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                             83 gevonden resultaten
nr titel auteur tijdschrift jaar jaarg. afl. pagina('s) type
1 Agricultural commodities market reaction to COVID-19 Iuga, Iulia Cristina

69 C p.
artikel
2 Analyst optimism and market sentiment: Evidence from European corporate sustainability reporters del Río, Cristina

69 C p.
artikel
3 Annual report readability and trade credit financing: Evidence from China Li, Hong-Quan

69 C p.
artikel
4 A PRISMA systematic review of greenwashing in the banking industry: A call for action Galletta, Simona

69 C p.
artikel
5 Asymmetric dynamics between geopolitical conflict sentiment and cryptomarkets Abakah, Emmanuel Joel Aikins

69 C p.
artikel
6 Bank competition and firm asset- debt maturity mismatch: Evidence from the SMEs in China Li, Bo

69 C p.
artikel
7 Basel liquidity regulation and credit risk market perception: Evidence from large European banks Simion, Giorgia

69 C p.
artikel
8 Bitcoin forks: What drives the branches? Conlon, Thomas

69 C p.
artikel
9 Blockchain markets, green finance investments, and environmental impacts Mzoughi, Hela

69 C p.
artikel
10 Can a self-exciting jump structure better capture the jump behavior of cryptocurrencies? A comparative analysis with the S&P 500 Chen, Yan

69 C p.
artikel
11 CEO narcissism and ESG misconduct Martínez-Ferrero, Jennifer

69 C p.
artikel
12 Commonality in liquidity and corporate default risk - Evidence from China Fu, Yumei

69 C p.
artikel
13 Corporate bond defaults and spillover effects on bank risk: Evidence from city commercial banks in China Gao, Haoyu

69 C p.
artikel
14 Could the Russia-Ukraine war stir up the persistent memory of interconnectivity among Islamic equity markets, energy commodities, and environmental factors? Ghaemi Asl, Mahdi

69 C p.
artikel
15 Decomposition of social networks and household purchase of insurance as knowledge products Shi, Xiaojun

69 C p.
artikel
16 Deleveraging and green technology innovation: Evidence from Chinese listed companies Wang, Si-Meng

69 C p.
artikel
17 Diversification, capital buffer, ownership and credit risk management in microfinance: An investigation on Indonesian rural banks Doddy Ariefianto, Moch.

69 C p.
artikel
18 Do banks price ESG risks? A critical review of empirical research Carnevale, Concetta

69 C p.
artikel
19 Does air pollution affect the accrual anomaly in the Chinese capital market? From the perspective of investment adjustment strategy Hu, Shuya

69 C p.
artikel
20 Does contingent payment in M&As induce acquirers’ earnings management? Evidence from performance commitment Sun, Zeyu

69 C p.
artikel
21 Does ESG affect stock market dependence? An empirical exploration of S&P 1200 companies shows the divergent nature of E–S–G pillars Staněk Gyönyör, Lucie

69 C p.
artikel
22 Does gender matter in financing SMEs in green industry? Arcuri, Maria Cristina

69 C p.
artikel
23 Do ESG scores affect financial systemic risk? Evidence from European banks and insurers Curcio, Domenico

69 C p.
artikel
24 Do international tax treaties govern financial report quality? Chen, Dong

69 C p.
artikel
25 Dynamic interlinkages between carbon risk and volatility of green and renewable energy: A TVP-VAR analysis Ha, Le Thanh

69 C p.
artikel
26 Dynamic spillover between oil price shocks and technology stock indices: A country level analysis Umar, Zaghum

69 C p.
artikel
27 Editorial Board
69 C p.
artikel
28 Environmental strategies, environmental performance and board sustainability committees: Are financial and non-financial companies different? Soana, Maria Gaia

69 C p.
artikel
29 ESG and asset quality in the banking industry: The moderating role of financial performance Cantero-Saiz, María

69 C p.
artikel
30 ESG and FinTech: Are they connected? Galeone, Graziana

69 C p.
artikel
31 ESG and FinTech funding in the EU Giakoumelou, Anastasia

69 C p.
artikel
32 ESG, governance variables and Fintech: An empirical analysis Dicuonzo, Grazia

69 C p.
artikel
33 ESG performance and corporate external financing in China: The role of rating disagreement Guo, Kun

69 C p.
artikel
34 ESG reputational risk and market valuation: Evidence from the European banking industry Mandas, Marco

69 C p.
artikel
35 Exploring the linkages between FinTech and ESG: A bibliometric perspective Trotta, Annarita

69 C p.
artikel
36 Family involvement in management, social trust and the environmental responsibility performance of family firms Tan, Qingmei

69 C p.
artikel
37 Firm-specific new media sentiment and price synchronicity Zhang, Zuochao

69 C p.
artikel
38 Frequency volatility connectedness and portfolio hedging of U.S. energy commodities Kočenda, Evžen

69 C p.
artikel
39 Global de-diversification and stock returns Cheng, Xiao

69 C p.
artikel
40 Greenwashing, bank financial performance and the moderating role of gender diversity Birindelli, Giuliana

69 C p.
artikel
41 How responsive are retail electricity prices to crude oil fluctuations in the US? Time-varying and asymmetric perspectives Luo, Keyu

