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Enterprise Risk Management: A Literature Review and Agenda for Future Research.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110281
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Investor Sentiment, Portfolio Returns, and Macroeconomic Variables.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110259
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Determinants of German Direct Investment in CEE Countries.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110268
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Bayesian Econometrics.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110257
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Barriers to Financial Innovation--Corporate Finance Perspective.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110273
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Creative Accounting as an Apparatus for Reporting Profits in Agribusiness.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110261
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Mixed Methods Utilisation in Innovation Management Research: A Systematic Literature Review and Meta-Summary.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110252
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Neural Network Models for Empirical Finance.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110265
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CoCDaR and mCoCDaR: New Approach for Measurement of Systemic Risk Contributions.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110270
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Does the Hashrate Affect the Bitcoin Price?
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110263
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Ageing Society and SARS-CoV-2 Mortality: Does the Healthcare Absorptive Capacity Matter?
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110277
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A New Application for the Goal Programming--The Target Decision Rule for Uncertain Problems.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110280
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Domestic and International Drivers of the Demand for Water Resources in the Context of Water Scarcity: A Cross-Country Study.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110255
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Propensity Score Weighting with Mismeasured Covariates: An Application to Two Financial Literacy Interventions.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110290
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Higher-Order Risk--Returns to Education.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110253
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Forecasting the Returns of Cryptocurrency: A Model Averaging Approach.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110278
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Latent Segmentation of Stock Trading Strategies Using Multi-Modal Imitation Learning.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110250
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Does Short-Termism Influence the Market Value of Companies? Evidence from EU Countries.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110272
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Decision Analysis on Sustainable Value: Comparison of the London and Taiwan Markets for Product Integration of Family Security Services and Residential Fire Insurance.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110266
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Neural Network Predictive Modeling on Dynamic Portfolio Management--A Simulation-Based Portfolio Optimization Approach.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110285
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Will the Aviation Industry Have a Bright Future after the COVID-19 Outbreak? Evidence from Chinese Airport Shipping Sector.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110276
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The Aumann--Serrano Performance Index for Multi-Period Gambles in Stock Data.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110288
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The Changing Dynamics of Board Independence: A Copula Based Quantile Regression Approach.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110254
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Global FDI Inflow and Its Implication across Economic Income Groups.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110291
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Challenges and Solutions for Integrating and Financing Personalized Medicine in Healthcare Systems: A Systematic Literature Review.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110283
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Corporate Governance and Earnings Management in a Nordic Perspective: Evidence from the Oslo Stock Exchange.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110256
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Barriers to Green Entrepreneurship: An ISM-Based Investigation.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110249
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Application of Genetic Algorithm to Optimal Income Taxation.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110251
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Technology Acquisition and SMEs Performance, the Role of Innovation, Export and the Perception of Owner-Managers.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110258
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The Environmental Kuznets Curve with Recycling: A Partially Linear Semiparametric Approach.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110274
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Sustainable Entrepreneurship in the Transport and Retail Supply Chain Sector.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110267
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Bank Profitability and Efficiency in Portugal and Spain: A Non-Linearity Approach.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110284
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Overreaction in the REITs Market: New Evidence from Quantile Autoregression Approach.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110282
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Dynamic Connectedness between Bitcoin, Gold, and Crude Oil Volatilities and Returns.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110275
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Culture of Sustainability and Marketing Orientation of Indian Agribusiness in implementing CSR Programs--Insights from Emerging Market.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110269
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Effects of IPO Offer Price Ranges on Initial Subscription, Initial Turnover and Ownership Structure--Evidence from Indian IPO Market.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110279
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The Environmental Kuznets Curve: A Semiparametric Approach with Cross-Sectional Dependence.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110292
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Digital Payments, the Cashless Economy, and Financial Inclusion in the United Arab Emirates: Why Is Everyone Still Transacting in Cash?
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110260
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Recent Advancements in Section "Economics and Finance".
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110289
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Challenges and Trends in Sustainable Corporate Finance: A Bibliometric Systematic Review.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110264
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The Determinants of the Performance of Precious Metal Mutual Funds.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110286
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Emergency Management in Resolving an Emergency Situation.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110262
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A Hausman Test for Partially Linear Models with an Application to Implied Volatility Surface.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110287
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Economic Advantages of Community Currencies.
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- Journal of Risk & Financial Management, 2020, v. 13, n. 11, p. 1, doi. 10.3390/jrfm13110271
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