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  • Your search results: "Journal of Risk and Financial Management"
Showing 1 - 20 results of 1,021 for search '"Journal of Risk and Financial Management"', query time: 0.80s Narrow search
  • 1
    Cover Image eBook
    Empirical Finance
    by Hamori, Shigeyuki Published in Journal of Risk and Financial Management (01.01.2019)
    “...There is no denying the role of empirical research in finance and the remarkable progress of empirical techniques in this research field. This Special Issue...”
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  • 2
    Cover Image Publication
    Fiscal transparency and public service quality association: evidence from 12 coastal provinces and cities of China
    by Yang, Qiuxia Published in Journal of risk and financial management (2021)
    “...This paper presents an evaluation index system of public service quality, which contains 35 indexes from the dimensions of the output and effect. Based on data...”
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  • 3
    Cover Image Publication
    Multi-period portfolio optimization with investor views under regime switching
    by Oprisor, Razvan Published in Journal of risk and financial management (2021)
    “...We propose a novel multi-period trading model that allows portfolio managers to perform optimal portfolio allocation while incorporating their interpretable...”
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  • 4
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    The impact of working capital management on firm profitability: empirical evidence from the Polish listed firms
    by Anton, Sorin Gabriel Published in Journal of risk and financial management (2021)
    “...The purpose of this study is to investigate the relationship between working capital and firm profitability for a sample of 719 Polish listed firms over the...”
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  • 5
    Cover Image Publication
    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
    by Layher, Nicoletta Published in Journal of risk and financial management (2021)
    “...This paper conducts an empirical study on the inclusion of uniform European Collective Action Clauses (CACs) in sovereign bond contracts issued from member...”
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  • 6
    Cover Image Publication
    Bankruptcy prediction models based on value measures
    by Jaki, Andrzej Published in Journal of risk and financial management (2021)
    “...In the existing studies devoted to predicting bankruptcy, the authors of such models only used book measures. Considering the fact that the evolution of...”
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  • 7
    Cover Image Journal Article
    Reforms protecting minority shareholders and firm performance: International evidence
    by Burunciuc, Corina   Gonenc, Halit Published in Journal of risk and financial management (01.01.2021)
    “...This study investigates the effect of corporate governance reforms protecting minority shareholders on the firm value measured by Tobin’s Q. Using the...”
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  • 8
    Cover Image Publication
    A gap in brain gain for emerging countries: evidence of international immigration on non-resident patents
    by Enkhtaivan, Bolortuya Published in Journal of risk and financial management (2021)
    “...Immigration is a controversial topic that draws much debate. From a human sustainability perspective, immigration is disadvantageous for home countries causing...”
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  • 9
    Cover Image Publication
    The event of Croatia’s EU accession and membership from the Croatian high school students’ perspective
    by Pisarović, Anamarija Published in Journal of risk and financial management (2021)
    “...The knowledge, attitudes and perceptions of the high school students on Croatia’s European Union (EU) accession event were omitted in numerous public opinion...”
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  • 10
    Cover Image Publication
    COVID-19 outbreak and CO2 emissions: macro-financial linkages
    by Chevallier, Julien Published in Journal of risk and financial management (2021)
    “...In the Dynamic Conditional Correlation with Mixed Data Sampling (DCC-MIDAS) framework, we scrutinize the correlations between the macro-financial environment...”
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  • 11
    Cover Image Publication
    Risk perception, accounting, and resilience in public sector organizations: a case study analysis
    by Tallaki, Mouhcine Published in Journal of risk and financial management (2021)
    “...There are various factors that can affect an organization’s ability to overcome a crisis and the uncertainties that arise thereafter. Little is known about the...”
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  • 12
    Cover Image Publication
    Financing responsible small- and medium-sized enterprises: an international overview of policies and support programmes
    by Durst, Susanne Published in Journal of risk and financial management (2021)
    “...In the last few years, the financing of responsibly operating small and medium-sized enterprises (SMEs) has become the focus of attention of several national...”
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  • 13
    Cover Image Publication
    Civic crowdfunding in local governments: variables for success in the Netherlands?
    by Montfort, Kees Published in Journal of risk and financial management (2021)
    “...By using information technology, local governments can develop alternative forms of citizen engagement. Civic crowdfunding campaigns supported by online...”
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  • 14
    Cover Image Publication
    Catholic social thought and sustainability: ethical and economic alignment
    by Gómez-Bezares, Ana María Published in Journal of risk and financial management (2021)
    “...In this research, we demonstrate that business sustainability can be a model to foster in order to reach real development, as it is shown that business...”
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  • 15
    Cover Image Journal Article
    Does the Croatian Stock Market Have Seasonal Affective Disorder?
    by Škrinjarić, Tihana   Marasović, Branka   Šego, Boško Published in Journal of risk and financial management (21.02.2021)
    “...This paper explores mood anomalies, specifically the seasonal affective disorder (SAD) effect on the Zagreb Stock Exchange (ZSE). SAD is defined as a syndrome...”
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  • 16
    Cover Image Journal Article
    Time-Consistent Investment and Consumption Strategies under a General Discount Function
    by Alia, Ishak   Chighoub, Farid   Khelfallah, Nabil   Vives, Josep Published in Journal of risk and financial management (20.02.2021)
    “...In the present paper, we investigate the Merton portfolio management problem in the context of non-exponential discounting, a context that gives rise to...”
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  • 17
    Cover Image Journal Article
    Do Political Economy Factors Influence Funding Allocations for Disaster Risk Reduction?
    by Islam, Shafiqul   Zobair, Khondker Mohammad   Chu, Cordia   Smart, James C. R   Alam, Md Samsul Published in Journal of risk and financial management (20.02.2021)
    “...Considering the importance of political economy in implementing Disaster Risk Reduction (DRR), this research investigates the significance of political economy...”
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  • 18
    Cover Image Journal Article
    Crowdsourcing in Sustainable Retail—A Theoretical Framework of Success Criteria
    by Konhäusner, Peter Published in Journal of risk and financial management (20.02.2021)
    “...Current research about crowdsourcing covers industries like food systems or logistics, leaving out the possible impact of crowdsourcing on sustainable retail...”
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  • 19
    Cover Image Journal Article
    Examining the Impact of Financial Development on Energy Production in Emerging Economies
    by Wilmot, Neil A   Taivan, Ariuna Published in Journal of risk and financial management (20.02.2021)
    “...Global energy production has been on the rise for many years, and reliance on traditional sources of energy remains strong. The extraction and production of...”
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  • 20
    Cover Image Journal Article
    Natural Resources Volatility and Economic Growth: Evidence from the Resource-Rich Region
    by Hayat, Arshad   Tahir, Muhammad Published in Journal of risk and financial management (19.02.2021)
    “...This research paper investigates the impact of natural resources volatility on economic growth. The paper focused on three resource-rich economies, namely,...”
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