Subscribed Libraries
Total: 5217
| Sn | Title | Abstract | Full Text |
|---|---|---|---|
| 1 | The Interactive Effect of Ownership Structure on the Relationship between Annual Board Report Readability and Stock Price Crash Risk | Abstract | Full Text |
| 2 | Using Variable Slope Total Derivative Estimations to Pick between and Improve Macro Models | Abstract | Full Text |
| 3 | Economic Stimulus and Financial Instability: Recent Case of the U.S. Household | Abstract | Full Text |
| 4 | Banking Risks in the Asset and Liability Management System | Abstract | Full Text |
| 5 | Peculiarities of Sustainable Cultural Development: A Case of Dark Tourism in Lithuania | Abstract | Full Text |
| 6 | Disasters and Investment: Assessing the Performance of the Underlying Economy Following a Large-Scale Stimulus in the Built Environment | Abstract | Full Text |
| 7 | International Corporate Cash Holdings and Firm-Level Exposure to COVID-19: Do Cultural Dimensions Matter? | Abstract | Full Text |
| 8 | National Governance Index, Corruption Index and Growth Rate—International Evidence from Sub-Saharan and MENA Countries | Abstract | Full Text |
| 9 | Impact of Negative Tweets on Diverse Assets during Stressful Events: An Investigation through Time-Varying Connectedness | Abstract | Full Text |
| 10 | Residual State Ownership and Firm Performance: A Case of Vietnam | Abstract | Full Text |
| 11 | The Pricing Model of Pension Benefit Guaranty Corporation Insurance with Regime-Switching Processes | Abstract | Full Text |
| 12 | Influence of the Emotion of Fear on Patterns of Consumer Behavior toward Dietary Supplements during the COVID-19 Pandemic | Abstract | Full Text |
| 13 | The Effects of CSR Report Mandatory Policy on Analyst Forecasts: Evidence from Taiwan | Abstract | Full Text |
| 14 | Consumer Responses to Selected Activities: Price Increases, Lack of Product Information and Numerical Way of Expressing Product Prices | Abstract | Full Text |
| 15 | The Economic Policy Uncertainty and Its Effect on Sustainable Investment: A Panel ARDL Approach | Abstract | Full Text |
| 16 | Supervision of Banking Networks Using the Multivariate Threshold-Minimum Dominating Set (mT-MDS) | Abstract | Full Text |
| 17 | Empirically Investigating the Disclosure of Nonfinancial Information: A Content Study on Corporations Listed in the Saudi Capital Market | Abstract | Full Text |
| 18 | Budgetary Allocations and Government Response to COVID-19 Pandemic in South Africa and Nigeria | Abstract | Full Text |
| 19 | Challenges for Corporate Reputation—Online Reputation Management in Times of Global Pandemic | Abstract | Full Text |
| 20 | The Performance of Shrinkage Estimator for Stock Portfolio Selection in Case of High Dimensionality | Abstract | Full Text |
| 21 | Mitigation Strategies for COVID-19: Lessons from the K-SEIR Model Calibrated to the Observable Data | Abstract | Full Text |
| 22 | The Use of Principal Component Analysis (PCA) in Building Yield Curve Scenarios and Identifying Relative-Value Trading Opportunities on the Romanian Government Bond Market | Abstract | Full Text |
| 23 | A New Look at the Swing Contract: From Linear Programming to Particle Swarm Optimization | Abstract | Full Text |
| 24 | The Great Game Will Never End: Why the Global Financial Crisis Is Bound to Be Repeated | Abstract | Full Text |
| 25 | Consumer Perceptions of the Use of Nondegradable Plastic Packaging and Environmental Pollution: A Review of Theories and Empirical Literature | Abstract | Full Text |
| 26 | Wealth Inequality in South Africa—The Role of Government Policy | Abstract | Full Text |
| 27 | Estimation and Inference for the Threshold Model with Hybrid Stochastic Local Unit Root Regressors | Abstract | Full Text |
| 28 | Optimal Portfolio Allocation between Global Stock Indexes and Safe Haven Assets: Gold versus the Swiss Franc (1999–2021) | Abstract | Full Text |
| 29 | Dynamic Causality Analysis of COVID-19 Pandemic Risk and Oil Market Changes | Abstract | Full Text |
| 30 | A Fuzzy Imperfect Production Inventory Model Based on Fuzzy Differential and Fuzzy Integral Method | Abstract | Full Text |
| 31 | The Generalized Gamma Distribution as a Useful RND under Heston’s Stochastic Volatility Model | Abstract | Full Text |
| 32 | The ESG Disclosure and the Financial Performance of Norwegian Listed Firms | Abstract | Full Text |
