larissa Batrancea, Malar Mozhi Rathnaswamy and Ioan Batrancea
- Collaborative Curriculum Design in the Context of Financial Literacy Education pp. 1-25

- Boukje Compen and Wouter Schelfhout
- Do Financial Development and Economic Openness Matter for Economic Progress in an Emerging Country? Seeking a Sustainable Development Path pp. 1-18

- Ammara Hussain, Ammar Oad, Munir Ahmad, Muhammad Irfan and Farhan Saqib
- Intellectual Capital and Knowledge Management Research towards Value Creation. From the Past to the Future pp. 1-18

- Indra Abeysekera
- The Incidence of Spillover Effects during the Unconventional Monetary Policies Era pp. 1-18

- Demetrio Lacava and Luca Scaffidi Domianello
- Evaluating the Unconventional Monetary Policy of the Bank of Japan: A DSGE Approach pp. 1-18

- Rui Wang
- A Comparison of Artificial Neural Networks and Bootstrap Aggregating Ensembles in a Modern Financial Derivative Pricing Framework pp. 1-18

- Ryno du Plooy and Pierre J. Venter
- Did Politicians Use Non-Public Macroeconomic Information in Their Stock Trades? Evidence from the STOCK Act of 2012 pp. 1-18

- Serkan Karadas, Minh Tam Tammy Schlosky and Joshua Hall
- Audit Committee Characteristics and Quality of Financial Information: The Role of the Internal Information Environment and Political Connections pp. 1-18

- Omid Mehri Namakavarani, Abbas Ali Daryaei, Davood Askarany and Saeed Askary
- The Moderating Effect of Family Business Ownership on the Relationship between Short-Selling Mechanism and Firm Value for Listed Companies in China pp. 1-20

- Wenzhen Mai and Nik Intan Norhan Binti Abdul Hamid
- Systemic Risk Modeling with Lévy Copulas pp. 1-20

- Yuhao Liu, Petar M. Djurić, Young Shin Kim, Svetlozar T. Rachev and James Glimm
- Auditor Judgements after Withdrawal of the Materiality Accounting Standard in Australia pp. 1-20

- Raul David and Indra Abeysekera
- The Impact of COVID-19 and Its Policy Responses on Local Economy and Health Conditions pp. 1-27

- Ali Gungoraydinoglu, Ilke Öztekin and Ozde Oztekin
- Information Spillover Effects of Real Estate Markets: Evidence from Ten Metropolitan Cities in China pp. 1-19

- Junjie Li, Li Zheng, Chunlu Liu and Zhifeng Shen
- Private Support for Public Disaster Aid pp. 1-19

- Thomas Husted and David Nickerson
- Examining Low-Income Single-Mother Families’ Experiences with Family Benefit Packages during and after the Great Recession in the United States pp. 1-19

- Yu-Ling Chang and Chi-Fang Wu
- An Innovative Job Evaluation Approach Using the VIKOR Algorithm pp. 1-19

- Hisham Alidrisi
- Time-Varying Nexus between Investor Sentiment and Cryptocurrency Market: New Insights from a Wavelet Coherence Framework pp. 1-19

- Hashem A. AlNemer, Besma Hkiri and Muhammed Asif Khan
- Value Maximizing Decisions in the Real Estate Market: Real Options Valuation Approach pp. 1-19

- Andrejs Čirjevskis
- Women’s Economic Empowerment in Vietnam: Performance and Constraints of Female-Led Manufacturing SMEs pp. 1-17

- MinhTam Bui and Trinh Long
- Digitization, Epistemic Proximity, and the Education System: Insights from a Bibliometric Analysis pp. 1-17

- Ugo Fiore, Adrian Florea, Claudiu Vasile Kifor and Paolo Zanetti
- Construction Cash Flow Risk Index pp. 1-17

- Hasan Mahmoud, Vian Ahmed and Salwa Beheiry
- Price Discovery and Learning during the German 5G Auction pp. 1-17

- Thomas Dimpfl and Alexander Reining
- Factors Inhibiting Effective Risk Management in Emerging Market SMEs pp. 1-12

- Oscar Chakabva, Robertson Tengeh and Job Dubihlela
- A Deep Learning Integrated Cairns-Blake-Dowd (CBD) Sytematic Mortality Risk Model pp. 1-12

- Joab Odhiambo, Patrick Weke and Philip Ngare
- A Computational Approach to Sequential Decision Optimization in Energy Storage and Trading pp. 1-22

- Paolo Falbo, Juri Hinz, Piyachat Leelasilapasart and Cristian Pelizzari
- Solvency Regulation—An Assessment of Basel III for Banks and of Planned Solvency III for Insurers pp. 1-22

- Peter Zweifel
- A New Measure of Market Inefficiency pp. 1-22

- Christopher R. Stephens, Harald A. Benink, José Luís Gordillo and Juan Pablo Pardo-Guerra
- Investigating the Causal Linkages among Inflation, Interest Rate, and Economic Growth in Pakistan under the Influence of COVID-19 Pandemic: A Wavelet Transformation Approach pp. 1-22

- Muhammad Azmat Hayat, Huma Ghulam, Maryam Batool, Muhammad Zahid Naeem, Abdullah Ejaz, Cristi Spulbar and Ramona Birau
- Book Review “Cultural Finance: A World Map of Risk, Time and Money” by Thorsten Hens, Marc Oliver Rieger, and Mei Wang. Singapore: World Scientific Publishing Co. Pte. Ltd., 2020; ISBN 9789811221958 pp. 1-5

- Anh Ngoc Quang Huynh and Toan Luu Duc Huynh
- STO vs. ICO: A Theory of Token Issues under Moral Hazard and Demand Uncertainty pp. 1-35

- Anton Miglo
- Volatility Spillovers among Developed and Developing Countries: The Global Foreign Exchange Markets pp. 1-30

- Walid Abass Mohammed
- How Much Do Negative Probabilities Matter in Option Pricing?: A Case of a Lattice-Based Approach for Stochastic Volatility Models pp. 1-32

- Chung-Li Tseng, Daniel Wei-Chung Miao, San-Lin Chung and Pai-Ta Shih
- Exploring Association between Self-Reported Financial Status and Economic Preferences Using Experimental Data pp. 1-13

- Calvin Mudzingiri, Sevias Guvuriro and Charity Gomo
- Foreign Direct Investment in GCC Countries: The Essential Influence of Governance and the Adoption of IFRS pp. 1-13