69 C p.
artikel
42 Impacts of bitcoin on monetary system: Is China's bitcoin ban necessary? Li, Xiao

69 C p.
artikel
43 Imported financial risk in global stock markets: Evidence from the interconnected network Ouyang, Zisheng

69 C p.
artikel
44 Instance-dependent misclassification cost-sensitive learning for default prediction Xing, Jin

69 C p.
artikel
45 Interconnectedness and systemic risk: Evidence from global stock markets Cevik, Emrah Ismail

69 C p.
artikel
46 Interdependence between foreign exchange rate and international reserves: Fresh evidence from China Jiang, Zhuhua

69 C p.
artikel
47 Internal control opinion shopping: Does initial audit fee discounting matter? Liu, Wu-Po

69 C p.
artikel
48 Is the zero-leverage policy a persistent phenomenon? Evidence from Portuguese SMEs Sardo, Filipe

69 C p.
artikel
49 Less is more: Evidence from firms with low cash and debt Chen, Naiwei

69 C p.
artikel
50 Linguistic complexity consideration for advanced risk decision making and handling Lin, Sin-Jin

69 C p.
artikel
51 Liquidity risk and expected returns in China’s stock market: A multidimensional liquidity approach Dong, Liang

69 C p.
artikel
52 Managerial ability and firm’s tweeting activity Kim, Bumjoon

69 C p.
artikel
53 Metaverse tokens or metaverse stocks – Who’s the boss? Aharon, David Y.

69 C p.
artikel
54 Monetary policy and currency variance risk premia Dossani, Asad

69 C p.
artikel
55 Performance of crypto-Forex portfolios based on intraday data Esparcia, Carlos

69 C p.
artikel
56 Quality acceleration and cross-sectional returns: Empirical evidence Ma, Yao

69 C p.
artikel
57 R&D tax incentive policy, intellectual property right protection, and corporate innovation in an emerging market Tang, Jinghua

69 C p.
artikel
58 Relationship between real estate tokens and other asset classes: Evidence from quantile connectedness approach Yousaf, Imran

69 C p.
artikel
59 Reputational contagion from the Silicon Valley Bank debacle Ali, Shoaib

69 C p.
artikel
60 Responsible risk-taking and the CSP-financial performance relation in the banking sector: A mediation analysis Conte, Danilo

69 C p.
artikel
61 Retail investors matter: The value of corporate interactions Huang, Li

69 C p.
artikel
62 Return and volatility spillovers among oil price shocks and international green bond markets Umar, Zaghum

69 C p.
artikel
63 Return spillover across the carbon market and financial markets: A quantile-based approach Wen, Fenghua

69 C p.
artikel
64 Rookie independent directors and audit fees: Evidence from China Cao, Feng

69 C p.
artikel
65 Sequential management of energy and low-carbon portfolios Gargallo, Pilar

69 C p.
artikel
66 Social credit and corporate risk-taking: Evidence from China Tao, Yunqing

69 C p.
artikel
67 Socially responsible investments: doing good while doing well in developed versus emerging markets? Lestari, Jenjang Sri

69 C p.
artikel
68 Spillovers and hedging effectiveness between oil and US equity sectors: Evidence from the COVID pre- and post-vaccination phases Yousaf, Imran

69 C p.
artikel
69 Sustainability and bank credit access: New evidence from Italian SMEs D’Apolito, Elisabetta

69 C p.
artikel
70 Tax avoidance, investor protection, and investment inefficiency: An international evidence BENKRAIEM, Ramzi

69 C p.
artikel
71 The effect of digitalized tax administration on stock price crash risk: A natural experiment in China Wang, Deli

69 C p.
artikel
72 The effect of voluntary international financial reporting standards adoption on information asymmetry in the stock market: Evidence from Japan Kim, Jong-Hoon

69 C p.
artikel
73 The geographic distance of independent directors and stock price crash risk: Evidence from China Su, Kun

69 C p.
artikel
74 The impact of ECB’s Quantitative Easing on cryptocurrency markets during times of crisis Aloui, Donia

69 C p.
artikel
75 The impact of enterprise digital transformation on risk-taking: Evidence from China Luo, Wenbing

69 C p.
artikel
76 The impact of FinTech innovation on digital financial literacy in Europe: Insights from the banking industry Ferilli, Greta Benedetta

69 C p.
artikel
77 The interconnectedness of European Banking and Shadow Banking for sustainable development goals: Insights from a network GVAR model Konstantakis, Konstantinos N.

69 C p.
artikel
78 The relationship between share pledge and corporate performance: Does corporate governance matter? Cheng, Teng Yuan

69 C p.
artikel
79 The secret of imitating wrongdoing: Accidental or deliberate Chen, Fengwen

69 C p.
artikel
80 Understanding the impact of the financial technology revolution on systemic risk: Evidence from US and EU diversified financials Curcio, Domenico

69 C p.
artikel
81 US inflation and global commodity prices: Asymmetric interdependence Pan, Zhigang

69 C p.
artikel
82 Why do banks issue equity? He, Liangliang

69 C p.
artikel
83 Worldwide board reforms and financial reporting quality Chen, Ruiyuan (Ryan)

69 C p.
artikel
                             83 gevonden resultaten
 
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