Content
December 2024, Volume 17, Issue 12
- 1-12 Sustainability, Risk Management, and Innovation: Enhancing Performance in Indonesian Social Enterprises
by Azhar Maksum & Munawarah & Yuni Lestari Br Sitepu & Fauziah Kumalasari - 1-13 Dynamics of Dividend Payout in Korean Corporations: A Comprehensive Panel Analysis Across Economic Cycles
by SungSup Brian Choi & Kudzai Sauka - 1-14 Incorporating Artificial Intelligence into Finance: A Bibliometric Analysis
by Antonio Carlos Alcázar-Blanco & José Francisco Rangel-Preciado & Fiama Portillo-Santos - 1-15 Assessment of Factors Affecting Tax Revenues: The Case of the Simplified Taxation System in the Russian Federation
by Kristina Alekseyevna Zakharova & Danil Anatolyevich Muravyev & Egine Araratovna Karagulian & Natalia Alekseyevna Baburina & Ekaterina Vladimirovna Degtyaryova - 1-16 The Impact of Shipping Connectivity on Environmental Quality, Financial Development, and Economic Growth in Regional Comprehensive Economic Partnership Countries
by Xhelil Bekteshi & Sevdie Alshiqi & Bartosz Jóźwik & Fatma Gul Altin & Mesut Dogan & Tatyana Petrossyants - 1-18 A Non-Linear Approach to Current Account Sustainability—The Cases of Germany, China, and the USA
by Thanos Poulakis & Dimitrios Kyrkilis - 1-19 The Application of Machine Learning Techniques to Predict Stock Market Crises in Africa
by Muhammad Naeem & Hothefa Shaker Jassim & David Korsah - 1-19 Reinforcement Learning Pair Trading: A Dynamic Scaling Approach
by Hongshen Yang & Avinash Malik - 1-19 Does Profitability Moderate the Relationship Between the Leverage and Dividend Policy of Manufacturing Firms in Nigeria and South Africa?
by Ovbe Simon Akpadaka & Musa Adeiza Farouk & Dagwom Yohanna Dang & Musa Inuwa Fodio - 1-20 Evaluating Financial Inclusion in Peru: A Cluster Analysis Using Self-Organizing Maps
by Alvaro Talavera & Rocío Maehara & Luis Benites & Benjamin Arriaga & Alejandro Aybar-Flores - 1-20 The Predictive Grey Forecasting Approach for Measuring Tax Collection
by Pitresh Kaushik & Mohsen Brahmi & Shubham Kakran & Pooja Kansra - 1-22 Forecasting Forex Market Volatility Using Deep Learning Models and Complexity Measures
by Pavlos I. Zitis & Stelios M. Potirakis & Alex Alexandridis - 1-23 Bachelier’s Market Model for ESG Asset Pricing
by Svetlozar Rachev & Nancy Asare Nyarko & Blessing Omotade & Peter Yegon - 1-25 Managerial Social Capital and Dividends: Evidence from the UK
by Omar Al-Bataineh & Abdullah Iqbal & Timothy King - 1-29 Large Drawdowns and Long-Term Asset Management
by Eric Jondeau & Alexandre Pauli - 1-31 Conceptualizing an Institutional Framework to Mitigate Crypto-Assets’ Operational Risk
by Deepankar Roy & Ashutosh Dubey & Daitri Tiwary - 1-33 Risk-Averse, Integrated Contract, and Open Market Procurement with Quantity Adjustment Costs
by Santosh Mahapatra & Santosh Kar & Shlomo Levental
November 2024, Volume 17, Issue 12
- 1-13 Leveraging Corporate Assets and Talent to Attract Investors in Japan: A Country with an Innovation System Centered on Large Companies
by Ryo Okuyama - 1-15 From Traditional-Ritual Activities to Financial Report: Integrating Local Wisdom in Bantengan Financial Bookkeeping
by Ana Sopanah & Adya Hermawati & Syamsul Bahri & Imanita Septian Rusdianti - 1-15 The Impact of CEO Characteristics on Investment Efficiency in Jordan: The Moderating Role of Political Connections
by Loona Shaheen & Zakarya Alatyat & Qasem Aldabbas & Ruba Nimer Abu Shihab & Murad Abuaddous - 1-16 The Impact of Rebalancing Strategies on ETF Portfolio Performance
by Attila Bányai & Tibor Tatay & Gergő Thalmeiner & László Pataki - 1-18 Evaluation of the Resilience of Real Estate and Property Stocks to Inflation and Interest Rate Uncertainty: Implementation of Two Asset Pricing Models
by Nurdina Nurdina & Nurkholis Nurkholis & Noval Adib & Sari Atmini - 1-19 Do Long-Term Institutional Shareholders Always Vote in Favour of Board Recommendations? The Moderating Effect of Cash Holdings
by Abdulaziz A. Alomran - 1-19 Evaluating the Impact of Geopolitical Risk on the Financial Distress of Indian Hospitality Firms
by Vandana Gupta - 1-19 Researching the Impact of Corporate Social Responsibility on Economic Growth and Inequality: Methodological Aspects