- Costas Siriopoulos, Athanasios Tsagkanos, Argyro Svingou and Evangelos Daskalopoulos
- Due Diligence and Risk Alleviation in Innovative Ventures—An Alternative Investment Model from Islamic Finance pp. 1-13

- Shahzadah Jehan
- The Relationship between Risk Perception and Risk Definition and Risk-Addressing Behaviour during the Early COVID-19 Stages pp. 1-26

- Simon Grima, Bahattin Hamarat, Ercan Özen, Alessandra Girlando and Rebecca Dalli-Gonzi
- The Effect of Bank Levy Introduction on Commercial Banks in Europe pp. 1-26

- Karolina Puławska
- Does Governance Affect Compliance with IFRS 7? pp. 1-23

- Amal Yamani, Khaled Hussainey and Khaldoon Albitar
- Expatriate Management of Emerging Market Multinational Enterprises: A Multiple Case Study Approach pp. 1-23

- Yifan Zhong, Jiuhua Cherrie Zhu and Mingqiong Mike Zhang
- Integrated Thinking and Reporting Process: Sensemaking of Internal Actors in the Case of Itaú Unibanco pp. 1-16

- Kelli Juliane Favato, Marguit Neumann, Simone Leticia Raimundini Sanches, Manuel Branco and Daniel Ramos Nogueira
- Financial Stability of European Insurance Companies during the COVID-19 Pandemic pp. 1-16

- Karolina Puławska
- Dynamics of Funding Liquidity and Risk-Taking: Evidence from Commercial Banks pp. 1-16

- Faisal Abbas, Shoaib Ali, Imran Yousaf and Wing-Keung Wong
- A Double-Hurdle Model of Healthcare Expenditures across Income Quintiles and Family Size: New Insights from a Household Survey pp. 1-21

- Ahmad Osmani and Albert Okunade
- Homeownership for All: An American Narrative pp. 1-14

- Lucy Ackert and Stefano Mazzotta
- Quantile Risk–Return Trade-Off pp. 1-14

- Nektarios Aslanidis, Charlotte Christiansen and Christos Savva
- The Odds of Profitable Market Timing pp. 1-14

- Luigi Buzzacchi and Luca Ghezzi
- Univariate and Multivariate GARCH Models Applied to Bitcoin Futures Option Pricing pp. 1-14

- Pierre J. Venter and Eben Maré
- Legal Aspects of “White-Label” Banking in the European, Polish and German Law pp. 1-11

- Michał Grabowski
Volume 14, issue 5, 2021
- A Systematic and Critical Review on the Research Landscape of Finance in Vietnam from 2008 to 2020 pp. 1-24

- Manh-Tung Ho, Ngoc-Thang B. Le, Hung-Long D. Tran, Quoc-Hung Nguyen, Manh-Ha Pham, Minh-Hoang Ly, Ho Toan, Hoang Nguyen and Quan Hoang Vuong
- Gamesmanship and Seasonality in U.S. Stock Returns pp. 1-11

- Lucy Ackert and George Athanassakos
- Effects of the 2008 Financial Crisis and COVID-19 Pandemic on the Dynamic Relationship between the Chinese and International Fossil Fuel Markets pp. 1-11

- Chaofeng Tang and Kentaka Aruga
- Predicting Gold and Silver Price Direction Using Tree-Based Classifiers pp. 1-21

- Perry Sadorsky
- The Impact of Bank Specific and Macro-Economic Factors on Non-Performing Loans in the Banking Sector: Evidence from an Emerging Economy pp. 1-14

- Shakeel Ahmed, M. Ejaz Majeed, Eleftherios Thalassinos and Yannis Thalassinos
- Financial Contagion: A Tale of Three Bubbles pp. 1-14

- Nathan Burks, Adetokunbo Fadahunsi and Ann Marie Hibbert
- Empirical Estimation of Intraday Yield Curves on the Italian Interbank Credit Market e-MID pp. 1-23

- Anastasios Demertzidis and Vahidin Jeleskovic
- Risk Management: Exploring Emerging Human Resource Issues during the COVID-19 Pandemic pp. 1-23

- Yifan Zhong, Yameng Li, Jian Ding and Yiyi Liao
- Legitimacy and Reciprocal Altruism in Donation-Based Crowdfunding: Evidence from India pp. 1-16

- Indu Khurana
- Predicting Firms’ Financial Distress: An Empirical Analysis Using the F-Score Model pp. 1-16

- Mahfuzur Rahman, Cheong Li Sa and Md. Abdul Kaium Masud
- Month-End Regularities in the Overnight Bank Funding Markets pp. 1-16

- Ahmed S. Baig and Drew B. Winters
- Debt Market Trends and Predictors of Specialization: An Analysis of Pakistani Corporate Sector pp. 1-16

- Kanwal Iqbal Khan, Faisal Qadeer, Mário Nuno Mata, Rui Miguel Dantas, João Xavier Rita and Jéssica Nunes Martins
- The Influence of Oil Prices on Equity Returns of Canadian Energy Firms pp. 1-16

- Sourav Batabyal and Robert Killins
- Data-Driven Services in Insurance: Potential Evolution and Impact in the Swiss Market pp. 1-16

- Carlo Pugnetti and Mischa Seitz
- Post-Disaster Spillovers: Evidence from Iranian Provinces pp. 1-26

- Sven Fischer
- The Heterogeneous Impact of Financialisation on Economic Growth in the Long Run pp. 1-30

- Agne Setikiene and Mindaugas Butkus
- Multiscale Stochastic Volatility Model with Heavy Tails and Leverage Effects pp. 1-28

- Zhongxian Men, Tony S. Wirjanto and Adam W. Kolkiewicz
- Firm, Industry and Macroeconomics Dynamics of Stock Returns: A Case of Pakistan Non-Financial Sector pp. 1-18

- Mirza Muhammad Naseer, Muhammad Asif Khan, József Popp and Judit Oláh
- Spillovers of the COVID-19 Pandemic: Impact on Global Economic Activity, the Stock Market, and the Energy Sector pp. 1-18

- Md. Bokhtiar Hasan, Masnun Mahi, Tapan Sarker and Md. Ruhul Amin
- Large Deviations for a Class of Multivariate Heavy-Tailed Risk Processes Used in Insurance and Finance pp. 1-18

