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How to compare market efficiency? The Sharpe ratio based on the ARMA-GARCH forecast JOURNAL ARTICLE published December 2020 in Financial Innovation |
Features of different asset types and extreme risk transmission during the COVID-19 crisis JOURNAL ARTICLE published 17 February 2024 in Financial Innovation |
The function and impact of cryptocurrency and data technology in the context of financial technology: introduction to the issue JOURNAL ARTICLE published December 2021 in Financial Innovation |
Monetary and fiscal factors in nominal interest rate variations in Sri Lanka under a deregulated regime JOURNAL ARTICLE published December 2017 in Financial Innovation |
A comprehensive MCDM assessment for economic data: success analysis of maximum normalization, CODAS, and fuzzy approaches JOURNAL ARTICLE published 13 March 2024 in Financial Innovation |
Editor’s introduction JOURNAL ARTICLE published 13 November 2023 in Financial Innovation |
An impact assessment of the COVID-19 pandemic on Japanese and US hotel stocks JOURNAL ARTICLE published 8 May 2023 in Financial Innovation |
Robust monitoring machine: a machine learning solution for out-of-sample R$$^2$$-hacking in return predictability monitoring JOURNAL ARTICLE published 11 July 2023 in Financial Innovation |
Basel III FRTB: data pooling innovation to lower capital charges JOURNAL ARTICLE published December 2021 in Financial Innovation |
Correction to: High frequency multiscale relationships among major cryptocurrencies: portfolio management implications JOURNAL ARTICLE published December 2021 in Financial Innovation |
To supervise or to self-supervise: a machine learning based comparison on credit supervision JOURNAL ARTICLE published December 2021 in Financial Innovation |
The information content of financial survey response data JOURNAL ARTICLE published December 2015 in Financial Innovation |
Correction to affiliations JOURNAL ARTICLE published December 2020 in Financial Innovation |
Non-Value-Added Tax to improve market fairness and quality JOURNAL ARTICLE published 14 February 2022 in Financial Innovation |
Dynamic spatiotemporal correlation coefficient based on adaptive weight JOURNAL ARTICLE published 9 January 2023 in Financial Innovation Research funded by the National Natural Science Foundation of China (72161001) | International (Regional) Cooperation and Exchange Project (71720107002) | the National Natural Science Foundation of China (71963001) | Guangxi Natural Science Fund (2018GXNSFBA050012) | Key Research Base of Humanities and Social Sciences in Guangxi Universities “Guangxi Development Research Strategy Institute” (2021GDSIYB04) | Key Research Base of Humanities and Social Sciences in Guangxi Universities Guangxi Development Research Strategy Institute (2022GDSIYB08) | Project of Guangzhou Financial Service Innovation and Risk Management Research Base (PTJS202204) |
Exploring Bitcoin dynamics against the backdrop of COVID-19: an investigation of major global events JOURNAL ARTICLE published 29 February 2024 in Financial Innovation |
Can ETFs affect U.S. financial stability? A quantile cointegration analysis JOURNAL ARTICLE published 5 March 2024 in Financial Innovation Research funded by Ministerio de Ciencia e Innovación (MCIN/AEI/ 10.13039/501100011033 [PID2020-113338RB-I00]) | Departamento de Ciencia, Universidad y Sociedad del Conocimiento del Gobierno de Aragón (S42_23R: CREVALOR) |
Asymmetric relationship between global and national factors and domestic food prices: evidence from Turkey with novel nonlinear approaches JOURNAL ARTICLE published 5 January 2023 in Financial Innovation |
Evaluation of forecasting methods from selected stock market returns JOURNAL ARTICLE published December 2019 in Financial Innovation |
Impact of learning through credit and value creation on the efficiency of Japanese commercial banks JOURNAL ARTICLE published December 2021 in Financial Innovation Research funded by Japan Society for the Promotion of Science (19J10715) |