Search

Add filters:

Use filters to refine the search results.


Results 431-440 of 443.
Year of PublicationTitleAuthor(s)
2019Testing market efficiency with nonlinear methods: Evidence from Borsa IstanbulAliyev, Fuzuli
2020Financial risk and financial performance: Evidence and insights from commercial and services listed companies in Nairobi Securities Exchange, KenyaKerubo Onsongo, Susan; Muathe, Stephen M. A.; Wamugo Mwangi, Lucy
2022Intraday patterns of liquidity on the Warsaw stock exchange before and after the outbreak of the COVID-19 pandemicKubiczek, Jakub; Tuszkiewicz, Marcin
2021Financial inclusion in emerging economies: The application of machine learning and artificial intelligence in credit risk assessmentMhlanga, David
2017Does corporate diversity really matter in the plantation sector? Empirical evidence from a world islamic leading country and market reactionHassan, Rohail; Marimuthu, Maran
2018Does banking management affect credit risk? Evidence from the Indian banking systemKoju, Laxmi; Koju, Ram; Wang, Shouyang
2015The relation between past flows and future performance: Simple investment strategies in the mutual fund sectorRohleder, Martin
2020Generalized hyperbolic distribution and portfolio efficiency in energy and stock markets of BRIC countriesNúñez-Mora, José Antonio; Sánchez-Ruenes, Eduardo
2017Effect of disproportional voting rights on firm's market performance: Evidence from Chinese firms cross-listed on U.S. exchangesAbdullah; Zhou, Jia'nan; Shah, Muhammad Hashim
2022What do the consequences of environmental, social and governance failures tell us about the motivations for corporate social responsibility?Walton, Richard