- Miriam Hägele and Jaakko Lehtomaa
- New Dataset for Forecasting Realized Volatility: Is the Tokyo Stock Exchange Co-Location Dataset Helpful for Expansion of the Heterogeneous Autoregressive Model in the Japanese Stock Market? pp. 1-18

- Takuo Higashide, Katsuyuki Tanaka, Takuji Kinkyo and Shigeyuki Hamori
- Do Financial Professionals Process Information Better as a Group Than Non-Professionals? pp. 1-18

- Orie E. Barron, Charles R. Enis and Hong Qu
- The Effect of Industry Restructuring on Peer Firms pp. 1-25

- Alex Holcomb and Paul Mason
- Modeling of Bank Credit Risk Management Using the Cost Risk Model pp. 1-15

- Iryna Yanenkova, Yuliia Nehoda, Svetlana Drobyazko, Andrii Zavhorodnii and Lyudmyla Berezovska
- Short-Term Capital Flows, Exchange Rate Expectation and Currency Internationalization: Evidence from China pp. 1-15

- Mingming Li, Fengming Qin and Zhaoyong Zhang
- Risk Management Practices by South African Universities: An Annual Report Disclosure Analysis pp. 1-22

- Inga Sityata, Lise Botha and Job Dubihlela
- International Capital Flows and Speculation pp. 1-12

- Rob Hayward and Andros Gregoriou
- Portfolio Optimization Constrained by Performance Attribution pp. 1-12

- Yuan Hu, W. Brent Lindquist and Svetlozar T. Rachev
- How to Design Cryptocurrency Value and How to Secure Its Sustainability in the Market pp. 1-12

- Soonduck Yoo
- Firm Credit Scoring: A Series Two-Stage DEA Bootstrapped Approach pp. 1-12

- Ioannis E. Tsolas
- The Nexus between Financial Performance and Equilibrium: Empirical Evidence on Publicly Traded Companies from the Global Financial Crisis Up to the COVID-19 Pandemic pp. 1-12

- Larissa Batrancea
- Risk Spillover during the COVID-19 Global Pandemic and Portfolio Management pp. 1-29

- Mohamed Yousfi, Abderrazak Dhaoui and Houssam Bouzgarrou
- CEO–Employee Pay Gap, Productivity and Value Creation pp. 1-17

- Wojciech Przychodzen and Fernando Gómez-Bezares
- Evaluation of Market with Accommodation Facilities Considering Risk Influence—Case Study Slovakia pp. 1-17

- Adriana Csikosova, Katarina Culkova, Erik Weiss and Maria Janoskova
- Stress Testing and Systemic Risk Measures Using Elliptical Conditional Multivariate Probabilities pp. 1-17

- Tomaso Aste
- Benchmarking—A Way of Finding Risk Factors in Business Performance pp. 1-17

- Jarmila Horváthová, Martina Mokrišová and Mária Vrábliková
- Effects of R&D Investments and Market Signals on International Acquisitions: Evidence from IPO Firms pp. 1-27

- Cheng-Wei Wu and Jeffrey J. Reuer
- An Analytic Approach for Pricing American Options with Regime Switching pp. 1-20

- Leunglung Chan and Song-Ping Zhu
- Model of Assessing the Overdue Debts in a Commercial Bank Using Neuro-Fuzzy Technologies pp. 1-20

- Dmytro Kovalenko, Olga Afanasieva, Nani Zabuta, Tetiana Boiko and Rosen Rosenov Baltov
- Preference between Individual Products and Bundles: Effects of Complementary, Price, and Discount Level in Portugal pp. 1-19

- Paulo Martins, Paula Rodrigues, Carlos Martins, Teresa Barros, Nelson Duarte, Rebecca Kechen Dong, Yiyi Liao, Ubaldo Comite and Xiaoguang Yue
- Artificial Intelligence Factory, Data Risk, and VCs’ Mediation: The Case of ByteDance, an AI-Powered Startup pp. 1-19

- Peiyi Jia and Ciprian Stan
- The Application of Graphic Methods and the DEA in Predicting the Risk of Bankruptcy pp. 1-19

- Robert Štefko, Jarmila Horváthová and Martina Mokrišová
- Insuring Hollywood: A Movie Returns Index and the American Stock Market pp. 1-33

- Davide Lauria and Wyatt D. Phillips
Volume 14, issue 4, 2021
- The Impact of the COVID-19 Pandemic on Consumer and Business Confidence Indicators pp. 1-23

- Deimante Teresiene, Greta Keliuotyte-Staniuleniene, Yiyi Liao, Rasa Kanapickiene, Ruihui Pu, Siyan Hu and Xiaoguang Yue
- The Impact of Institutional Dimensions on Entrepreneurial Intentions of Students—International Evidence pp. 1-23

- Yassine Bakkar, Susanne Durst and Wolfgang Gerstlberger
- Gold against Asian Stock Markets during the COVID-19 Outbreak pp. 1-23

- Imran Yousaf, Elie Bouri, Shoaib Ali and Nehme Azoury
- Multi-Factorized Semi-Covariance of Stock Markets and Gold Price pp. 1-11

- Yun Shi, Lin Yang, Mei Huang and Jun Steed Huang
- The United States and China Financial Communication and the Notion of Risk pp. 1-14

- Changjun Zheng, Konan Richard Kouadio and Bienmali Kombate
- Levered-Beta and Cost of Capital Sensitivities: An Experimental Investigation in Capital Structure pp. 1-14

- Kudret Topyan
- Polish Culture in the Face of the COVID-19 Pandemic Crisis pp. 1-14

- Angelika Kantor and Jakub Kubiczek
- Economic Policy Uncertainty and Stock Return Momentum pp. 1-17

- Garima Goel, Saumya Ranjan Dash, Mário Nuno Mata, António Caleiro, João Xavier Rita and José António Filipe
- The Development and Adoption of Online Learning in Pre- and Post-COVID-19: Combination of Technological System Evolution Theory and Unified Theory of Acceptance and Use of Technology pp. 1-17

- Ping Qiao, Xiaoman Zhu, Yangzhi Guo, Ying Sun and Chuan Qin
- Effects of the COVID-19 Global Crisis on the Working Capital Management Policy: Evidence from Poland pp. 1-17

- Grzegorz Zimon and Hossein Tarighi
- Bayesian Analysis of Intraday Stochastic Volatility Models of High-Frequency Stock Returns with Skew Heavy-Tailed Errors pp. 1-29

