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ESG Reporting and Analysts' Recommendations in GCC: The Moderation Role of Royal Family Directors.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020072
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Investor Intention in Equity Crowdfunding. Does Trust Matter?
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020053
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Time-Consistent Investment and Consumption Strategies under a General Discount Function.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020086
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Small and Medium-Sized Enterprises, Business Demography and European Socio-Economic Model: Does the Paradigm Really Converge?
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020064
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Idiosyncratic Viral Loss Theory: Systemic Operational Losses in Banks.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020082
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What Has Driven the U.S. Monthly Oil Production Since 2009? Empirical Results from Two Modeling Approaches.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020081
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Inconsistent Definitions of Money and Currency in Financial Legislation as a Threat to Innovation and Sustainability.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020055
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How Does COVID-19 Affect House Prices? A Cross-City Analysis.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020047
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Granger Causal Nexus between Good Public Governance and Unemployment: Evidence from Cross-Country Panel Data Investigation.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020063
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Diversification Can Control Probability of Default or Risk, but Not Both.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020073
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Valuing Dynamic Capabilities-Based Synergies with Real Options.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020069
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Trade and Infrastructure in the Belt and Road Initiative: A Gravity Analysis Based on Revealed Trade Preferences.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020052
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- Article
Sustainability in the European Union: Analyzing the Discourse of the European Green Deal.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020080
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Corporate Finance.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020044
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The Evolution of Arrears among US Households 1995-2013.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020043
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Optimization of Inventory Holding Cost Due to Price, Weight, and Volume of Items.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020065
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Natural Resources Volatility and Economic Growth: Evidence from the Resource-Rich Region.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020084
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Direct and Indirect Effects of Investment Incentives in Slovakia.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020056
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Do Political Economy Factors In?uence Funding Allocations for Disaster Risk Reduction?
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020085
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- Article
Does the Design of Stablecoins Impact Their Volatility?
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020042
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E.U. and China Trends in Trade in Challenging Times.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020071
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Application of the 4Es in Online Crowdfunding Platforms: A Comparative Perspective of Germany and China.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020049
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Crowdsourcing in Sustainable Retail--A Theoretical Framework of Success Criteria.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020087
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The Relationship between Yield Curve and Economic Activity: An Analysis of G7 Countries.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020062
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Dynamic Effects of Material Production and Environmental Sustainability on Economic Vitality Indicators: A Panel VAR Approach.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020074
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The Impact of Innovation and Information Technology on Greenhouse Gas Emissions: A Case of the Visegrád Countries.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020059
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ESG Disclosures and Stock Price Crash Risk.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020070
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The Interplay between Board Characteristics, Financial Performance, and Risk Management Disclosure in the Financial Services Sector: New Empirical Evidence from Europe.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020079
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Troubles with the Chf Loans in Croatia: The Story of a Case Still Waiting to Be Closed.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020075
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Tax Progressivity of Personal Wages and Income Inequality.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020060
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Fine Art Insurance Policies and Risk Perceptions: The Case of Malta.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020066
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Transformational Approach to Analytical Value-at-Risk for near Normal Distributions.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020051
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An Artificial Intelligence Approach to the Valuation of American-Style Derivatives: A Use of Particle Swarm Optimization.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020057
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Lost in Missions? Employees as a Top Strategic Priority of the World's Biggest Banks.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020046
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A Random Forests Approach to Predicting Clean Energy Stock Prices.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020048
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Modeling Study on Risk Identification in the Process of Anti-Crisis Enterprise Management.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020067
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Does the Croatian Stock Market Have Seasonal Affective Disorder?
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020089
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Exploring Risks in the Adoption of Business Intelligence in SMEs Using the TOE Framework.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020058
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Evaluation of the Accuracy of Machine Learning Predictions of the Czech Republic's Exports to the China.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020076
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Know Your Clients' Behaviours: A Cluster Analysis of Financial Transactions.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020050
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Banks' Foreign Claims in the Aftermath of the 2008 Crisis: Institutional Response, Financial Efficiency, and Integration of Cross-Border Banking in the Euro Area.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020061
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Observation Time Effects in Reinforcement Learning on Contracts for Difference.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020054
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Examining the Impact of Financial Development on Energy Production in Emerging Economies.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020088
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Movie Title Keywords: A Text Mining and Exploratory Factor Analysis of Popular Movies in the United States and China.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020068
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- Article
Use of Derivative and Firm Performance: Evidence from the Chinese Shenzhen Stock Exchange.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020083
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Sample Path Generation of the Stochastic Volatility CGMY Process and Its Application to Path-Dependent Option Pricing.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020077
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Methodological Tools for Investment Risk Assessment for the Companies of Real Economy Sector.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 2, p. 1, doi. 10.3390/jrfm14020078
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- Article