| 33 | A Study of Private Equity Rounds of Entrepreneurial Finance in EU: Are Buyout Funds Uninvited Guests for Startup Ecosystems? | Abstract | Full Text |
| 34 | Economic Growth, Exchange Rate and Remittance Nexus: Evidence from Africa | Abstract | Full Text |
| 35 | Exploring a Three-Factor Dependence Structure of Conditional Volatilities: Some Quantile Regression Evidence from Real Estate Investment Trusts | Abstract | Full Text |
| 36 | Politically Connected Firms and Forward-Looking Disclosure in the Era of Oman Vision 2040 | Abstract | Full Text |
| 37 | Are Structural Funds a Real Solution for Regional Development in the European Union? A Study on the Northeast Region of Romania | Abstract | Full Text |
| 38 | Founding Family Ownership and Firm Performance: Some Evidence from the Italian Stock Market | Abstract | Full Text |
| 39 | Portfolio Optimization on Multivariate Regime-Switching GARCH Model with Normal Tempered Stable Innovation | Abstract | Full Text |
| 40 | Childhood Sporting Experience and Charitable Donations to Disaster Victims | Abstract | Full Text |
| 41 | Understanding Post-Privatisation Performance of Statutory Bodies Subject to Government Shareholding—A Suggested Theoretical Framework, for Malaysian Researchers | Abstract | Full Text |
| 42 | Linking Supply Chain Disruption Orientation to Supply Chain Resilience and Market Performance with the Stimulus–Organism–Response Model | Abstract | Full Text |
| 43 | Development of Risk Index and Risk Governance Index: Application in Indian Public Sector Undertakings | Abstract | Full Text |
| 44 | Impact of Liquidity Coverage Ratio on Performance of Select Indian Banks | Abstract | Full Text |
| 45 | Bank Risk-Taking and Legal Origin: What Do We Know about Dual Banking Economies? | Abstract | Full Text |
| 46 | Deep Partial Hedging | Abstract | Full Text |
| 47 | Issues in Islamic Derivatives and Proposals for Reforms in the OTC Market in Indonesia | Abstract | Full Text |
| 48 | Green Insurance: A Roadmap for Executive Management | Abstract | Full Text |
| 49 | Gender Differences in Risk-Taking Investment Strategies in Defined Contribution Plans | Abstract | Full Text |
| 50 | Dynamics between Power Consumption and Economic Growth at Aggregated and Disaggregated (Sectoral) Level Using the Frequency Domain Causality | Abstract | Full Text |
| 51 | Theories of Crowdfunding and Token Issues: A Review | Abstract | Full Text |
| 52 | Nudges and Networks: How to Use Behavioural Economics to Improve the Life Cycle Savings-Consumption Balance | Abstract | Full Text |
| 53 | Does Ownership Structure Moderate the Relationship between Systemic Risk and Corporate Governance? Evidence from Gulf Cooperation Council Countries | Abstract | Full Text |
| 54 | Non-Fungible Token: A Systematic Review and Research Agenda | Abstract | Full Text |
| 55 | An Investigation of the Beta Anomaly in Emerging Markets: A South African Case | Abstract | Full Text |
| 56 | Attributes of Business Incubators: A Conjoint Analysis of Venture Capitalist’s Decision Making | Abstract | Full Text |
| 57 | Modelling Seasonal Short-Run Effects in Time-Series Tourism Prices | Abstract | Full Text |
| 58 | Climate Insurance for Agriculture in Europe: On the Merits of Smart Contracts and Distributed Ledger Technologies | Abstract | Full Text |
| 59 | Introduction to the Special Issue ‘Transnational and Transdisciplinary Lessons of COVID-19 from the Perspective of Risk and Management’ | Abstract | Full Text |
| 60 | How the Closure of a U.S. Tax Loophole May Affect Investor Portfolios | Abstract | Full Text |
| 61 | An Investigation of the Link between Major Shareholders’ Behavior and Corporate Governance Performance before and after the COVID-19 Pandemic: A Case Study of the Companies Listed on the Iranian Stock Market | Abstract | Full Text |
| 62 | Vague Pension Future: Empirical Evidence from the Israeli Radical Privatized Market | Abstract | Full Text |
| 63 | What’s Different about Bank Holding Companies? | Abstract | Full Text |
| 64 | Were Culture and Heritage Important for the Resilience of Tourism in the COVID-19 Pandemic? | Abstract | Full Text |
| 65 | Stock Market Synchronization: The Role of Geopolitical Risk | Abstract | Full Text |