- Makoto Nakakita and Teruo Nakatsuma
- The Exposure of French and South Korean Firm Stock Returns to Exchange Rates and the COVID-19 Pandemic pp. 1-29

- Willem Thorbecke
- Managers’ Investment Decisions: Incentives and Economic Consequences Arising from Leases pp. 1-33

- Tim V. Eaton, Craig Nichols, James Wahlen and Matthew Wieland
- The Role of Institutional Investors in Improving Board of Director Attributes around the World pp. 1-33

- Badar Alshabibi
- Social Media’s Impact on the Global Mergers and Acquisitions Market pp. 1-41

- Dulani Jayasuriya and Ben O’Neill
- Impact Factors on Portuguese Hotels’ Liquidity pp. 1-18

- Luís Lima Santos, Conceição Gomes, Cátia Malheiros and Ana Lucas
- Relative Stock Market Performance during the Coronavirus Pandemic: Virus vs. Policy Effects in 80 Countries pp. 1-18

- Richard Burdekin and Samuel Harrison
- On the Association between Insurance Deductibles and Prevention Behaviour: Evidence from the Swiss Health System pp. 1-15

- Christophe Courbage and Christina Nicolas
- Persistent Food Shortages in Venetian Crete: A First Hypothesis pp. 1-15

- Irene Sotiropoulou
- Portfolio Optimalization on Digital Currency Market pp. 1-15

- Jaroslav Mazanec
- Cognitive User Interface for Portfolio Optimization pp. 1-15

- Yuehuan He, Oleksandr Romanko, Alina Sienkiewicz, Robert Seidman and Roy Kwon
- Draft Methodology of the Age Management Implementation in Human Resource Management in a Transport Company pp. 1-15

- Martina Hlatká, Ondrej Stopka, Ladislav Bartuška, Mária Stopková, Daniela N. Yordanova, Patrik Gross and Petr Sádlo
- State-of-the-Art Analysis of Intrapreneurship: A Review of the Theoretical Construct and Its Bibliometrics pp. 1-16

- Esthela Galván-Vela, Eduardo Arango Herrera, Deisy Milena Sorzano Rodríguez and Rafael Ravina-Ripoll
- Management of the Company’s Innovation Development: The Case for Polish Enterprises pp. 1-16

- Marek Dziura and Tomasz Rojek
- Exploring the Link of Real Options Theory with Dynamic Capabilities Framework in Open Innovation-Type Merger and Acquisition Deals pp. 1-16

- Andrejs Čirjevskis
- Sectoral Performance and the Government Interventions during COVID-19 Pandemic: Australian Evidence pp. 1-16

- Nhan Huynh, Dat Nguyen and Anh Dao
- Innovative Work Behavior—A Key Factor in Business Performance? The Role of Team Cognitive Diversity and Teamwork Climate in This Relationship pp. 1-16

- Nadežda Jankelová, Zuzana Joniaková and Juraj Mišún
- Bank Capital Buffer and Economic Growth: New Insights from the US Banking Sector pp. 1-13

- Faisal Abbas, Imran Yousaf, Shoaib Ali and Wing-Keung Wong
- Sustaining Economic Growth in Sub-Saharan Africa: Do FDI Inflows and External Debt Count? pp. 1-13

- Udi Joshua, David Babatunde and Samuel Asumadu Sarkodie
- Impact of Capital Structure on Corporate Value—Review of Literature pp. 1-13

- Sylwia Kruk
- Determinants of Corporate Environment, Social and Governance (ESG) Reporting among Asian Firms pp. 1-13

- Rashidah Abdul Rahman and Maha Faisal Alsayegh
- The Standard Model of Rational Risky Decision-Making pp. 1-24

- Kazem Falahati
- Impact of Audit Committee Quality on the Financial Performance of Conventional and Islamic Banks pp. 1-24

- Achraf Haddad, Anis El Ammari and Abdelfattah Bouri
- A Sustainable Economic Recycle Quantity Model for Imperfect Production System with Shortages pp. 1-21

- Ali AlArjani, Md. Maniruzzaman Miah, Md. Sharif Uddin, Abu Hashan Md. Mashud, Hui-Ming Wee, Shib Sankar Sana and Hari Mohan Srivastava
- A Structural Equation Modelling Evaluation of Antecedents and Interconnections of Call Centre Agents’ Intention to Quit pp. 1-21

- Chux Gervase Iwu, Abdullah Promise Opute, Olayemi Abdullateef Aliyu, Chukuakadibia Eresia-Eke, Tichaona Buzy Musikavanhu and Afeez Olalekan Jaiyeola
- EU Country and EFTA Country Export Differences pp. 1-8

- Guðmundur Kristján Óskarsson and Helga Kristjánsdóttir
- To What Extent Retail Chains’ Relationships with Suppliers Make the Business Trustworthy—An Empirical Study on Fast Fashion in Pandemic Times pp. 1-20

- Anna Dewalska-Opitek and Katarzyna Bilińska-Reformat
- Structural Failures Risk Analysis as a Tool Supporting Corporate Responsibility pp. 1-20

- Agnieszka Czajkowska and Manuela Ingaldi
- Comparing CEO Compensation Effects of Public and Private Acquisitions pp. 1-19

- James Brander, Edward J. Egan and Sophie Endl
- The Australian Stock Market’s Reaction to the First Wave of the COVID-19 Pandemic and Black Summer Bushfires: A Sectoral Analysis pp. 1-19

- Samet Gunay, Walid Bakry and Somar Al-Mohamad
- Changes in Human Mobility under the COVID-19 Pandemic and the Tokyo Fuel Market pp. 1-12

- Kentaka Aruga
- The Impact of Brand Equity on Employee’s Opportunistic Behavior: A Case Study on Enterprises in Vietnam pp. 1-12

- Quang Bach Tran, Quoc Hoi Le, Hoai Nam Nguyen, Dieu Linh Tran, Thi Thuy Quynh Nguyen and Thi Thanh Thuy Tran
- Risk and Financial Cost Management of Injection Wells in Mature Oil Fields pp. 1-7

- Josip Ivšinović and Vjekoslav Pleteš
- Fantastic Beasts: Blockchain Based Banking pp. 1-43

- Dulani Jayasuriya Daluwathumullagamage and Alexandra Sims
- Modeling Market Order Arrivals on the German Intraday Electricity Market with the Hawkes Process pp. 1-31

