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The Impact of Financial Development and Financial Inclusion on Income Inequality: Evidence from OECD Countries
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Renewable Energy, Environment and GDP in High-Income Countries: Evidence from Europe
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Government Intervention, Institutional Quality, and Income Inequality: Evidence from Asia and the Pacific, 1988–2014
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The heterogeneous impact of inflation on households’ balance sheets
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When Convergence is Crisis-Driven:Evidence From Unemployment Dynamics Across Czech Districts
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Financial inclusion, remittances and household consumption in sub-Saharan Africa: Evidence from the application of an endogenous threshold dynamic panel model
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Financial inclusion and economic growth in Vietnam: Evidence across provinces and income groups
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The Impact of Corruption on Inflation: An Analysis of Low-Medium Income Countries
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The Impact of Green Skills Mismatches on Green Job Creation: Evidence from North Macedonia
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The Impact of Earnings Management on the Efficiency and Stability of Islamic and Conventional Banks: Evidence from Pakistan
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Are Albanian Households Financially Fragile?
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IMPACT OF STRATEGIC MANAGEMENT ACCOUNTING ON FIRM’S FINANCIAL PERFORMANCE: EVIDENCE FROM BANGLADESH’S MANUFACTURING SECTOR
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THE IMPACTS OF CHARACTERISTICS OF HOMETOWN CONNECTEDNESS BETWEEN AUDITORS AND EXECUTIVES ON AUDIT QUALITY: EVIDENCE FROM CHINA
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Attitudes towards income inequality and trust: An analysis by income class in Poland
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DETERMINANTS OF RENTAL INCOME TAX COMPLIANCE AMONG RENT INCOME EARNERS IN GHANA
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Examining the Livelihood of Self-Settled Refugees in Uganda: The Prospects and Challenges
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The Impact of Stock Markets, Interest Rates, and Exchange Rates on Credit Default Swap Premiums: Evidence from Advanced and Emerging Economies
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Algorithmic trading, liquidity and volatility: Evidence from Poland
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Tourism, Institutions, and the Paradox of Inclusion: How Institutional Quality Moderates Tourism’s Impact on Inclusive Growth in High-Income European Countries
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Research on the Impact of Financial Development and Human Capital on the Sustainable Development Goals in Central and Eastern European Countries (CEECs): Evidence from Econometric Approaches
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Political connection and corporate ESG performance: Evidence from China
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REVISITING THE DISTANCE PUZZLE: STRUCTURAL GRAVITY EVIDENCE FROM TURKIYE
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Horizontal Mismatch and Labor Market Outcomes: Evidence from Kosovo
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FACTORS AFFECTING RISK DISCLOSURE: EVIDENCE FROM A DEVELOPING COUNTRY