Journal of Risk and Financial Management, MDPI

ISSN: 1911-8074

Collection's Items (Sorted by Title in Descending order): 1 to 20 of 1439
Year of PublicationTitleAuthor(s)
2022 Measurement of economic forecast accuracy: A systematic overview of the empirical literatureButurac, Goran
2022 Methodological foundations of the risk of the stock markets of developed and developing countries in the conditions of the crisisBurkalʹceva, D. D.; Niyazbekova, Shakizada; Borsch, Lyudmila; Jallal, Mir Abdul Kayum; Apatova, Nataliya; Nurpeisova, Ardak; Semenov, Alexander; Zhansagimova, Ayagoz
2022 Exchange rate forecasting with advanced machine learning methodsPfahler, Jonathan Felix
2022 Economic trends in the transition into a circular bioeconomyKircher, Manfred
2022 What effects could global value chain and digital infrastructure development policies have on poverty and inequality after COVID-19?Del Carpio, Ximena V.; Cuesta, José; Kugler, Maurice; Hernández, Gustavo; Piraquive, Gabriel
2022 Effect of COVID-19 on international trade among the Visegrad countriesUgurlu, Erginbay; Jindřichovská, Irena
2022 Measuring the financial liberalization index for PakistanIdrees, Muhammad; Hayat, Umar; Rădulescu, Magdalena; Alam, Md Shabbir; Rehman, Abdul; Panait, Mirela
2022 Children and life-cycle consumptionGrant, Charles B.
2022 Corporate taxation and firm-specific determinants of capital structure: Evidence from the UK and US multinational firmsAli, Sarmad; Rangone, Adalberto; Farooq, Muhammad
2022 Eurozone stock market reaction to monetary policy interventions and other covariatesPetrakis, Nikolaos; Lemonakis, Christos; Floros, Christos; Zopounidis, Constantin
2022 From fragility to resilience: How prepared was the Romanian business environment to face the COVID-19 crisis?Demyen, Suzana
2022 Xenocentrism and consumer buying behavior: A comparative analysis of Malaysian vs. Nigerian consumersVenugopal, Vimala; Mata, Mário Nuno; Iloka, Chiemelie Benneth; Dantas, Rui D.; Batista, Anabela; Rita, João Xavier; Martins, José Moleiro
2022 Evidence of economic policy uncertainty and COVID-19 pandemic on global stock returnsChiang, Thomas C.
2022 Hierarchical time-varying estimation of asset pricing modelsBaillie, Richard; Calonaci, Fabio; Kapetanios, George
2022 The effects of the COVID-19 crisis on risk factors and option-implied expected market risk premia: An international perspectiveNieto Domenech, Belen; Rubio, Gonzalo
2022 Integrated intellectual investment portfolio as an efficient instrument to manage personal financial investmentRutkauskas, Aleksandras Vytautas; Stasytytė, Viktorija
2022 Simulating multi-asset classes prices using Wasserstein Generative Adversarial Network: A study of stocks, futures and cryptocurrencyHan, Feng; Ma, Xiaojuan; Zhang, Jiheng
2022 The capitalist spirit and endogenous growthKumar, Ronald Ravinesh; Stauvermann, Peter; Wernitz, Frank
2022 Time-discrete hedging of down-and-out puts with overnight trading gapsBaule, Rainer; Rosenthal, Philip
2022 Cluster enterprise comprehensive risk assessment: Methodology based on the functional-target approachVertakova, Yulia; Izmalkova, Irina; Leontyev, Evgeniy
Collection's Items (Sorted by Title in Descending order): 1 to 20 of 1439