- Nikolaus Graf von Luckner and Rüdiger Kiesel
- Modelling Stock Returns and Risk Management in the Shipping Industry pp. 1-25

- Sunil K. Mohanty, Roar Aadland, Sjur Westgaard, Stein Frydenberg, Hilde Lillienskiold and Cecilie Kristensen
- Analysis and Forecasting of Risk in Count Processes pp. 1-25

- Annika Homburg, Christian H. Weiß, Gabriel Frahm, Layth C. Alwan and Rainer Göb
Volume 14, issue 3, 2021
- Household Wealth: Low-Yielding and Poorly Structured? pp. 1-40

- Marc Peter Radke and Manuel Rupprecht
- Has the Propensity to Pay Dividends Declined? Evidence from the US Banking Sector pp. 1-14

- Shaojie Lai, Qing Wang, Jiangze Du and Shuwen Pi
- Machine Learning in Futures Markets pp. 1-14

- Fabian Waldow, Matthias Schnaubelt, Christopher Krauss and Thomas Günter Fischer
- Potato Importance for Development Focusing on Prices pp. 1-14

- Olli Salmensuu
- Choosing Factors for the Vietnamese Stock Market pp. 1-23

- Nina Ryan, Xinfeng Ruan, Jin E. Zhang and Jing A. Zhang
- The Labour Market Effects of International Trade in the Presence of Vertical Product Differentiation: Some Methodological Remarks in Retrospect pp. 1-26

- Giuseppe Celi
- How Can Enterprise Risk Management Help in Evaluating the Operational Risks for a Telecommunications Company? pp. 1-26

- José Ruiz-Canela López
- Cash Flows Discounted Using a Model-Free SDF Extracted under a Yield Curve Prior pp. 1-15

- A. Ronald Gallant and George Tauchen
- Foreign Direct Investment and World Pandemic Uncertainty Index: Do Health Pandemics Matter? pp. 1-15

- Linh Tu Ho and Christopher Gan
- Plato as a Game Theorist towards an International Trade Policy pp. 1-15

- George Halkos, Nicholas C. Kyriazis and Emmanouil-Marios-Lazaros Economou
- Do IFRS Promote Transparency? Evidence from the Bankruptcy Prediction of Privately Held Swedish and Norwegian Companies pp. 1-15

- Akarsh Kainth and Ranik Raaen Wahlstrøm
- Estimating the Growth Effects of 2004 Eastern Enlargement of the European Union pp. 1-15

- Andrzej Cieślik and Mehmet Burak Turgut
- Dynamic Responses of Standard and Poor’s Regional Bank Index to the U.S. Fear Index, VIX pp. 1-18

- Bahram Adrangi, Arjun Chatrath, Madhuparna Kolay and Kambiz Raffiee
- Towards Full-Fledged Inflation Targeting Monetary Policy Regime in Mauritius pp. 1-18

- Ashwin Madhou, Tayushma Sewak, Imad Moosa, Vikash Ramiah and Florian Gerth
- Causal Links between Trade Openness and Foreign Direct Investment in Romania pp. 1-18

- Malsha Mayoshi Rathnayaka Mudiyanselage, Gheorghe Epuran and Bianca Tescașiu
- The Compounding Effect of Investors’ Cognition and Risk Absorption Potential on Enhancing the Level of Interest towards Investment in the Domestic Capital Market pp. 1-18

- Yadav Devi Prasad Behera, Sudhansu Sekhar Nanda, Saroj Kumar Sahoo and Tushar Ranjan Sahoo
- Divergence Tendencies in the European Integration Process: A Danger for the Sustainability of the E(M)U? pp. 1-22

- Linda Glawe and Helmut Wagner
- A Holistic Perspective on Bank Performance Using Regulation, Profitability, and Risk-Taking with a View on Ownership Concentration pp. 1-22

- Shailesh Rastogi, Rajani Gupte and R. Meenakshi
- Empowering Financial Education by Banks—Social Media as a Modern Channel pp. 1-22

- Iwa Kuchciak and Justyna Wiktorowicz
- Well-Being Impact on Banking Systems pp. 1-22

- Iulia Iuga and Larisa-Loredana Dragolea
- Globalization and the Outbreak of COVID-19: An Empirical Analysis pp. 1-10

- Mohammad Reza Farzanegan, Mehdi Feizi and Hassan Gholipour Fereidouni
- Housing Market in the Time of Pandemic: A Price Gradient Analysis from the COVID-19 Epicentre in China pp. 1-17

- Ka Shing Cheung, Chung Yim Yiu and Chuyi Xiong
- Financing Growth through Remittances and Foreign Direct Investment: Evidences from Balkan Countries pp. 1-17

- Esmeralda Jushi, Eglantina Hysa, Arjona Cela, Mirela Panait and Marian Catalin Voica
- Digital Transformation of Public-Private Partnership Tools pp. 1-17

- Lyudmila Tolstolesova, Igor Glukhikh, Natalya Yumanova and Otabek Arzikulov
- Credit Risk Model Based on Central Bank Credit Registry Data pp. 1-17

- Fisnik Doko, Slobodan Kalajdziski and Igor Mishkovski
- Engineering Procurement Construction in the Context of Belt and Road Infrastructure Projects in West Asia: A SWOT Analysis pp. 1-17

- Mohammad Ajmal Nikjow, Li Liang, Xijing Qi and Samad Sepasgozar
- Spillovers of Stock Markets among the BRICS: New Evidence in Time and Frequency Domains before the Outbreak of COVID-19 Pandemic pp. 1-37

- Kai Shi
- The Regime-Switching Behaviour of Exchange Rates and Frontier Stock Market Prices in Sub-Saharan Africa pp. 1-30

- Maud Korley and Evangelos Giouvris
- The Impact of Israeli and Saudi Arabian Geopolitical Risks on the Lebanese Financial Market pp. 1-24

- Layal Mansour-Ichrakieh
- Machine Learning and Financial Literacy: An Exploration of Factors Influencing Financial Knowledge in Italy pp. 1-21

- Susanna Levantesi and Giulia Zacchia
- Financial Sustainability of Cultural Heritage: A Review of Crowdfunding in Europe pp. 1-16

- Daniela Angelina Jelinčić and Marta Šveb
- An Optimal Compensation Agency Model for Sustainability under the Risk Aversion Utility Perspective pp. 1-16

- Tyrone Lin and Tsai-Ling Liu
- The Relationship between Governance Quality and the Cost of Equity Capital in Italian Listed Firms: An Update pp. 1-16

