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Conciseness, Financial Disclosure, and Market Reaction: A Textual Analysis of Annual Reports in Listed Chinese Companies JOURNAL ARTICLE published 9 November 2022 in International Journal of Financial Studies |
ASEAN-5 Stock Price Index Valuation after COVID-19 Outbreak through GBM-MCS and VaR-SDPP Methods JOURNAL ARTICLE published 30 November 2022 in International Journal of Financial Studies Research funded by Diponegoro University (185-03/UN7.6JPP/2022) |
Maize Productivity and Household Welfare Impacts of Mobile Money Usage in Tanzania JOURNAL ARTICLE published 31 January 2023 in International Journal of Financial Studies |
CSR in Professional Football in Times of Crisis: New Ways in a Challenging New Normal JOURNAL ARTICLE published 22 September 2022 in International Journal of Financial Studies |
Financial Risk and Financial Performance: Evidence and Insights from Commercial and Services Listed Companies in Nairobi Securities Exchange, Kenya JOURNAL ARTICLE published 11 August 2020 in International Journal of Financial Studies |
Size Effects of Fiscal Policy and Business Confidence in the Euro Area JOURNAL ARTICLE published 8 November 2017 in International Journal of Financial Studies |
A Logistic Regression Based Auto Insurance Rate-Making Model Designed for the Insurance Rate Reform JOURNAL ARTICLE published 7 February 2018 in International Journal of Financial Studies |
The Effects of Service Quality Performance on Customer Satisfaction for Non-Banking Financial Institutions in an Emerging Economy JOURNAL ARTICLE published 15 February 2023 in International Journal of Financial Studies |
How the Economic and Financial Situation of the Community Affects Sport Clubs’ Resources: Evidence from Multi-Level Models JOURNAL ARTICLE published 13 February 2015 in International Journal of Financial Studies |
International Journal of Financial Studies JOURNAL published |
SME Steeplechase: When Obtaining Money Is Harder Than Innovating JOURNAL ARTICLE published 21 May 2019 in International Journal of Financial Studies |
Robust Optimization-Based Commodity Portfolio Performance JOURNAL ARTICLE published 5 September 2020 in International Journal of Financial Studies |
Do Financial Crises Matter for Nonlinear Exchange Rate and Stock Market Cointegration? A Heterogeneous Nonlinear Panel Data Model with PMG Approach JOURNAL ARTICLE published 23 December 2022 in International Journal of Financial Studies |
Influence of Transparency and Disclosures on the Dividend Distribution Decisions in the Firms: Do Profitability and Efficiency of Firms Matter? JOURNAL ARTICLE published 5 December 2023 in International Journal of Financial Studies |
Retirement Income and Financial Market Participation in New Zealand JOURNAL ARTICLE published 30 January 2023 in International Journal of Financial Studies |
South African Banks’ Cross-Border Systemic Risk Exposure: An Application of the GAS Copula Marginal Expected Shortfall JOURNAL ARTICLE published 3 March 2022 in International Journal of Financial Studies |
Role of ICT Investment and Diffusion in the Economic Growth: A Threshold Approach for the Empirical Evidence from Pakistan JOURNAL ARTICLE published 4 March 2021 in International Journal of Financial Studies |
A Component Expected Shortfall Approach to Systemic Risk: An Application in the South African Financial Industry JOURNAL ARTICLE published 11 December 2023 in International Journal of Financial Studies |
Navigating Risk Aversion and Regret JOURNAL ARTICLE published 11 May 2024 in International Journal of Financial Studies Research funded by Toyo University (FY2024) |
The Impact of Financial Statement Comparability on Earnings Management: Evidence from Frontier Markets JOURNAL ARTICLE published 19 November 2020 in International Journal of Financial Studies |