Search

Add filters:

Use filters to refine the search results.


Results 1601-1610 of 1959.
Year of PublicationTitleAuthor(s)
2020Review papers for journal of risk and financial management (JRFM)McAleer, Michael
2020Does more expert adjustment associate with less accurate professional forecasts?Franses, Philip Hans; Welz, Max
2022The influence of audit committee chair characteristics on financial reporting qualityLutfi, Abdalwali; Saleh Zaid Alkilani; Saad, Mohamed; Malek Hamed Alshirah; Alshira'h, Ahmad Farhan; Alrawad, Mahmaod; Al-Khasawneh, Malak Akif; Ibrahim, Nahla; Abdelhalim, Abeer; Ramadan, Mujtaba Hashim
2022The performance and diversification potential of non-listed value-add real estate funds in JapanHoesli, Martin; Newell, Graeme; Jufri Marzuki; Lai, Rose Neng
2020Remarks on bank competition and convergence dynamicsTsionas, Efthymios G.
2023Risk management in practice: A multiple case study analysis in Italian municipalitiesCastellini, Monia; Riso, Vincenzo
2022The dynamic relationship between investor attention and stock market volatility: International evidenceBen El Hadj Said, Imene; Slim, Skander
2020Creative accounting as an apparatus for reporting profits in agribusinessBlazek, Roman; Durana, Pavol; Valaskova, Katarina
2022Household portfolio allocations: Evidence on risk preferences from the household, income, and labour dynamics in Australia (HILDA) survey using Tobit modelsKhan, Safdar Ullah; Ramella, Satyanarayana; Ur Rahman, Habib; Hyder, Zulfiqar
2023Energy crisis risk mitigation through Nuclear Power and RES as alternative solutions towards self-sufficiencyHalkos, George E.; Zisiadou, Argyro