- Francesca Bertoncelli, Paola Fandella and Emiliano Sironi
- IPO’s Long-Run Performance: Hot Market versus Earnings Management pp. 1-16

- Tsai-Yin Lin, Jerry Yu and Chia-Yi Lin
- Environmental Kuznets Curve Hypothesis on CO 2 Emissions: Evidence for China pp. 1-16

- Jihuan Zhang
- Does Risk Disclosure Matter for Trade Credit? pp. 1-13

- Issal Haj-Salem and Khaled Hussainey
- On the Moderating Effects of Country Governance on the Relationships between Corporate Governance and Firm Performance pp. 1-13

- Chiu-Hui Wu
- Financial Crises, Macroeconomic Variables, and Long-Run Risk: An Econometric Analysis of Stock Returns Correlations (2000 to 2019) pp. 1-25

- Marco Tronzano
- Crisis and the Role of Money in the Real and Financial Economies—An Innovative Approach to Monetary Stimulus pp. 1-28

- Richard Simmons, Paolo Dini, Nigel Culkin and Giuseppe Littera
- Recent Developments in Cryptocurrency Markets: Co-Movements, Spillovers and Forecasting pp. 1-3

- Thanasis Stengos
- Role of International Trade Competitive Advantage and Corporate Governance Quality in Predicting Equity Returns: Static and Conditional Model Proposals for an Emerging Market pp. 1-31

- Erol Muzir, Cevdet Kizil and Burak Ceylan
- Towards a New Form of Undemocratic Capitalism: Introducing Macro-Equity to Finance Development Post COVID-19 Crisis pp. 1-7

- Arvind Ashta
- Determinants of Differentiation of Cost of Risk (CoR) among Polish Banks during COVID-19 Pandemic pp. 1-12

- Zbigniew Korzeb and Paweł Niedziółka
- Do Investors Value Environmental Corporate Policies? Evidence from the Australian Market pp. 1-12

- Mohinesh Chandra and Alireza Tourani-Rad
- Quanto Pricing beyond Black–Scholes pp. 1-27

- Holger Fink and Stefan Mittnik
- Risk Management Practices and Firm Performance with a Mediating Role of Business Model Innovation. Observations from Jordan pp. 1-20

- Munther Al-Nimer, Sinan S. Abbadi, Ahmad Al-Omush and Habib Ahmad
- Performance Management for Growth: A Framework Based on EVA pp. 1-19

- Mihaela Tudose, Valentina Rusu and Silvia Avasilcai
- Pricing Perpetual American Put Options with Asset-Dependent Discounting pp. 1-19

- Jonas Al-Hadad and Zbigniew Palmowski
- Impact of Financial Support on Textile Enterprises’ Development pp. 1-19

- Kateryna Boichenko, Mário Nuno Mata, Pedro Neves Mata and Jéssica Nunes Martins
- Maximum Entropy Evaluation of Asymptotic Hedging Error under a Generalised Jump-Diffusion Model pp. 1-19

- Farzad Alavi Fard, Firmin Doko Tchatoka and Sivagowry Sriananthakumar
- Why Do Countries Request Assistance from International Monetary Fund? An Empirical Analysis pp. 1-19

- Ifrah Siddique, Muhammad Azmat Hayat, Muhammad Zahid Naeem, Abdullah Ejaz, Cristi Spulbar, Ramona Birau and Toni Calugaru
Volume 14, issue 2, 2021
- Direct and Indirect Effects of Investment Incentives in Slovakia pp. 1-12

- Aneta Bobenič Hintošová, František Sudzina and Terézia Barlašová
- An Artificial Intelligence Approach to the Valuation of American-Style Derivatives: A Use of Particle Swarm Optimization pp. 1-22

- Ren-Raw Chen, Jeffrey Huang, William Huang and Robert Yu
- Sustainability in the European Union: Analyzing the Discourse of the European Green Deal pp. 1-22

- Eva Eckert and Oleksandra Kovalevska
- Use of Derivative and Firm Performance: Evidence from the Chinese Shenzhen Stock Exchange pp. 1-22

- Yantao Wen, Yuanfei Kang, Yafeng Qin and Jeffrey C. Kennedy
- Application of the 4Es in Online Crowdfunding Platforms: A Comparative Perspective of Germany and China pp. 1-19

- Peter Konhäusner, Bing Shang and Dan Cristian Dabija
- Transformational Approach to Analytical Value-at-Risk for near Normal Distributions pp. 1-19

- Puneet Prakash, Vikas Sangwan and Kewal Singh
- Movie Title Keywords: A Text Mining and Exploratory Factor Analysis of Popular Movies in the United States and China pp. 1-19

- Xingyao Xiao, Yihong Cheng and Jong-Min Kim
- E.U. and China Trends in Trade in Challenging Times pp. 1-19

- Irena Jindrichovska and Erginbay Ugurlu
- Time-Consistent Investment and Consumption Strategies under a General Discount Function pp. 1-27

- Ishak Alia, Farid Chighoub, Nabil Khelfallah and Josep Vives
- A Random Forests Approach to Predicting Clean Energy Stock Prices pp. 1-20

- Perry Sadorsky
- Investor Intention in Equity Crowdfunding. Does Trust Matter? pp. 1-20

- Mohammed Alharbey and Stefan Van Hemmen
- ESG Disclosures and Stock Price Crash Risk pp. 1-20

- Rio Murata and Shigeyuki Hamori
- Dynamic Effects of Material Production and Environmental Sustainability on Economic Vitality Indicators: A Panel VAR Approach pp. 1-20

- João Leitão and Joaquim Ferreira
- The Interplay between Board Characteristics, Financial Performance, and Risk Management Disclosure in the Financial Services Sector: New Empirical Evidence from Europe pp. 1-20

- Gratiela Georgiana Noja, El Thalassinos, Mirela Cristea and Irina Maria Grecu
- Do Political Economy Factors Influence Funding Allocations for Disaster Risk Reduction? pp. 1-20

- Shafiqul Islam, Khondker Mohammad Zobair, Cordia Chu, James C. R. Smart and Md Samsul Alam
- Know Your Clients’ Behaviours: A Cluster Analysis of Financial Transactions pp. 1-29

- John Thompson, Longlong Feng, R. Mark Reesor and Chuck Grace
- Small and Medium-Sized Enterprises, Business Demography and European Socio-Economic Model: Does the Paradigm Really Converge? pp. 1-29

