Search

Add filters:

Use filters to refine the search results.


Results 1321-1330 of 1959.
Year of PublicationTitleAuthor(s)
2020Stochastic optimization system for bank reverse stress testingMontesi, Giuseppe; Papiro, Giovanni; Fazzini, Massimiliano; Ronga, Alessandro
2022Founding family ownership and firm performance: Some evidence from the Italian stock marketPierni, Pierluigi; Montagna, Dennis Marco; Maggi, Mario Alessandro
2022An investigation of the link between major shareholders' behavior and corporate governance performance before and after the COVID-19 pandemic: A case study of the companies listed on the Iranian stock marketPourmansouri, Rezvan; Mehdiabadi, Amir Hedayati; Shahabi, Vahid; Spulbăr, Cristi; Birau, Ramona
2022The influence of transparency and disclosure on the valuation of banks in India: The moderating effect of environmental, social, and governance variables, shareholder activism, and market powerBhimavarapu, Venkata Mrudula; Rastogi, Shailesh; Abraham, Rebecca
2021Testing the efficiency of globally listed private equity marketsTegtmeier, Lars
2019Defined contribution pension plans: Who has seen the risk?Forsyth, Peter A.; Vetzal, Kenneth R.
2018Ensemble learning or deep learning? Application to default risk analysisHamori, Shigeyuki; Kawai, Minami; Kume, Takahiro; Murakami, Yuji; Watanabe, Chikara
2020Mixed methods utilisation in innovation management research: A systematic literature review and meta-summaryBracio, Klaudia; Szarucki, Marek
2021Natural resources and civil conflict: The role of military expendituresArezki, Rabah; Brückner, Markus
2020Consideration of risk factors in corporate property portfolio managementKarpenko, Lidiia; Chunytska, Iryna; Oliinyk, Nataliia; Poprozman, Nataliia; Bezkorovaina, Olha