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Tax Compliance in Slovenia: An Empirical Assessment of Tax Knowledge and Fairness Perception.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 89, doi. 10.3390/jrfm17030089
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Revisiting Stock Market Index for the Helsinki Stock Exchange 1912–1981.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 90, doi. 10.3390/jrfm17030090
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Impact of the Environmental, Social, and Governance Rating on the Cost of Capital: Evidence from the S&P 500.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 91, doi. 10.3390/jrfm17030091
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Algorithm-Based Low-Frequency Trading Using a Stochastic Oscillator and William%R: A Case Study on the U.S. and Korean Indices.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 92, doi. 10.3390/jrfm17030092
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Exploring Competence-Based Synergism in Strategic Collaborations: Evidence from the Global Healthcare Industry.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 93, doi. 10.3390/jrfm17030093
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Bibliometric Framing of Research Trends Regarding Public Sector Auditing to Fight Corruption and Prevent Fraud.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 94, doi. 10.3390/jrfm17030094
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Operational Risk Management in Banks: A Bibliometric Analysis and Opportunities for Future Research.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 95, doi. 10.3390/jrfm17030095
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- Article
How Australia Has Been Affected by US Monetary and Fiscal Policies: 1960 to 2022.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 96, doi. 10.3390/jrfm17030096
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Exploring the Relationship between Corporate Governance, Corporate Social Responsibility and Financial and Non-Financial Reporting: A Study of Large Companies in Greece.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 97, doi. 10.3390/jrfm17030097
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- Article
Enhancing Predictive Accuracy through the Analysis of Banking Time Series: A Case Study from the Amman Stock Exchange.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 98, doi. 10.3390/jrfm17030098
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Double Asymmetric Impacts, Dynamic Correlations, and Risk Management Amidst Market Risks: A Comparative Study between the US and China.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 99, doi. 10.3390/jrfm17030099
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On Comparing and Assessing Robustness of Some Popular Non-Stationary BINAR(1) Models.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 100, doi. 10.3390/jrfm17030100
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- Article
The Effects of Geopolitical Risk on Foreign Direct Investment in a Transition Economy: Evidence from Vietnam.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 101, doi. 10.3390/jrfm17030101
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Long-Term Orientation and Tax Avoidance Regulations.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 102, doi. 10.3390/jrfm17030102
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- Article
The Impact of Non-Interest Income on Commercial Bank Profitability in the Middle East and North Africa (MENA) Region.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 103, doi. 10.3390/jrfm17030103
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- Article
Predictive Power of Random Forests in Analyzing Risk Management in Islamic Banking.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 104, doi. 10.3390/jrfm17030104
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Financial Inclusion and Its Ripple Effects on Socio-Economic Development: A Comprehensive Review.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 105, doi. 10.3390/jrfm17030105
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- Article
Did Emotional Intelligence Traits Mitigate COVID-19 Uncertainty Effects on Financial Institutions' Board Decision-Making Process?
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 106, doi. 10.3390/jrfm17030106
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- Article
Evaluation of Weather Yield Index Insurance Exposed to Deluge Risk: The Case of Sugarcane in Thailand.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 107, doi. 10.3390/jrfm17030107
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FinTech and Financial Inclusion: Exploring the Mediating Role of Digital Financial Literacy and the Moderating Influence of Perceived Regulatory Support.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 108, doi. 10.3390/jrfm17030108
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The Investigation of Preference Attributes of Indonesian Mobile Banking Users to Develop a Strategy for Mobile Banking Adoption.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 109, doi. 10.3390/jrfm17030109
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Bidirectional Risk Spillovers between Chinese and Asian Stock Markets: A Dynamic Copula-EVT-CoVaR Approach.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 110, doi. 10.3390/jrfm17030110
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A Bibliometric Analysis of Borrowers' Behavior.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 111, doi. 10.3390/jrfm17030111
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Impacts of the Expected Credit Loss Model on Pro-Cyclicality, Earnings Management, and Equity Management in the Portuguese Banking Sector.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 112, doi. 10.3390/jrfm17030112
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- Article
The Relation between CEO-Friendly Boards and the Value of Cash Holdings.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 113, doi. 10.3390/jrfm17030113
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Asymmetric Effects of Economic Policy Uncertainty on Food Security in Nigeria.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 114, doi. 10.3390/jrfm17030114
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Bank Loan Loss Provision Determinants in Non-Crisis Years: Evidence from African, European, and Asian Countries.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 115, doi. 10.3390/jrfm17030115
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Macroeconomic Shocks and Economic Performance in Malaysia: A Sectoral Analysis.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 116, doi. 10.3390/jrfm17030116
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Analysis of Long-Term Bond Yields Using Deviations from Covered Interest Rate Parity.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 117, doi. 10.3390/jrfm17030117
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The Benefits of Workforce Well-Being on Profitability in Listed Companies: A Comparative Analysis between Europe and Mexico from an ESG Investor Perspective.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 118, doi. 10.3390/jrfm17030118
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Digital Literacy, Insurtech Adoption and Insurance Inclusion in Uganda.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 119, doi. 10.3390/jrfm17030119
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Predicting Risk of and Motives behind Fraud in Financial Statements of Jordanian Industrial Firms Using Hexagon Theory.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 120, doi. 10.3390/jrfm17030120
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Renewable Energy Stocks' Performance and Climate Risk: An Empirical Analysis.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 121, doi. 10.3390/jrfm17030121
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Gold Smuggling in India and Its Effect on the Bullion Industry.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 122, doi. 10.3390/jrfm17030122
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Volatility Spillover from Carbon Prices to Stock Prices: Evidence from China's Carbon Emission Trading Markets.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 123, doi. 10.3390/jrfm17030123
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The Moderating Role of Corporate Governance on the Associations of Internal Audit and Its Quality with the Financial Reporting Quality: The Case of Yemeni Banks.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 124, doi. 10.3390/jrfm17030124
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Analyzing Portfolio Optimization in Cryptocurrency Markets: A Comparative Study of Short-Term Investment Strategies Using Hourly Data Approach.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 125, doi. 10.3390/jrfm17030125
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Trade Agreements and Financial Market Integration in Latin America and the US.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 126, doi. 10.3390/jrfm17030126
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The Current and Expected Pricing Markup as Derived from the Capital Asset Pricing Model and Tobin's Q and Applied to the UK's FTSE 100.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 127, doi. 10.3390/jrfm17030127
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Segmenting Bitcoin Transactions for Price Movement Prediction.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 128, doi. 10.3390/jrfm17030128
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The Impact of CEO Characteristics on the Financial Performance of Family Businesses Listed in the Euronext Exchange.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 129, doi. 10.3390/jrfm17030129
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Empirical Distribution of the U.S. Housing Market during the Great Recession: Nonlinear Scaling Behavior after a Major Crash.
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- Journal of Risk & Financial Management, 2024, v. 17, n. 3, p. 130, doi. 10.3390/jrfm17030130
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