- Jean Vasile Andrei, Luminita Chivu, Ileana Georgiana Gheorghe, Aleksandar Grubor, Teodor Sedlarski, Violeta Sima, Jonel Subić and Mile Vasic
- Inconsistent Definitions of Money and Currency in Financial Legislation as a Threat to Innovation and Sustainability pp. 1-17

- Leander Bindewald
- Banks’ Foreign Claims in the Aftermath of the 2008 Crisis: Institutional Response, Financial Efficiency, and Integration of Cross-Border Banking in the Euro Area pp. 1-17

- Thierry Warin and Aleksandar Stojkov
- Natural Resources Volatility and Economic Growth: Evidence from the Resource-Rich Region pp. 1-17

- Arshad Hayat and Muhammad Tahir
- Examining the Impact of Financial Development on Energy Production in Emerging Economies pp. 1-17

- Neil Wilmot and Ariuna Taivan
- Acknowledgment to Reviewers of Journal of Risk and Financial Management in 2020 pp. 1-10

- Editorial Office Jrfm
- The Impact of Innovation and Information Technology on Greenhouse Gas Emissions: A Case of the Visegrád Countries pp. 1-10

- Radosław Miśkiewicz
- Diversification Can Control Probability of Default or Risk, but Not Both pp. 1-10

- Pedro Cadenas and Henryk Gzyl
- Methodological Tools for Investment Risk Assessment for the Companies of Real Economy Sector pp. 1-10

- Tetiana Zholonko, Olesia Grebinchuk, Maryna Bielikova, Yurii Kulynych and Olena Oviechkina
- How Does COVID-19 Affect House Prices? A Cross-City Analysis pp. 1-15

- Bingbing Wang
- Trade and Infrastructure in the Belt and Road Initiative: A Gravity Analysis Based on Revealed Trade Preferences pp. 1-15

- Cristina Di Stefano, P. Lelio Iapadre and Ilaria Salvati
- Observation Time Effects in Reinforcement Learning on Contracts for Difference pp. 1-15

- Maximilian Wehrmann, Nico Zengeler and Uwe Handmann
- Exploring Risks in the Adoption of Business Intelligence in SMEs Using the TOE Framework pp. 1-18

- Ana-Marija Stjepić, Mirjana Pejić Bach and Vesna Bosilj Vukšić
- Sample Path Generation of the Stochastic Volatility CGMY Process and Its Application to Path-Dependent Option Pricing pp. 1-18

- Young Shin Kim
- The Evolution of Arrears among US Households 1995–2013 pp. 1-40

- Charles Grant
- Evaluation of the Accuracy of Machine Learning Predictions of the Czech Republic’s Exports to the China pp. 1-30

- Petr Suler, Zuzana Rowland and Tomas Krulicky
- Does the Design of Stablecoins Impact Their Volatility? pp. 1-14

- Klaudia Jarno and Hanna Kołodziejczyk
- Modeling Study on Risk Identification in the Process of Anti-Crisis Enterprise Management pp. 1-14

- Grygoriy Shamborovskyi, Yuliia Nehoda, Nataliya Demidova, Volodymyr Tarashchenko and Svitlana Breus
- Valuing Dynamic Capabilities-Based Synergies with Real Options pp. 1-14

- Andrejs Čirjevskis
- ESG Reporting and Analysts’ Recommendations in GCC: The Moderation Role of Royal Family Directors pp. 1-21

- Abdulsamad Alazzani, Wan Nordin Wan-Hussin, Michael Jones and Ahmed Al-hadi
- Troubles with the Chf Loans in Croatia: The Story of a Case Still Waiting to Be Closed pp. 1-21

- Ana Kundid Novokmet
- Crowdsourcing in Sustainable Retail—A Theoretical Framework of Success Criteria pp. 1-21

- Peter Konhäusner
- Lost in Missions? Employees as a Top Strategic Priority of the World’s Biggest Banks pp. 1-11

- Dmitry A. Ruban and Natalia N. Yashalova
- Tax Progressivity of Personal Wages and Income Inequality pp. 1-11

- Nikolaos Papanikolaou
- Granger Causal Nexus between Good Public Governance and Unemployment: Evidence from Cross-Country Panel Data Investigation pp. 1-11

- Cristina Boţa-Avram, Adrian Grosanu, Paula-Ramona Răchişan and Sorin Romulus Berinde
- Optimization of Inventory Holding Cost Due to Price, Weight, and Volume of Items pp. 1-11

- Amulya Gurtu
- What Has Driven the U.S. Monthly Oil Production Since 2009? Empirical Results from Two Modeling Approaches pp. 1-11

- Ramaprasad Bhar, Anastasios Malliaris and Mary Malliaris
- Idiosyncratic Viral Loss Theory: Systemic Operational Losses in Banks pp. 1-13

- Sophia Beckett Velez
- The Relationship between Yield Curve and Economic Activity: An Analysis of G7 Countries pp. 1-23

- Ronald Kumar, Peter Stauvermann and Hang Thi Thu Vu
- Fine Art Insurance Policies and Risk Perceptions: The Case of Malta pp. 1-16

- Luke Pavia, Simon Grima, Inna Romanova and Jonathan V. Spiteri
- Does the Croatian Stock Market Have Seasonal Affective Disorder? pp. 1-16

- Tihana Škrinjarić, Branka Marasović and Boško Šego
- Corporate Finance pp. 1-5

- Ştefan Gherghina
Volume 14, issue 1, 2021
- Multi-Period Portfolio Optimization with Investor Views under Regime Switching pp. 1-31

- Razvan Oprisor and Roy Kwon
- A Review of the Regulatory Impact Analysis of Risk-Based Capital and Related Liquidity Rules pp. 1-29

- Thomas Hogan
- Money Decentralization under Direct Democracy Procedures. The Case of Classical Athens pp. 1-17

- Emmanouil-Marios-Lazaros Economou, Nicholas C. Kyriazis and Nikolaos A. Kyriazis
- The Influence of Female Directors and Institutional Pressures on Corporate Social Responsibility in Family Firms in Latin America pp. 1-20

- Isabel-María García-Sánchez, Lázaro Rodríguez-Ariza and María-del-Carmen Granada-Abarzuza
- Trade Policy Uncertainty Effects on Macro Economy and Financial Markets: An Integrated Survey and Empirical Investigation pp. 1-20