| 66 | The Impact of Corporate Governance and Political Connectedness on the Financial Performance of Lebanese Banks during the Financial Crisis of 2019–2021 | Abstract | Full Text |
| 67 | Risk Management of Startups of Innovative Products | Abstract | Full Text |
| 68 | The Impact of Migration on Vietnam Household Living Standards | Abstract | Full Text |
| 69 | Simulation-Based Business Valuation: Methodical Implementation in the Valuation Practice | Abstract | Full Text |
| 70 | An Assessment of the Association between Political Orientation and Financial Risk Tolerance | Abstract | Full Text |
| 71 | The Performance and Diversification Potential of Non-Listed Value-Add Real Estate Funds in Japan | Abstract | Full Text |
| 72 | Credit Risk, Regulatory Costs and Lending Discrimination in Efficient Residential Mortgage Markets | Abstract | Full Text |
| 73 | A Comparative Analysis of the Economic Sustainability of Cultural Work in the UK since the COVID-19 Pandemic and Examination of Universal Basic Income as a Solution for Cultural Workers | Abstract | Full Text |
| 74 | Causality between Financial Development and Foreign Direct Investment in Asian Developing Countries | Abstract | Full Text |
| 75 | Deposit Competition, Interbank Market, and Bank Profit | Abstract | Full Text |
| 76 | Machine Learning Applications to Land and Structure Valuation | Abstract | Full Text |
| 77 | The Profitability of Technical Analysis during the COVID-19 Market Meltdown | Abstract | Full Text |
| 78 | Distributed Renewable Energy Management: A Gap Analysis and Proposed Blockchain-Based Architecture | Abstract | Full Text |
| 79 | An Application of Portfolio Mean-Variance and Semi-Variance Optimization Techniques: A Case of Fiji | Abstract | Full Text |
| 80 | On the Asymptotic Behavior of the Optimal Exercise Price Near Expiry of an American Put Option under Stochastic Volatility | Abstract | Full Text |
| 81 | Forecasting a Stock Trend Using Genetic Algorithm and Random Forest | Abstract | Full Text |
| 82 | To Trust or Not to Trust? COVID-19 Facemasks in China–Europe Relations: Lessons from France and the United Kingdom | Abstract | Full Text |
| 83 | Impact of COVID-19, Political, and Financial Events on the Performance of Commercial Banking Sector | Abstract | Full Text |
| 84 | Goal Setting, Personality Traits, and the Role of Insurers and Other Service Providers for Swiss Millennials and Generation Z | Abstract | Full Text |
| 85 | Asymmetric Exchange Rate Pass-Through in Turkish Imports of Cocoa Beans | Abstract | Full Text |
| 86 | Business Closures and (Re)Openings in Real-Time Using Google Places: Proof of Concept | Abstract | Full Text |
| 87 | Redevelopment of Brownfields for Cultural Use from ERDF Fund—The Case of Hungary between 2014 and 2020 | Abstract | Full Text |
| 88 | Sail Away to a Safe Harbor? COVID-19 Vaccinations and the Volatility of Travel and Leisure Companies | Abstract | Full Text |
| 89 | Corporate Fraud and Accounting Firm Involvement: Evidence from China | Abstract | Full Text |
| 90 | False Friends? On the Effect of Bureaucracy, Informality, Corruption and Conflict in Ukraine on Foreign and Domestic Acquisitions | Abstract | Full Text |
| 91 | Enacting Economic Resilience: A Synthesis of Economic and Communication Frameworks | Abstract | Full Text |
| 92 | Tourism Activity as an Engine of Growth: Lessons Learned from the European Union | Abstract | Full Text |
| 93 | The Impact of Fashion Brand Sustainability on Consumer Purchasing Decisions | Abstract | Full Text |
| 94 | A Survey of the Accounting Industry on Holdings of Cryptocurrencies in Xiamen City, China | Abstract | Full Text |
| 95 | Model Selection and Post Selection to Improve the Estimation of the ARCH Model | Abstract | Full Text |
| 96 | COVID-19 Impact on the Sport Sector Economy and Athletic Performance | Abstract | Full Text |
| 97 | Best-Arm Identification Using Extreme Value Theory Estimates of the CVaR | Abstract | Full Text |
| 98 | Deployment of Interpretive Structural Modeling in Barriers to Industry 4.0: A Case of Small and Medium Enterprises | Abstract | Full Text |
| 99 | The Impact of Investment Efficiency on Firm Value and Moderating Role of Institutional Ownership and Board Independence | Abstract | Full Text |
| 100 | Audit Committee Diversity, Analysts’ Forecast Accuracy and Earnings Management: Evidence from Malaysia | Abstract | Full Text |