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                             95 results found
no title author magazine year volume issue page(s) type
1 A bibliometric review of liquidity creation Pana, Elisabeta

64 C p.
article
2 Abnormal trading volume, news and market efficiency: Evidence from the Jamaica Stock Exchange Wright, Calvin

64 C p.
article
3 Accounting for digital currencies Alsalmi, Noora

64 C p.
article
4 A cross-country analysis of corporate carbon performance: An international investment perspective Cheng, Louis T.W.

64 C p.
article
5 Analysing and forecasting co-movement between innovative and traditional financial assets based on complex network and machine learning Zhou, Yang

64 C p.
article
6 An asymmetrical approach to understanding consumer characteristics in banking trust during the COVID-19 pandemic in Italy Ammari, Aymen

64 C p.
article
7 An exploration on policy uncertainty as a driver of R&D activity Nguyen, Quang

64 C p.
article
8 A random forest-based model for crypto asset forecasts in futures markets with out-of-sample prediction Orte, Francisco

64 C p.
article
9 A sparsity algorithm for finding optimal counterfactual explanations: Application to corporate credit rating Wang, Dan

64 C p.
article
10 Asset redeployability and readability of annual report Sun, Li

64 C p.
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11 Asymmetric effect of financial stress on China’s precious metals market: Evidence from a quantile-on-quantile regression Chen, Jinyu

64 C p.
article
12 Bankruptcy prediction using fuzzy convolutional neural networks Ben Jabeur, Sami

64 C p.
article
13 Belief-based momentum indicator and stock market return predictability Li, Yan

64 C p.
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14 Business model contributions to bank profit performance: A machine learning approach Bolívar, Fernando

64 C p.
article
15 Can cryptocurrencies provide a viable hedging mechanism for benchmark index investors? Kyriazis, Nikolaos

64 C p.
article
16 Central bank digital currencies and the international payment system: The demise of the US dollar? Kuehnlenz, Sophia

64 C p.
article
17 Central bank digital currency and the effectiveness of negative interest rate policy: A DSGE analysis Xin, Baogui

64 C p.
article
18 Central bank digital currency: A systematic literature review using text mining approach Hoang, Yen Hai

64 C p.
article
19 Chief executive officer trustworthiness and green innovation Ullah, Irfan

64 C p.
article
20 Corporate social responsibility, industry concentration, and firm performance: Evidence from emerging Asian economies Saeed, Asif

64 C p.
article
21 Costs of voting and firm performance: Evidence from RegTech adoption in Chinese listed firms Lan, Ge

64 C p.
article
22 COVID-19 and stock returns: Evidence from the Markov switching dependence approach Bouteska, Ahmed

64 C p.
article
23 Culture and bribe giving: Evidence from firm-level data Changwatchai, Piyaphan

64 C p.
article
24 Customer prospects and pay-performance sensitivity: Evidence from Korea Park, Sohee

64 C p.
article
25 Dancing with dragon: The RMB and developing economies’ currencies He, Qing

64 C p.
article
26 Detecting the hidden asymmetric relationship between crude oil and the US dollar: A novel neural Granger causality method Wang, Lu

64 C p.
article
27 Determinants of financial inclusion in South Asia: The moderating and mediating roles of internal conflict settlement Murshed, Muntasir

64 C p.
article
28 Did David win a battle or the war against Goliath? Dynamic return and volatility connectedness between the GameStop stock and the high short interest indices Aharon, David Y.

64 C p.
article
29 Digital financial inclusion. Visualizing the academic literature Gallego-Losada, María-Jesús

64 C p.
article
30 Digital transformation and trade credit provision: Evidence from China Liu, Guangqiang

64 C p.
article
31 Does acquisition lead to the growth of high-tech scale-ups? Evidence from Europe Burger, Anže

64 C p.
article
32 Does economic policy uncertainty drive the dynamic spillover among traditional currencies and cryptocurrencies? The role of the COVID-19 pandemic Al-Shboul, Mohammad

64 C p.
article
33 Does economics and management education make managers more cautious? Evidence from R&D of Chinese listed firms Liu, Guangqiang

64 C p.
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34 Does expected idiosyncratic skewness of firms' profit predict the cross-section of stock returns? Evidence from China Zhang, Qun

64 C p.
article
35 Does high-frequency trading actually improve market liquidity? A comparative study for selected models and measures Karkowska, Renata

64 C p.
article
36 Earnings expectations and interactive discussions with corporate insiders MIWA, KOTARO

64 C p.
article
37 Economic complexity, diversification and economic development: The strategic factors Ben Saad, Myriam

64 C p.
article
38 Economic policy uncertainty and environmental governance company volatility: Evidence from China Lv, Wendai

64 C p.
article
39 Economics of blockchain-based securities settlement Son, Bumho

64 C p.
article
40 Editorial Board
64 C p.
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41 Effect of twitter investor engagement on cryptocurrencies during the COVID-19 pandemic Bouteska, Ahmed

64 C p.
article
42 Employment protection and leverage adjustment speed: Evidence from China Li, Mingming

64 C p.
article
43 Employment protection legislation and R&D investment Tran, Quoc Trung

64 C p.
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44 External technology dependence and manufacturing TFP: Evidence from China Zhang, Cheng

64 C p.
article
45 Forecasting cryptocurrency returns with machine learning Liu, Yujun

64 C p.
article
46 Forecasting for regulatory credit loss derived from the COVID-19 pandemic: A machine learning approach González, Marta Ramos

64 C p.
article
47 Forecasting gold volatility with geopolitical risk indices Li, Xiafei

64 C p.
article
48 Governance and monetary policy impacts on public acceptance of CBDC adoption Ngo, Vu Minh

64 C p.
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49 High-speed rail construction and labor investment efficiency: Evidence from an emerging market Li, Bin

64 C p.
article
50 How do economic policy uncertainty and geopolitical risk drive Bitcoin volatility? Ben Nouir, Jihed

64 C p.
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51 How much finance is in climate finance? A bibliometric review, critiques, and future research directions Carè, R.