by Mihail Chipriyanov & Galina Chipriyanova & Radosveta Krasteva-Hristova & Atanas Atanasov & Kiril Luchkov - 1-20 The Relationship Between Sociodemographic Attributes and Financial Well-Being of Low-Income Urban Families Amid the COVID-19 Pandemic: A Case Study of Malaysia
by Abdullah Sallehhuddin Abdullah Salim & Norzarina Md Yatim & Al Mansor Abu Said - 1-21 Fin-ALICE: Artificial Linguistic Intelligence Causal Econometrics
by Shawn McCarthy & Gita Alaghband - 1-21 The Determinants and Growth Effects of Foreign Direct Investment: A Comparative Study
by Sheng-Ping Yang - 1-21 Trends in the Literature About the Adoption of Digital Banking in Emerging Economies: A Bibliometric Analysis
by Julio César Acosta-Prado & Joan Sebastián Rojas Rincón & Andrés Mauricio Mejía Martínez & Andrés Ricardo Riveros Tarazona - 1-22 Determinants of Sustainable Entrepreneurship in Morocco: The Role of Entrepreneurial Orientation, Financial Literacy, and Inclusion
by Ikram Zouitini & Hamza El Hafdaoui & Hajar Chetioui & Pierre-Martin Tardif & Mohamed Makhtari - 1-23 Accounting Outsourcing in Tourism SMEs and Financial Risk Mitigation
by Ioulia Poulaki & Anna Kyriakaki & Eleni Mavragani - 1-24 Compliance Behavior in Environmental Tax Policy
by Suci Lestari Hakam & Agus Rahayu & Lili Adi Wibowo & Lazuardi Imani Hakam & Muhamad Adhi Nugroho & Siti Sarah Fuadi - 1-27 Inflation Targeting with an Optimal Nonlinear Monetary Rule—The Case Study of Colombia
by Martha Misas & Edgar Villa & Andres Giraldo - 1-28 Unlocking the Path to Sustainability: A Hierarchical Model for Understanding Corporate Barriers to ESG Reporting Adoption
by Paridhi & Ritika & Hitesh Arora & Padmasai Arora & Neha Saini - 1-28 Impact of International Oil Price Shocks and Inflation on Bank Efficiency and Financial Stability: Evidence from Saudi Arabian Banking Sector
by Fathi Mohamed Bouzidi & Aida Arbi Nefzi & Mohammed Al Yousif - 1-29 Fitting the Seven-Parameter Generalized Tempered Stable Distribution to Financial Data
by Aubain Nzokem & Daniel Maposa - 1-29 Pension Risk and the Sustainable Cost of Capital
by Paul John Marcel Klumpes - 1-29 Optimizing Energy Storage Profits: A New Metric for Evaluating Price Forecasting Models
by Simone Sbaraglia & Alessandro Fiori Maccioni & Stefano Zedda - 1-50 Flourishing MSMEs: The Role of Innovation, Creative Compliance, and Tax Incentives
by Prianto Budi Saptono & Ismail Khozen & Gustofan Mahmud & Sabina Hodžić & Intan Pratiwi & Dwi Purwanto & Lambang Wiji Imantoro
October 2024, Volume 17, Issue 11
- 1-13 Exploring the Role of AI in Improving VAT Reporting Quality: Experimental Study in Emerging Markets
by Moustafa Al Najjar & Rasha Mahboub & Bilal Nakhal & Mohamed Gaber Ghanem - 1-14 Intellectual Capital: Revisiting an Analytical Model
by António Eduardo Martins & Albino Lopes - 1-14 Examining Documentation Tools for Audit and Forensic Accounting Investigations
by Katherine Taken Smith & Lawrence Murphy Smith - 1-16 Market Volatility vs. Economic Growth: The Role of Cognitive Bias
by Neha Parashar & Rahul Sharma & S. Sandhya & Apoorva Joshi - 1-18 Forecasting Orange Juice Futures: LSTM, ConvLSTM, and Traditional Models Across Trading Horizons
by Apostolos Ampountolas - 1-18 The Impact of Cryptocurrency Exposure on Corporate Tax Avoidance Among US Listed Companies
by Junnan Cui & Li Gao & Yufei Wang - 1-18 Anti-Competition and Anti-Corruption Controversies in the European Financial Sector: Examining the Anti-ESG Factors with Entropy Weight and TOPSIS Methods
by Georgia Zournatzidou & George Sklavos & Konstantina Ragazou & Nikolaos Sariannidis - 1-19 CFO Compensation and Audit Fees
by Jing Jiang & Charles T. Fagan & Linda Hughen - 1-19 Optimizing Multivariate Time Series Forecasting with Data Augmentation
by Seyed Sina Aria & Seyed Hossein Iranmanesh & Hossein Hassani - 1-20 The Influence of Personality Traits on Stock Investment Retention: Insights from Thai Investors
by Alicha Treerotchananon & Chuleeporn Changchit & Robert Cutshall & Ravi Lonkani & Thanu Prasertsoontorn - 1-20 The Impact of Financial Development, Foreign Direct Investment, and Trade Openness on Carbon Dioxide Emissions in Jordan: An ARDL and VECM Analysis Approach
by Jamal Alnsour & Abdullah Radwan Arabeyyat & Ahmad Jamal Alnsour & Nashat Ali Almasria - 1-21 Informativeness of Performance Measures: Coefficients or R-Squareds?
