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Volatility spillovers and portfolio risk management: evidence from Pakistan and international stock markets
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When crises hit: Volatility, price discovery leadership, and causal linkages among WTI, Brent, and Shanghai crude oil futures
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How to Improve the Price Discovery Function of China's Stock Index Futures Market
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Do Islamic and Conventional Indices React Differently to Monetary Policy Surprises?
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Untying the Relationship Between R&D and Firm’s Performance: A Mediation Analysis of BSE Listed Companies in India
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Speed, order cancellation, and market quality in electronic financial markets
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Artificial Intelligence in Central Banking: A Nexus for the Future
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Does Corruption Affect Non-Performing Loans in Central and Eastern Europe?
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Financial Integration and Growth: Are the Effects Shaped by Country Income Levels and Trade Liberalization?
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Tax Compliance among Managers: Evidence from Randomized Audits1
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Diversification for Stock Markets: Commodities or Crypto
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Forecasting bubbles in the rare whiskies market from the Generalized Supremum ADF test
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Heterogeneity in Effective Tax Rate Trends: Evidence from Finnish Corporate Tax Returns
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US-China tension relationship and the cross-section of stock returns: evidence from China
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IMPACT OF INTANGIBLE ASSETS ON MARKET VALUE: AN ANALYSIS OF TÜRKIYE*
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The “Lean vs. Clean” Debate in Monetary Policy: New Evidence
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Monetary Policy Effectiveness under a Currency Board Regime: Evidence from Bosnia & Herzegovina
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The Role of ESG Factors in Enhancing Stock Liquidity and Analyst Forecast Accuracy: Evidence from the Johannesburg Stock Exchange
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Analysis of Hedging Performance across Asia-pacific Equity Futures: Static vs. Dynamic hedge ratio models
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Tangibility, Risk, Resilience, and Growth in U.S. Credit Unions: Evidence from Planned and Shock-Driven Non-Loan Assets
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Advanced GARCH Modeling Techniques and Risk-Return Relationship in the Vietnamese Stock Market
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Efficiency of Operational Activity of Commercial Banks in Romania
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Firm carbon risk exposure, stock returns, and dividend payment: evidence from EURO STOXX 600 non-financial companies
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Bank Diversification and Performance Nexus: Theoretical and Empirical Insights from South Asia