64 C p.
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52 How well do investor sentiment and ensemble learning predict Bitcoin prices? Hajek, Petr

64 C p.
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53 Impacts, sustainability, and resilience on the Egyptian tourism and hospitality industry after the Russian airplane crash in 2015 El Atiek, Said

64 C p.
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54 International portfolio diversification and the home bias puzzle Lee, Junyong

64 C p.
article
55 Investigating individual privacy within CBDC: A privacy calculus perspective Jabbar, Abdul

64 C p.
article
56 Investment in gold: A bibliometric review and agenda for future research Pattnaik, Debidutta

64 C p.
article
57 Learning risk preferences from investment portfolios using inverse optimization Yu, Shi

64 C p.
article
58 Local speculative culture and stock price crash risk Zuo, Jingjing

64 C p.
article
59 Long memory in the high frequency cryptocurrency markets using fractal connectivity analysis: The impact of COVID-19 Assaf, Ata

64 C p.
article
60 Machine learning for US cross-industry return predictability under information uncertainty Awijen, Haithem

64 C p.
article
61 Machine learning sentiment analysis, COVID-19 news and stock market reactions Costola, Michele

64 C p.
article
62 Macro-financial implications of central bank digital currencies Rehman, Mubeen Abdur

64 C p.
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63 Making sense and transparency in finance literature: Evidence from trends in readability Lahmar, Oumaima

64 C p.
article
64 Measurement and prediction of systemic risk in China’s banking industry Zhang, Xiaoming

64 C p.
article
65 Mergers and acquisitions in the financial industry: A bibliometric review and future research directions Chiaramonte, Laura

64 C p.
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66 Mutual fund herding and audit pricing Ge, Yao

64 C p.
article
67 New evidence of extreme risk transmission between financial stress and international crude oil markets Hong, Yanran

64 C p.
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68 Nonlinearity in forecasting energy commodity prices: Evidence from a focused time-delayed neural network Bouteska, Ahmed

64 C p.
article
69 Peer effects in corporate advertisement expenditure: Evidence from China Su, Zhifang

64 C p.
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70 Peer effects in financial economics: A literature survey Ali-Rind, Asad

64 C p.
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71 Product market competition and corporate advertising expenditure: Evidence from a natural experiment Cui, Xin

64 C p.
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72 Proposing an interval design feature to Central Bank Digital Currencies Tata, Fidelio

64 C p.
article
73 Quantile connectedness between Chinese stock and commodity futures markets Rehman, Mobeen Ur

64 C p.
article
74 Re-evaluating portfolio diversification and design using cryptocurrencies: Are decentralized cryptocurrencies enough? Khaki, Audil

64 C p.
article
75 Return spillover analysis across central bank digital currency attention and cryptocurrency markets Wang, Yizhi

64 C p.
article
76 Shareholder activism and firms’ performance Barros, Victor

64 C p.
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77 Structure and evolution of the greenfield FDI network along the belt and road Ouyang, Shanshan

64 C p.
article
78 Sustainable finance and blockchain: A systematic review and research agenda Ren, Yi-Shuai

64 C p.
article
79 Tacit vigilance in an emerging economy: An institution-based perspective of passive blockholder monitoring Oh, Hyunjin

64 C p.
article
80 Terrorist attacks and CEO compensation: UK evidence Huang, Wenxuan

64 C p.
article
81 The determinants of issuing central bank digital currencies Alfar, Abdelrahman J.K.

64 C p.
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82 The development fit index of digital currency electronic payment between China and the one belt one road countries Li, Fangmin

64 C p.
article
83 The development of digital payments – Past, present, and future – From the literature Panetta, Ida Claudia

64 C p.
article
84 The dynamics of CEO equity vs. inside debt and firm performance Pollock, Susan

64 C p.
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85 The evolvement of momentum effects in China: Evidence from functional data analysis Li, Bo

64 C p.
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86 The impact of bank FinTech on liquidity creation: Evidence from China Guo, Pin

64 C p.
article
87 The impact of central bank digital currency variation on firm's implied volatility Lee, Chien-Chiang

64 C p.
article
88 The impact of digital transformation of manufacturing on corporate performance — The mediating effect of business model innovation and the moderating effect of innovation capability Zhang, Yimeng

64 C p.
article
89 The impact of energy-exporting countries’ EPUs on China’s energy futures investors: Risk preference, investment position and investment horizon Dai, Xingyu

64 C p.
article
90 The impact of the ESG disclosure on sell-side analysts’ target prices: The new era post Paris agreements Bolognesi, Enrica

64 C p.
article
91 The non-linear response of US state-level tradable and non-tradable inflation to oil shocks: The role of oil-dependence Sheng, Xin

64 C p.
article
92 The value of relationship banking: International evidence Álvarez-Botas, Celia

64 C p.
article
93 Time-varying fund manager skills of socially responsible investing (SRI) funds in developed and emerging markets Jitmaneeroj, Boonlert

64 C p.
article
94 Venture capital financing during crises: A bibliometric review Pandey, Dharen Kumar

64 C p.
article
95 What can we learn about the market reaction to macroeconomic surprise? Evidence from the COVID-19 crisis Bouzgarrou, Houssam

64 C p.
article
                             95 results found
 
 Koninklijke Bibliotheek - National Library of the Netherlands