ACRN Journal of Finance and Risk Perspectives (JOFRP), ACRN Oxford Research Network

ISSN: 2305-7394

Publikationen (sortiert nach Titel in absteigender Richtung): 1 bis 20 von 39
ErscheinungsjahrTitelAutor:innen
2022A comparison of market risk measures from a twofold perspective: Accurate and loss functionMuela, Sonia Benito; López-Martin, Carmen; Arguedas-Sanz, Raquel
2022The implication of corporate social responsibility on the strategic risk of the listed firms in NigeriaChondough, Stephanie M.
2022Reconstruction of the Slippery Slope Framework tax compliance modelDarmayasa, I Nyoman; Arsana, I Made Marsa; Putrayasa, I Made Agus
2022Does transaction atmosphere influence the decision-making behaviour of investors?Hangl, Christa; Ortner, Matthias Benjamin
2022Does IFRS 7 disclosure weaken earnings management? Evidence from Indonesian conventional commercial banksValdiansyah, Riyan Harbi; Murwaningsari, Etty; Mayangsari, Sekar
2022Currency momentum: An emerging market issue?Schober, Maik; Gehrke, Matthias
2022The impact of real manipulation and tax management on future market value: An artificial intelligence simulation of high earnings qualitySiladjaja, Muljanto; Anwar, Yuli; Djan, Ismulyana
2022Risk factors in the German stock market: Can sentiment improve the performance of traditional multifactor models?Hövel, Emile David; Gehrke, Matthias
2022The role of forensic auditing techniques in preventing non-government organisations' financial statement fraud in South Africa using a proactive approachMvunabandi, Jean Damascene; Nomlala, Bomi Cyril
2022Does ERM sophistication drive IPO initial performance in emerging market? Evidence from Malaysian marketNorliza Che Yahya; Siti Sarah Alyasa-Gan; Rasidah Mohd-Rashid
2021Analysis of option trading strategies based on the relation of implied and realized S&P500 volatilitiesBrunhuemer, Alexander; Larcher, Gerhard; Larcher, Lukas
2021Beyond the three lines of defense: The five lines of defense model for financial institutionsVousinas, Georgios L.
2021Price, volatility and the second-order economic theoryOlkhov, Victor
2021Nordic green bond issuers' views on the upcoming EU Green Bond StandardBjörkholm, Linn; Lehner, Othmar M.
2021Basel capital requirements, portfolio shift and bank lending in AfricaOyetade, Damilola; Obalade, Adefemi Alamu; Muzindutsi, Paul-Francois
2021Discriminating between Islamic and conventional banks in term of cost efficiency with combination of credit risk and interest rate margin in the GCC countries: Does Arab Spring revolution matter?Gassouma, Mohamed Sadok; Ghroubi, Mohamed
2021Are strategies for international diversification by country, industry and region equivalent?Ghilal, Rachid; Marhfor, Ahmed; MacZali, Bouchra; Lilti, Jean-Jacques
2021The value of political independent supervisory boards: Evidence from Indonesian dual board settingJoni, Joni; Widjaja, Jahja Hamdani; Natalia, Maria; Salim, Ivan Junius
2021The impact of financial sector sustainability guidelines and regulations on the financial stability of South American banksAlguindigue Ruiz, Pedro Ildemaro; Weber, Olaf
2021Corporate social responsibility as a managerial learning processMarhfor, Ahmed; Bouslah, Kais; MacZali, Bouchra
Publikationen (sortiert nach Titel in absteigender Richtung): 1 bis 20 von 39
Browsen