by Ken Li - 1-22 The Role of Technological Readiness in Enhancing the Quality of Audit Work: Evidence from an Emerging Market
by Mohamed Ali Shabeeb Ali & Ibrahim A. Elshaer & Abdelhameed A. Montash & Abdelmoneim Bahyeldin Mohamed Metwally - 1-25 Insider Trading and CEO Pay-Gap Induced Turnover
by Viet Le & Ann-Ngoc Nguyen & Andros Gregoriou & William Forbes - 1-26 Dynamic Spillovers from US (Un)Conventional Monetary Policy to African Equity Markets: A Time-Varying Parameter Frequency Connectedness and Wavelet Coherence Analysis
by Andrew Phiri & Izunna Anyikwa - 1-26 Microcrediting and Investment Analysis in the Context of Environmental, Social, and Corporate Governance
by Ainagul Adambekova & Nurbek Adambekov & Timothy O. Randhir & Zhuldyz Adambekova & Manat Yezhebekov - 1-28 CFO (Chief Financial Officer) Research: A Systematic Review Using the Bibliometric Toolbox
by Umra Rashid & Mohd Abdullah & Mosab I. Tabash & Ishrat Naaz & Javaid Akhter & Mujeeb Saif Mohsen Al-Absy - 1-31 Environmental, Social and Governance Awareness and Organisational Risk Perception Amongst Accountants
by Hok-Ko Pong & Chun-Cheong Fong - 1-36 Credit Choices in Rural Egypt: A Comparative Study of Formal and Informal Borrowing
by Sarah Mansour & Nagwa Samak & Nesma Gad
November 2024, Volume 17, Issue 11
- 1-6 “Family Companies”—Editorial Synthesis of Special Issue
by Philip Sinnadurai - 1-12 Coastal Real Estate Vibes: An Analysis of the Association Between Coastal Residential Ownership and the Resident Occupant’s Risk Tolerance
by Leobardo Diosdado & Matthew Jaramillo & Eugene Bland & Christopher Wertheim - 1-12 Unveiling the Brew: Probing the Lingering Impact of the Luckin Coffee Scandal on the Liquidity of Chinese Cross-Listed Stocks
by Lee Kersting & Jang-Chul Kim & Sharif Mazumder & Qing Su - 1-14 Oil Price Shocks and the Canadian Stock Market
by Ruiqi Tan & Wei Dai - 1-15 The Performance of Hedge Funds: Are There Differences in Terms of Gender?
by Francesc Naya & Nils S. Tuchschmid - 1-16 Fiscal Adjustment Heterogeneity in Inflationary Conditions in the Eurozone: A Non-Stationary Heterogeneous Panel Approach
by Olgica Glavaški & Emilija Beker Pucar & Marina Beljić & Jovica Pejčić - 1-16 The GARCH-EVT-Copula Approach to Investigating Dependence and Quantifying Risk in a Portfolio of Bitcoin and the South African Rand
by Thabani Ndlovu & Delson Chikobvu - 1-16 The Relationship Between ESG Scores and Value-at-Risk: A Vine Copula–GARCH Based Approach
by Stefano Demartis & Barbara Rogo - 1-16 Performance Evaluation of Islamic Banking Services Industry: Evidence from GCC
by Muhammad Hanif - 1-17 Key Audit Matters Between Auditors and Auditees in Middle East and North Africa
by Osama Mahd & Mohammed Idris - 1-17 The Role of Development and Commercial Banking in Promoting Economic Growth in Mexico: A Sectoral Analysis
by Jesús Antonio Gil-Jardón & Paolo R. Morganti & Connie Atristain-Suárez - 1-17 Other Comprehensive Income: Do Nonprofessional Investors Value It as Much as Net Income?
