Found: 43
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Gamesmanship and Seasonality in U.S. Stock Returns.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050206
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The Impact of Bank Specific and Macro-Economic Factors on Non-Performing Loans in the Banking Sector: Evidence from an Emerging Economy.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050217
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Stress Testing and Systemic Risk Measures Using Elliptical Conditional Multivariate Probabilities.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050213
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Month-End Regularities in the Overnight Bank Funding Markets.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050204
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Do Financial Professionals Process Information Better as a Group Than Non-Professionals?
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050230
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- Article
The Influence of Oil Prices on Equity Returns of Canadian Energy Firms.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050226
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- Article
The Nexus between Financial Performance and Equilibrium: Empirical Evidence on Publicly Traded Companies from the Global Financial Crisis Up to the COVID-19 Pandemic.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050218
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Financial Contagion: A Tale of Three Bubbles.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050229
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Effects of the 2008 Financial Crisis and COVID-19 Pandemic on the Dynamic Relationship between the Chinese and International Fossil Fuel Markets.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050207
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Effects of R&D Investments and Market Signals on International Acquisitions: Evidence from IPO Firms.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050191
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- Article
Evaluation of Market with Accommodation Facilities Considering Risk Influence--Case Study Slovakia.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050208
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- Article
Empirical Estimation of Intraday Yield Curves on the Italian Interbank Credit Market e-MID.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050212
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- Article
Post-Disaster Spillovers: Evidence from Iranian Provinces.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050193
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- Article
Large Deviations for a Class of Multivariate Heavy-Tailed Risk Processes Used in Insurance and Finance.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050202
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- Article
Spillovers of the COVID-19 Pandemic: Impact on Global Economic Activity, the Stock Market, and the Energy Sector.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050200
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International Capital Flows and Speculation.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050197
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- Article
The Effect of Industry Restructuring on Peer Firms.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050205
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- Article
Benchmarking--A Way of Finding Risk Factors in Business Performance.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050221
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- Article
Debt Market Trends and Predictors of Specialization: An Analysis of Pakistani Corporate Sector.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050224
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Legitimacy and Reciprocal Altruism in Donation-Based Crowdfunding: Evidence from India.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050194
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- Article
Model of Assessing the Overdue Debts in a Commercial Bank Using Neuro-Fuzzy Technologies.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050216
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Insuring Hollywood: A Movie Returns Index and the American Stock Market.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050189
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An Analytic Approach for Pricing American Options with Regime Switching.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050188
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A Systematic and Critical Review on the Research Landscape of Finance in Vietnam from 2008 to 2020.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050219
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- Article
Preference between Individual Products and Bundles: Effects of Complementary, Price, and Discount Level in Portugal.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050192
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Short-Term Capital Flows, Exchange Rate Expectation and Currency Internationalization: Evidence from China.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050223
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- Article
Firm, Industry and Macroeconomics Dynamics of Stock Returns: A Case of Pakistan Non-Financial Sector.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050190
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Artificial Intelligence Factory, Data Risk, and VCs' Mediation: The Case of ByteDance, an AI-Powered Startup.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050203
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CEO-Employee Pay Gap, Productivity and Value Creation.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050196
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- Article
Data-Driven Services in Insurance: Potential Evolution and Impact in the Swiss Market.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050227
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Predicting Firms' Financial Distress: An Empirical Analysis Using the F-Score Model.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050199
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Predicting Gold and Silver Price Direction Using Tree-Based Classifiers.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050198
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- Article
The Heterogeneous Impact of Financialisation on Economic Growth in the Long Run.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050209
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Risk Management Practices by South African Universities: An Annual Report Disclosure Analysis.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050195
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How to Design Cryptocurrency Value and How to Secure Its Sustainability in the Market.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050210
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The Application of Graphic Methods and the DEA in Predicting the Risk of Bankruptcy.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050220
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New Dataset for Forecasting Realized Volatility: Is the Tokyo Stock Exchange Co-Location Dataset Helpful for Expansion of the Heterogeneous Autoregressive Model in the Japanese Stock Market?
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050215
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Firm Credit Scoring: A Series Two-Stage DEA Bootstrapped Approach.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050214
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Modeling of Bank Credit Risk Management Using the Cost Risk Model.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050211
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Risk Management: Exploring Emerging Human Resource Issues during the COVID-19 Pandemic.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050228
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Risk Spillover during the COVID-19 Global Pandemic and Portfolio Management.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050222
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Portfolio Optimization Constrained by Performance Attribution.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050201
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Multiscale Stochastic Volatility Model with Heavy Tails and Leverage Effects.
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- Journal of Risk & Financial Management, 2021, v. 14, n. 5, p. 1, doi. 10.3390/jrfm14050225
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- Article