Skip navigation
A service of the
zbw
Contact
|
Imprint
|
Privacy
|
Sitemap
|
Accessibility
|
Deutsch
Home
About EconStor
About EconStor
Advisory Board
Policy
News
Terms of use
Usage statistics
Submit
for:
institutions
authors
Search
Browse by
Author
Year of Publication
Document Type
Communities & Collections
Journals
Monographs (by Publishers)
References
FAQ
Open Access
Contact
Imprint
Privacy
Sitemap
Deutsch
Home
About EconStor
Advisory Board
Policy
submit for institutions
submit for authors
Search
browse by Author
browse by Year of Publication
browse by Document Type
browse by Communities & Collections
browse by Journals
browse by Monographs (by Publishers)
News
Terms of use
Usage statistics
References
FAQ
Open Access
EconStor
MDPI – Multidisciplinary Digital Publishing Institute, Basel
Journal of Risk and Financial Management, MDPI
Search
Search in:
All of EconStor
MDPI – Multidisciplinary Digital Publishing Institute, Basel
Journal of Risk and Financial Management, MDPI
for
Start a new search
Add filters:
Use filters to refine the search results.
Title
Author
Subject
DDC
Date Issued
Has File(s)
Filename
File description
id
jel
series
language (ISO)
document type
ISBN
citation
ppn
Journal - issue
Journal - volume
Equals
Contains
ID
Not Equals
Not Contains
Not ID
Results 1001-1010 of 1959.
Back
1
...
98
99
100
101
102
103
104
...
196
Next
Item hits:
Year of Publication
Title
Author(s)
2020
Propensity score weighting with mismeasured covariates: An application to two financial literacy interventions
Dong, Hao
;
Millimet, Daniel L.
2023
Econometric modeling of input-driven output risk through a versatile CES production function
Zeytoon-Nejad, Ali
;
Goodwin, Barry K.
2018
Credit ratings and liquidity risk for the optimization of debt maturity structure
Sajjad, Faiza
;
Zakaria, Muhammad
2022
Customers' risk tolerance and suppliers' investment inefficiency
Hrazdil, Karel
;
Kim, Jeong-bon
;
Li, Xin
2019
Dynamic responses of major equity markets to the US fear index
Adrangi, Bahram
;
Chatrath, Arjun
;
Macri, Joseph
;
Raffiee, Kambiz
2008
Active versus passive investing: An analysis of UK equity markets, 1991-2005
Barnes, Edel
;
Scott, M.
2022
Modeling the risks of the global customs space
Borysenko, Olha
;
Vasyl'yeva, Olena
;
Katerna, Olga
;
Masiuk, Iuliia
;
Panakhi, Oleg
2020
Capital structure and bank profitability in Vietnam: A quantile regression approach
Le, Tu DQ
;
Dat Thanh Nguyen
2018
Are there any volatility spill-over effects among cryptocurrencies and widely traded asset classes?
Trabelsi, Nader
2021
Minimising risk: The application of Kotter's change management model on customer relationship management systems. A case study
Sittrop, Danny
;
Crosthwaite, Cheryl
Author
21
McAleer, Michael
14
Rastogi, Shailesh
13
Hussainey, Khaled
12
Baker, Julien S.
11
Hamori, Shigeyuki
11
Wong, Wing Keung
11
Yue, Xiao-Guang
10
Gan, Christopher
10
Čirjevskis, Andrejs
9
Fekete-Farkas, Maria
.
next >
year of Publication
1628
2020 - 2023
321
2010 - 2019
10
2008 - 2009
Journal - volume
5
Volume 1, 2008
22
Volume 10, 2017
83
Volume 11, 2018
157
Volume 12, 2019
330
Volume 13, 2020
617
Volume 14, 2021
573
Volume 15, 2022
108
Volume 16, 2023
5
Volume 2, 2009
5
Volume 3, 2010
.
next >