by Ning Du & Ray Whittington - 1-17 Tax Avoidance with Maqasid Syariah: Empirical Insights on Derivatives, Debt Shifting, Transfer Pricing, and Financial Distress
by Vidiyanna Rizal Putri & Mohd Hadli Shah Mohamad Yunus & Nor Balkish Zakaria & Meliza Putriyanti Zifi & Istianingsih Sastrodiharjo & Rosiyana Dewi - 1-17 Booking Sustainability: Publicly Traded Companies as Catalysts for Public Goods Provision in Brazil
by Philipp Ehrl & Yago Vasconcelos Falcão & Edson Kenji Kondo - 1-18 Cycling, Economic Growth, and Sustainability: A Comparative Analysis of Slovenia and Belgium
by Urška Longar & Sergej Gričar & Tea Baldigara & Štefan Bojnec - 1-18 Factors Influencing Key Audit Matter Reporting in the Stock Exchange of Thailand: Empirical Evidence from 2016–2020 Data
by Praphada Srisuwan & Trairong Swatdikun & Shubham Pathak & Lidya Primta Surbakti & Alisara Saramolee - 1-18 Optimizing Business Performance Through Effective Accounting Information Systems: The Role of System Competence and Information Quality
by Alaa Fathy Zohry & Ahmed Abdullah Saad Al-Dhubaibi - 1-18 Determinants of Digital Payment Adoption Among Generation Z: An Empirical Study
by Anas Ali Al-Qudah & Manaf Al-Okaily & Fadi Shehab Shiyyab & Alaa A. D. Taha & Dmaithan A. Almajali & Ra’ed Masa’deh & Lina H. Warrad - 1-19 Twitter Economic Uncertainty and Herding Behavior in ESG Markets
by Dimitrios Koutmos - 1-20 Small-Country Mundell–Fleming (IS/LM/BP) Model Predictions Under Both Fixed and Flexible Exchange Rates: Evidence from Australia and S. Korea
by Jonathan Edward Leightner - 1-20 Algorithm-Based Low-Frequency Trading Using a Stochastic Oscillator, Williams%R, and Trading Volume for the S&P 500
by ChanKyu Paik & Jinhee Choi & Ivan Ureta Vaquero - 1-20 Exploring the Intersection of Contemporary Management Accounting Practices and Accounting Information Systems: The Impact on Hotel Performance
by Ioannis Ε. Diavastis - 1-21 Assessing the Drivers of Corporate Sustainability Performance Disclosures Using the Global Reporting Initiative (GRI) G4 Framework
by Najul Laskar - 1-21 The Effects of Key Audit Matters and Stock Ownership on Audit Committee Members’ Accounting Preferences
by Michelle Höfmann & Christiane Pott & Sandra Chrzan - 1-22 A Double Optimum New Solution Method Based on EVA and Knapsack
by Theofanis Petropoulos & Paris Patsis & Konstantinos Liapis & Evangelos Chytis - 1-25 Mandatory Disclosure of Negative Events and Auditor Behavior: Evidence from a Natural Experiment
by Xiaoli Guo & Andrew Fluharty - 1-25 Evaluating Board Characteristics’ Influence on the Readability of Annual Reports: Insights from the Egyptian Banking Sector
by Abdelmoneim Bahyeldin Mohamed Metwally & Mohamed Samy El-Deeb & Eman Adel Ahmed - 1-26 The Role of Digital Technologies in Corporate Sustainability: A Bibliometric Review and Future Research Agenda
by Sajead Mowafaq Alshdaifat & Noor Hidayah Ab Aziz & Mushtaq Yousif Alhasnawi & Esraa Esam Alharasis & Fatima Al Qadi & Hamzeh Al Amosh - 1-28 The Effects of Regulated Auditor Tenure on Opinion Shopping: Evidence from the Korean Market
by Beu Lee & George Gamble & Thomas Noland & Yuping Zhao - 1-30 Can We Use Financial Data to Predict Bank Failure in 2009?
by Shirley (Min) Liu - 1-30 How Greenwashing Affects Firm Risk: An International Perspective
by Richard Paul Gregory - 1-32 Evolution of Green Finance: Mapping Its Role as a Catalyst for Economic Growth and Innovation
by Nini Johana Marín-Rodríguez & Juan David González-Ruiz & Sergio Botero - 1-33 Optimal Monetary and Fiscal Policies to Maximise Non-Parallel Risk Premia in Sovereign Bond Markets
by Sanveer Hariparsad & Eben Maré - 1-35 IPO Pricing in Germany and Switzerland in the New Millennium: Tests on Underpricing and Long-Term Performance
by Rohat Barihas & Peter Weber & Heinz Zimmermann
September 2024, Volume 17, Issue 10
- 1-12 The Power of Numerical Indicators in Predicting Bankruptcy: A Systematic Review
by Dimitrios Billios & Dimitra Seretidou & Antonios Stavropoulos - 1-13 The Impact of Human Resource Management on Financial Performance: A Systematic Review in Cooperative Enterprises
