Search

Add filters:

Use filters to refine the search results.


Results 981-990 of 1959.
Year of PublicationTitleAuthor(s)
2021The relationship between risk perception and risk definition and risk-addressing behaviour during the early COVID-19 stagesGrima, Simon; Hamarat, Bahattin; Özen, Ercan; Girlando, Alessandra; Dalli Gonzi, Rebecca
2023Dynamic conditional correlation and volatility spillover between conventional and Islamic stock markets: Evidence from developed and emerging countriesSahabuddin, Mohammad; Md. Aminul Islam; Tabash, Mosab I.; Alam, Md. Kausar; Daniel, Linda; Mostafa, Imad
2019Isa 701 and materiality disclosure as methods to minimize the audit expectation gapIwanowicz, Tomasz; Iwanowicz, Bartłomiej
2023A threshold GARCH model for Chilean economic uncertaintyChávez, Diego; Contreras-Reyes, Javier E.; Idrovo-Aguirre, Byron J.
2020The equity curve and its relation to future stock returnsStotz, Olaf
2021The determinants of green bond issuance in the European UnionDan, Anamaria; Tiron-Tudor, Adriana
2021Forecasting high-dimensional financial functional time series: An application to constituent stocks in Dow Jones indexTang, Chen; Shi, Yanlin
2020Industrial life-cycle and the development of the Russian tourism industrySheresheva, Marina; Valitova, Lilija; Tsenzharik, Maria; Oborin, Matvey
2018Determinants of stock market co-movements between Pakistan and Asian emerging economiesAamir, Muhammad; Ali Shah, Syed Zulfiqar
2019Corporate social responsibility and SMEs in Vietnam: A study in the textile and garment industryLoan Thi-Hong Van; Nguyen, Phuong Anh