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
References
testimonials
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
testimonials
FAQ
Open Access
EconStor
ACRN Oxford Research Network, Oxford
ACRN Journal of Finance and Risk Perspectives (JOFRP), ACRN Oxford Research Network
Browsing "ACRN Journal of Finance and Risk Perspectives (JOFRP), ACRN Oxford Research Network" by Year of Publication
Jump to a point in the index:
(Choose year)
2026
2025
2024
2023
2022
2021
2020
2019
2018
2017
2016
2015
2014
2013
2012
2011
2010
2009
2008
2007
2006
2005
2004
2003
2002
2001
2000
1999
1998
1997
1996
1995
1994
1993
1992
1991
1990
1985
1980
1975
1970
1960
1950
Or type in a year:
Sort by:
Date
Title
Author
In order:
Ascending
Descending
Results/Page
5
10
15
20
25
30
35
40
45
50
55
60
65
70
75
80
85
90
95
100
Showing results 1 to 20 of 39
next >
Year of Publication
Title
Author(s)
2022
A comparison of market risk measures from a twofold perspective: Accurate and loss function
Muela, Sonia Benito
;
López-Martin, Carmen
;
Arguedas-Sanz, Raquel
2022
The implication of corporate social responsibility on the strategic risk of the listed firms in Nigeria
Chondough, Stephanie M.
2022
Reconstruction of the Slippery Slope Framework tax compliance model
Darmayasa, I Nyoman
;
Arsana, I Made Marsa
;
Putrayasa, I Made Agus
2022
Does transaction atmosphere influence the decision-making behaviour of investors?
Hangl, Christa
;
Ortner, Matthias Benjamin
2022
Does IFRS 7 disclosure weaken earnings management? Evidence from Indonesian conventional commercial banks
Valdiansyah, Riyan Harbi
;
Murwaningsari, Etty
;
Mayangsari, Sekar
2022
Currency momentum: An emerging market issue?
Schober, Maik
;
Gehrke, Matthias
2022
The impact of real manipulation and tax management on future market value: An artificial intelligence simulation of high earnings quality
Siladjaja, Muljanto
;
Anwar, Yuli
;
Djan, Ismulyana
2022
Risk factors in the German stock market: Can sentiment improve the performance of traditional multifactor models?
Hövel, Emile David
;
Gehrke, Matthias
2022
The role of forensic auditing techniques in preventing non-government organisations' financial statement fraud in South Africa using a proactive approach
Mvunabandi, Jean Damascene
;
Nomlala, Bomi Cyril
2022
Does ERM sophistication drive IPO initial performance in emerging market? Evidence from Malaysian market
Norliza Che Yahya
;
Siti Sarah Alyasa-Gan
;
Rasidah Mohd-Rashid
2021
Analysis of option trading strategies based on the relation of implied and realized S&P500 volatilities
Brunhuemer, Alexander
;
Larcher, Gerhard
;
Larcher, Lukas
2021
Beyond the three lines of defense: The five lines of defense model for financial institutions
Vousinas, Georgios L.
2021
Price, volatility and the second-order economic theory
Olkhov, Victor
2021
Nordic green bond issuers' views on the upcoming EU Green Bond Standard
Björkholm, Linn
;
Lehner, Othmar M.
2021
Basel capital requirements, portfolio shift and bank lending in Africa
Oyetade, Damilola
;
Obalade, Adefemi Alamu
;
Muzindutsi, Paul-Francois
2021
Discriminating 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
2021
Are strategies for international diversification by country, industry and region equivalent?
Ghilal, Rachid
;
Marhfor, Ahmed
;
MacZali, Bouchra
;
Lilti, Jean-Jacques
2021
The value of political independent supervisory boards: Evidence from Indonesian dual board setting
Joni, Joni
;
Widjaja, Jahja Hamdani
;
Natalia, Maria
;
Salim, Ivan Junius
2021
The impact of financial sector sustainability guidelines and regulations on the financial stability of South American banks
Alguindigue Ruiz, Pedro Ildemaro
;
Weber, Olaf
2021
Corporate social responsibility as a managerial learning process
Marhfor, Ahmed
;
Bouslah, Kais
;
MacZali, Bouchra