by Birhanu Daba Chali & Vilmos Lakatos - 1-16 Digital Orientation and Manufacturing Firms’ Green Innovation Performance: The Mediating Role of Green Competence
by Courage Simon Kofi Dogbe & Nyankomo Marwa - 1-17 Does Board Gender Diversity Influence SDGs Disclosure? Insight from Top 15 JSE-Listed Mining Companies
by Varaidzo Denhere - 1-17 Exploring the Usefulness of Real Options Theory for Foreign Affiliate Divestments: Real Abandonment Options’ Applications
by Andrejs Čirjevskis - 1-18 Mapping the Knowledge Landscape of Money Laundering for Terrorism Financing: A Bibliometric Analysis
by Himanshu Thakkar & Saptarshi Datta & Priyam Bhadra & Siddharth Baburao Dabhade & Haresh Barot & Shankar O. Junare - 1-19 Analysing Network Dynamics: The Contagion Effects of SVB’s Collapse on the US Tech Industry
by Fan Wu & Anqi Liu & Jing Chen & Yuhua Li - 1-20 Explainable Machine Learning for Fallout Prediction in the Mortgage Pipeline
by Preetam Purohit & Amit Verma - 1-20 Connectedness and Shock Propagation in South African Equity Sectors during Extreme Market Conditions
by Babatunde S. Lawrence & Adefemi A. Obalade & Mishelle Doorasamy - 1-22 Daily and Weekly Geometric Brownian Motion Stock Index Forecasts
by Amit Sinha - 1-23 Financial Distress Prediction in the Nordics: Early Warnings from Machine Learning Models
by Nils-Gunnar Birkeland Abrahamsen & Emil Nylén-Forthun & Mats Møller & Petter Eilif de Lange & Morten Risstad - 1-24 Equity Market Pricing and Central Bank Interventions: A Panel Data Approach
by Carlos J. Rincon - 1-26 Mapping Risk–Return Linkages and Volatility Spillover in BRICS Stock Markets through the Lens of Linear and Non-Linear GARCH Models
by Raj Kumar Singh & Yashvardhan Singh & Satish Kumar & Ajay Kumar & Waleed S. Alruwaili - 1-32 Bayesian Lower and Upper Estimates for Ether Option Prices with Conditional Heteroscedasticity and Model Uncertainty
by Tak Kuen Siu - 1-34 Constructing Divisia Monetary Aggregates for the Asian Tigers
by William A. Barnett & JongSoo Lee & Naowar Mohiuddin - 1-36 Assessing the Impact of Federal Reserve Policies on Equity Market Valuations: An Instrumental Variables Approach
by Carlos J. Rincon & Darko B. Vukovic
October 2024, Volume 17, Issue 10
- 1-11 Social Status, Portfolio Externalities, and International Risk Sharing
by Timothy K. Chue - 1-11 Economic Freedom, Budget Deficits, and Perceived Risk from Larger National Debt-to-GDP Ratios: An Exploratory Analysis of Their Real Interest Rate Effects
by Richard J. Cebula - 1-12 Do Firms’ Characteristics Influence Their IT Strategies? A Study on the Driving Force behind Firms’ Decisions to Appoint IT Expertise
by Ashraf Khallaf & Anis Samet & Jap Efendi - 1-14 Financial Flexibility Prevalence Revisited with Evidence from South Africa
by Philip Kotze & Kunofiwa Tsaurai & Godfrey Marozva - 1-14 Examining the Role of Local Government’s Financial Performance and Capital Expenditure in Increasing Economic Growth in Banten Province, Indonesia (2018–2022)
by Mohamad Harry Mulya Zein & Muhtarom Muhtarom & Mulyadi Mulyadi & Sisca Septiani - 1-14 Distortion Risk Measures of Increasing Rearrangement
by Joachim Paulusch & Thorsten Moser & Anna Sulima - 1-14 The Role of Technology in Promoting Green Finance: A Systematic Literature Survey and the Development of a Framework
by Mitra Saeedi & Badar Nadeem Ashraf - 1-15 Martingale Pricing and Single Index Models: Unified Approach with Esscher and Minimal Relative Entropy Measures
by Stylianos Xanthopoulos - 1-15 On the Effects of Physical Climate Risks on the Chinese Energy Sector
by Christian Oliver Ewald & Chuyao Huang & Yuyu Ren - 1-15 A Systematic Literature Review on Transparency in Executive Remuneration Disclosures and Their Determinants
by Tando O. Siwendu & Cosmas M. Ambe - 1-15 The Strategic Impact of Service Quality and Environmental Sustainability on Financial Performance: A Case Study of 5-Star Hotels in Athens