- Nikolaos A. Kyriazis
- Executive Compensation and Firm Performance in New Zealand: The Role of Employee Stock Option Plans pp. 1-19

- David Ding and Ya Eem Chea
- The Concept of Sustainable Rural Tourism Development in the Face of COVID-19 Crisis: Evidence from Russia pp. 1-19

- Anna Polukhina, Marina Sheresheva, Marina Efremova, Oxana Suranova, Oksana Agalakova and Anton Antonov-Ovseenko
- Catholic Social Thought and Sustainability. Ethical and Economic Alignment pp. 1-22

- Ana María Gómez-Bezares and Fernando Gómez-Bezares
- Sustainable Investments in Responsible SMEs: That’s What’s Distinguish Government VCs from Private VCs pp. 1-22

- Jeaneth Johansson, Malin Malmström and Joakim Wincent
- Economic Calculus Qua an Instrument to Support Sustainable Development under Increasing Risk pp. 1-12

- Grzegorz Drozdowski
- A Contract Theory Approach to Islamic Financial Securities with an Application to Diminishing Mush?rakah pp. 1-12

- Lukman Hanif Arbi
- European FDI in Ireland and Iceland: Before and after the Financial Crisis pp. 1-12

- Helga Kristjánsdóttir and Stefanía Óskarsdóttir
- First to React Is the Last to Forgive: Evidence from the Stock Market Impact of COVID 19 pp. 1-25

- Sherif Hassan and John Riveros Gavilanes
- Do the Determinants of Non-Performing Loans Have a Different Effect over Time? A Conditional Correlation Approach pp. 1-15

- Mariagrazia Fallanca, Antonio Fabio Forgione and Edoardo Otranto
- Intellectual Capital and Bank Risk in Vietnam—A Quantile Regression Approach pp. 1-15

- Dat T. Nguyen, Tu D. Q. Le and Tin H. Ho
- Entrepreneurial Finance: Research, Practice, and Policy for Post-Covid-19 Economic Recovery pp. 1-4

- Siri Terjesen
- COVID-19 Outbreak and CO 2 Emissions: Macro-Financial Linkages pp. 1-18

- Julien Chevallier
- The Event of Croatia’s EU Accession and Membership from the Croatian High School Students’ Perspective pp. 1-18

- Anamarija Pisarović, Sanja Tišma, Krševan Antun Dujmović and Mira Mileusnić Škrtić
- CEO Duality: Newspapers and Stock Market Reactions pp. 1-18

- Marco Caiffa, Vincenzo Farina and Lucrezia Fattobene
- Factors Influencing the Extent of the Ethical Codes: Evidence from Slovakia pp. 1-18

- Jana Kozáková, Mária Urbánová and Radovan Savov
- How Integrated are Regional Green Equity Markets? Evidence from a Cross-Quantilogram Approach pp. 1-58

- Linh Pham
- The Impact of the Introduction of Uniform European Collective Action Clauses on European Government Bonds as a Regulatory Result of the European Sovereign Debt Crisis pp. 1-32

- Nicoletta Layher and Eyden Samunderu
- Financing Responsible Small- and Medium-Sized Enterprises: An International Overview of Policies and Support Programmes pp. 1-23

- Susanne Durst and Wolfgang Gerstlberger
- A Gap in Brain Gain for Emerging Countries: Evidence of International Immigration on Non-Resident Patents pp. 1-23

- Bolortuya Enkhtaivan, Jorge Brusa and Zagdbazar Davaadorj
- Infrastructural and Social Aspects of ICT Dissemination in Rural Areas in Ukraine in Juxtaposition with Other Post-Transition Countries—State of Play and Prospects for Rural Development pp. 1-23

- Aleksandra Synowiec
- Different Measures of Country Risk: An Application to European Countries pp. 1-16

- Guido Bonatti, Andrea Ciacci and Enrico Ivaldi
- Minimum Wage Changes across Provinces in China: Average Treatment Effects on Employment and Investment Decisions pp. 1-16

- Ji Luo and Daniel Henderson
- Governance Vis-à-Vis Investment Efficiency: Substitutes or Complementary in Their Effects on Disclosure Practice pp. 1-16

- Noha Elberry and Khaled Hussainey
- Sanctions as a Catalyst for Russia’s and China’s Balance of Trade: Business Opportunity pp. 1-26

- Jakub Horak
- Risk Perception, Accounting, and Resilience in Public Sector Organizations: A Case Study Analysis pp. 1-13

- Mouhcine Tallaki and Enrico Bracci
- Civic Crowdfunding in Local Governments: Variables for Success in the Netherlands? pp. 1-13

- Kees Van Montfort, Vinitha Siebers and Frank Jan De Graaf
- Investigating the Dynamic Interlinkages between Exchange Rates and the NSE NIFTY Index pp. 1-13

- Vijay Victor, Dibin K K, Meenu Bhaskar and Farheen Naz
- Market Graph Clustering via QUBO and Digital Annealing pp. 1-13

- Seo Woo Hong, Pierre Miasnikof, Roy Kwon and Yuri Lawryshyn
- Reforms Protecting Minority Shareholders and Firm Performance: International Evidence pp. 1-24

- Corina Burunciuc and Halit Gonenc
- Improving MACD Technical Analysis by Optimizing Parameters and Modifying Trading Rules: Evidence from the Japanese Nikkei 225 Futures Market pp. 1-21

- Byung-Kook Kang
- Fiscal Transparency and Public Service Quality Association: Evidence from 12 Coastal Provinces and Cities of China pp. 1-14

- Qiuxia Yang
- Bankruptcy Prediction Models Based on Value Measures pp. 1-14

- Andrzej Jaki and Wojciech Ćwięk
- The Impact of Working Capital Management on Firm Profitability: Empirical Evidence from the Polish Listed Firms pp. 1-14

- Sorin Anton and Anca Elena Afloarei Nucu
- Italexit and the Impact of Immigrants from Italy on the Italian Labor Market pp. 1-14

- Mihaela Simionescu
- Reference Prices and Turnover: Evidence from Small-Capitalization Stocks pp. 1-14

- Ashish Pandey
- Tourism Well-Being and Transitioning Island Destinations for Sustainable Development pp. 1-14

- Jerome Agrusa, Cathrine Linnes, Joseph Lema, Jihye (Ellie) Min, Tony Henthorne, Holly Itoga and Harold Lee
| |