by Michalis Skordoulis & Angelos-Stavros Stavropoulos & Aristidis Papagrigoriou & Petros Kalantonis - 1-18 Corporate Governance and Financial Performance: Family Firms vs. Non-Family Firms
by Audney Mashele & Marise Mouton & Lydia Pelcher - 1-18 The Influence of Fixed and Flexible Funding Mechanisms on Reward-Based Crowdfunding Success
by Lenny Phulong Mamaro & Athenia Bongani Sibindi - 1-19 A Collection of Wisdom in Predicting Sector Returns: The Use of Google Search Volume Index
by Hsiu-lang Chen & Jolana Stejskalova - 1-19 The Determinants and Information Effects of Earnings Announcement Date Variability
by Sanghyuk Byun & Kristin C. Roland & Dongchang Kang - 1-20 From Brown to Green: Climate Transition and Macroprudential Policy Coordination
by Federico Lubello - 1-20 Forecasting Foreign Direct Investment Inflow to Bangladesh: Using an Autoregressive Integrated Moving Average and a Machine Learning-Based Random Forest Approach
by Md. Monirul Islam & Arifa Jannat & Kentaka Aruga & Md Mamunur Rashid - 1-20 Optimal Market Completion through Financial Derivatives with Applications to Volatility Risk
by Matt Davison & Marcos Escobar-Anel & Yichen Zhu - 1-21 Clarity in Crisis: How UK Firms Communicated Risks during COVID-19
by Ahmed Saber Moussa & Mahmoud Elmarzouky - 1-21 Asset Returns: Reimagining Generative ESG Indexes and Market Interconnectedness
by Gordon Dash & Nina Kajiji & Bruno G. Kamdem - 1-22 Behavioral and Psychological Determinants of Cryptocurrency Investment: Expanding UTAUT with Perceived Enjoyment and Risk Factors
by Eugene Bland & Chuleeporn Changchit & Robert Cutshall & Long Pham - 1-23 Digital Financial Literacy and Its Impact on Financial Decision-Making of Women: Evidence from India
by Deepak Mishra & Naveen Agarwal & Sanawi Sharahiley & Vinay Kandpal - 1-24 Bitcoin Return Prediction: Is It Possible via Stock-to-Flow, Metcalfe’s Law, Technical Analysis, or Market Sentiment?
by Austin Shelton - 1-25 ESG in Business Research: A Bibliometric Analysis
by Evangelos Chytis & Nikolaos Eriotis & Maria Mitroulia - 1-25 Enhancing Financial Advisory Services with GenAI: Consumer Perceptions and Attitudes Through Service-Dominant Logic and Artificial Intelligence Device Use Acceptance Perspectives
by Qin Yang & Young-Chan Lee - 1-26 The Influence of Environmental, Social, and Governance (ESG) Perception on Investor Trust and Brand Relationship Quality: A Study Among Retail Investors in Hong Kong
by Hok Ko Pong & Fion Lai Chun Man - 1-26 The Price Formation of GCC Country iShares: The Role of Unsynchronized Trading Days between the US and the GCC Markets
by Nassar S. Al-Nassar - 1-26 Time–Frequency Co-Movement of South African Asset Markets: Evidence from an MGARCH-ADCC Wavelet Analysis
by Fabian Moodley & Sune Ferreira-Schenk & Kago Matlhaku - 1-27 The Cryptocurrencies in Emerging Markets: Enhancing Financial Inclusion and Economic Empowerment
by Mohammad El Hajj & Imad Farran - 1-30 From Sensors to Standardized Financial Reports: A Proposed Automated Accounting System Integrating IoT, Blockchain, and XBRL
by Mohamed Nofel & Mahmoud Marzouk & Hany Elbardan & Reda Saleh & Aly Mogahed - 1-36 Insider Trading before Earnings News: The Role of Executive Pay Disparity
by Ann-Ngoc Nguyen & Viet Le & Andros Gregoriou & David Kernohan
August 2024, Volume 17, Issue 9
- 1-14 The Effectiveness of Credit Risk Mitigation Strategies Adopted by Ghanaian Commercial Banks in Agricultural Finance
by Abraham Nyebar & Adefemi A. Obalade & Paul-Francois Muzindutsi - 1-15 A Framework for Investment and Risk Assessment of Agricultural Projects
by Leonir Vilani & Antonio Zanin & Mauro Lizot & Marcelo Gonçalves Trentin & Paulo Afonso & José Donizetti de Lima - 1-15 Asymmetric Impact of Active Management on the Performance of ESG Funds
by Barbara Abou Tanos & Omar Farooq & Mohammed Bouaddi & Neveen Ahmed - 1-20 Improving Volatility Forecasting: A Study through Hybrid Deep Learning Methods with WGAN
by Adel Hassan A. Gadhi & Shelton Peiris & David E. Allen - 1-20 Network Impact on the Investment Strategy and Performance of Cross-Border Venture Capital Institutions in China
by Xiaoli Wang & Yi Tan - 1-22 Consumers’ Financial Knowledge in Central European Countries in the Light of Consumer Research
by Łukasz Gębski & Georges Daw - 1-26 The NGDOs Efficiency: A PROMETHEE Approach
by Susana Álvarez-Otero & Emma Álvarez-Valle - 1-28 ESG Performance and Systemic Risk Nexus: Role of Firm-Specific Factors in Indian Companies
by Mithilesh Gidage & Shilpa Bhide & Rajesh Pahurkar & Ashutosh Kolte
September 2024, Volume 17, Issue 9
- 1-10 Character Counts: Psychometric-Based Credit Scoring for Underbanked Consumers
by Saul Fine - 1-11 Patterns in the Chaos: The Moving Hurst Indicator and Its Role in Indian Market Volatility
by Param Shah & Ankush Raje & Jigarkumar Shah - 1-11 Impairing Globalization: The Russo-Ukrainian War, Western Economic Sanctions and Asset Seizures
by Steven Rosefielde - 1-12 The Effect of Twitter Messages and Tone on Stock Return: The Case of Saudi Stock Market “Tadawul”
by Mohammed S. Albarrak - 1-13 Changes in Revealed Comparative Advantage in Machinery and Equipment: Evidence for Emerging Markets
by Andrea Boltho - 1-15 Bankruptcy Prediction for Restaurant Firms: A Comparative Analysis of Multiple Discriminant Analysis and Logistic Regression
by Yang Huo & Leo H. Chan & Doug Miller - 1-15 Forecasting Crude Oil Price Using Multiple Factors
by Hind Aldabagh & Xianrong Zheng & Mohammad Najand & Ravi Mukkamala - 1-16 Forecasting the Evolution of the Digital Economy in the Industry of the European Union
by Iordanis Karavasilis & Vasiliki Vrana & George Karavasilis - 1-16 Examining the Impact of Vulnerability and the Law of Justice on the IFRS Adoption Decision
by Khandokar Istiak & John Reid Cummings & Robert Forrester & Macy Adams - 1-17 Perceptions of South African Accountants on Factors with a Role in the Adoption of Artificial Intelligence in Financial Reporting
by Tankiso Moloi & Hassan Obeid - 1-17 Analyzing the Selective Stock Price Index Using Fractionally Integrated and Heteroskedastic Models
by Javier E. Contreras-Reyes & Joaquín E. Zavala & Byron J. Idrovo-Aguirre - 1-17 Intellectual Capital and Performance of Banking and Financial Institutions in Panama: An Application of the VAIC™ Model
by Oriana Jannett Pitre-Cedeño & Edila Eudemia Herrera-Rodríguez - 1-17 Investigating the Relationship between Energy Consumption and Environmental Degradation with the Moderating Influence of Technological Innovation
by Suzan Sameer Issa & Mosab I. Tabash & Adel Ahmed & Hosam Alden Riyadh & Mohammed Alnahhal & Manishkumar Varma - 1-18 Liquidity Spillover between Exchange-Traded Funds: Variations across News Regimes
by Yang Liu & Yongchen Zhao - 1-18 Corporate Social Responsibility and the Misclassification of Income Statement Items during the Coronavirus Pandemic
by Zakeya Sanad & Hidaya Al Lawati & Abdalmuttaleb Al-Sartawi - 1-18 Twin Agency Problems and Debt Management around the World
by Tatiana Salikhova & Svetlana V. Orlova & Li Sun - 1-18 Capturing Tail Risks in Cryptomarkets: A New Systemic Risk Approach
by Itai Barkai & Elroi Hadad & Tomer Shushi & Rami Yosef - 1-18 An Empirical Analysis of Tax Evasion among Companies Engaged in Stablecoin Transactions
by Rubens Moura de Carvalho & Helena Coelho Inácio & Rui Pedro Marques - 1-18 Digital Financial Capability Scale
by Kelmara Mendes Vieira & Taiane Keila Matheis & Eliete dos Reis Lehnhart - 1-18 Maximizing Profitability and Occupancy: An Optimal Pricing Strategy for Airbnb Hosts Using Regression Techniques and Natural Language Processing
by Luca Di Persio & Enis Lalmi - 1-18 The Effect of Student Loan Debt on Emergency Savings and the Moderating Role of Financial Knowledge: Evidence from the U.S. Survey of Household Economics and Decisionmaking
by Thomas Korankye & Blain Pearson & Peter Agyemang-Mintah - 1-19 Market Mavericks in Emerging Economies: Redefining Sales Velocity and Profit Surge in Today’s Dynamic Business Environment
by Enkeleda Lulaj & Blerta Dragusha & Donjeta Lulaj - 1-19 Do Corporate Ethics Enhance Financial Analysts’ Behavior and Performance?
by Sana Ben Hassine & Claude Francoeur - 1-19 Climate-Related Regulations and Financial Markets: A Meta-Analytic Literature Review
by Linh Tu Ho & Christopher Gan & Zhenzhen Zhao - 1-19 Financial Contagion between German and BRICS Stock Markets under Multiscale Scrutiny
by Olivier Niyitegeka & Alexis Habiyaremye - 1-19 Risk Analysis of Conglomerates with Debt and Equity Links
by Arturo Cifuentes & Rodrigo Roman - 1-20 Joint Impact of Market Volatility and Cryptocurrency Holdings on Corporate Liquidity: A Comparative Analysis of Cryptocurrency Exchanges and Other Firms
by Namryoung Lee - 1-20 Identifying Information Types in the Estimation of Informed Trading: An Improved Algorithm
by Oguz Ersan & Montasser Ghachem - 1-20 Assessing the Impact of the ECB’s Unconventional Monetary Policy on the European Stock Markets
by Carlos J. Rincon & Anastasiia V. Petrova - 1-21 Long-Run Trade Relationship between the U.S. and Canada: The Case of the Canadian Dollar with the U.S. Dollar
by Ikhlaas Gurrib & Firuz Kamalov & Osama Atayah & Dalia Hemdan & Olga Starkova - 1-21 Human Trafficking and Gender Inequality: How Businesses Can Lower Risks and Costs
by Donald L. Ariail & Katherine Taken Smith & Lawrence Murphy Smith - 1-21 Does ICT Investment Affect Market Share and Customer Acquisition Cost? A Comparative Analysis of Domestic and Foreign Banks Operating in India
by Gulam Goush Ansari & Rajorshi Sen Gupta - 1-21 Forecasting Financial Investment Firms’ Insolvencies Empowered with Enhanced Predictive Modeling
by Ahmed Amer Abdul-Kareem & Zaki T. Fayed & Sherine Rady & Salsabil Amin El-Regaily & Bashar M. Nema - 1-25 Integrating Money Cycle Dynamics and Economocracy for Optimal Resource Allocation and Economic Stability
by Constantinos Challoumis - 1-26 Using an Ensemble of Machine Learning Algorithms to Predict Economic Recession
by Leakey Omolo & Nguyet Nguyen - 1-26 The Impact of Changing External Auditors, Auditor Tenure, and Audit Firm Type on the Quality of Financial Reports on the Saudi Stock Exchange
by Abdulkarim Hamdan J. Alhazmi & Sardar Islam & Maria Prokofieva - 1-29 Social Media for Investment Advice and Financial Satisfaction: Does Generation Matter?
by Olamide Olajide & Sabina Pandey & Ichchha Pandey - 1-30 Application of a Robust Maximum Diversified Portfolio to a Small Economy’s Stock Market: An Application to Fiji’s South Pacific Stock Exchange
by Ronald Ravinesh Kumar & Hossein Ghanbari & Peter Josef Stauvermann - 1-31 Business Model and Strategy for Sustainable Lending of State-Owned Banks in Indonesia
by Kepas Antoni Adrianus Manurung & Hermanto Siregar & Dedi Budiman Hakim & Idqan Fahmi & Tanti Novianti - 1-33 The Stock Market Reaction to Green Bond Issuance: A Study Based on a Multidimensional Scaling Approach
by Wided Khiari & Ines Ben Flah & Azhaar Lajmi & Fida Bouhleli - 1-52 COVID-19 and Uncertainty Effects on Tunisian Stock Market Volatility: Insights from GJR-GARCH, Wavelet Coherence, and ARDL
by Emna Trabelsi
July 2024, Volume 17, Issue 8
- 1-13 Determinants of Zombie Firms: The Impact of Corporate Insolvency Efficiency and Cultural Factors
by Yongcuo Zhaxi & Yukihiro Yasuda - 1-16 Does Managerial Overconfidence Change with Market Conditions? Risk Management for Financial Institutions
by Jan P. Voon & Wai Lan Victoria Yeung & Sze Nam Chan - 1-17 Potential Predictors of Psychologically Based Stock Price Movements
by Robert East & Malcolm Wright - 1-17 Personal Networks, Board Structures and Corporate Fraud in Japan
by Takeshi Osada & David Vera & Taketoshi Hashimoto - 1-17 Does Investors’ Online Public Opinion Divergence Increase the Trading Volume? Evidence from the CSI 300 Index Constituents
by Zihuang Huang & Qing Xu & Xinyu Wang - 1-19 Unveiling the Path to Mobile Payment Adoption: Insights from Thai Consumers
by Chuleeporn Changchit & Robert Cutshall & Long Pham - 1-19 Challenges for Customs Risk Management Today: A Literature Review
by Sandra Karklina-Admine & Aldis Cevers & Arturs Kovalenko & Armands Auzins - 1-19 Enhancing Model Selection by Obtaining Optimal Tuning Parameters in Elastic-Net Quantile Regression, Application to Crude Oil Prices
by Abdullah S. Al-Jawarneh & Ahmed R. M. Alsayed & Heba N. Ayyoub & Mohd Tahir Ismail & Siok Kun Sek & Kivanç Halil Ariç & Giancarlo Manzi - 1-20 The Determinants of the Efficiency of Microfinance Institutions in Africa
by Maroua Zineelabidine & Fadwa Nafssi & Hamza Ayass - 1-21 Beyond Compliance: How ESG Reporting Influences the Cost of Capital in UK Firms
by Ahmed Saber Moussa & Mahmoud Elmarzouky - 1-22 Enhancing and Validating a Framework to Curb Illicit Financial Flows (IFFs)
by Ndiimafhi Norah Netshisaulu & Huibrecht Margaretha van der Poll & John Andrew van der Poll