All Stories

  1. Building Resilience Through ESG: How ESG and Green Innovation Drive Risk Mitigation in Emerging Economies
  2. Macro Variables Predictions using three Classifiers: KNN, Sigmoid and Softmax
  3. The nexus between governance quality, modern slavery disclosure and corporate financial performance
  4. Yield Curves Prediction Using Artificial Neural Network Regression Multitask Learning
  5. Cryptocurrency volatility: A review, synthesis, and research agenda
  6. Do political connections matter for bank efficiency in times of crisis?
  7. Foreign exchange market efficiency during COVID-19 pandemic
  8. The influence of Islam in shaping organisational socially responsible behaviour
  9. The Market Uncertainty of Ethically Compliant Equity: An Integrated Screening Approach
  10. Stock market performance and foreign exchange market in Egypt: does 25th January revolution matter?
  11. Determinants of Capital Adequacy Ratio (CAR) in MENA Region: Islamic vs. Conventional Banks
  12. The Extent to which Islamic Banking Transactions Are Compatible with the Rules of Islamic Economics
  13. Environmental conditions, fund characteristics, and Islamic orientation: An analysis of mutual fund performance for the MENA region
  14. Development and validation of an instrument to measure online retailing ethics
  15. Why Do Consumers Trust Online Travel Websites? Drivers and Outcomes of Consumer Trust toward Online Travel Websites
  16. Cultural and religiosity drivers and satisfaction outcomes of consumer perceived deception in online shopping
  17. Consumer intention to purchase online travel services
  18. Capital structure and performance of Middle East and North Africa (MENA) banks: an assessment of credit rating
  19. Forecasting oil prices
  20. Understanding the determinants of hotel booking intentions and moderating role of habit
  21. A COMPARATIVE STUDY OF THE PERFORMANCE OF SAUDI MUTUAL FUNDS
  22. CORPORATE GOVERNANCE AND RISK MANAGEMENT IN GCC BANKS
  23. Islamic & Commercial Banking Systems: A Theoretical Comparison
  24. Citizens as consumers: Profiling e-government services’ users in Egypt via data mining techniques
  25. Exchange Rate and Interest Rate Exposure of UK Industries Using First-order Autoregressive Exponential GARCH-in-mean (EGARCH-M) Approach
  26. Shareholder Rights
  27. Socially Responsible Management (SRM)
  28. Company Directors and CSR
  29. Global Governance and CSR
  30. Institutes of Directors and CSR
  31. Corporate Responsibility Index
  32. A variable impact neural network analysis of dividend policies and share prices of transportation and related companies
  33. Mobile Information Communication Technologies Adoption in Developing Countries
  34. Exchange rate risk in international shipping companies
  35. CORPORATE GOVERNANCE, OWNERSHIP STRUCTURE AND FIRM PERFORMANCE OF EGYPTIAN LISTED COMPANIES
  36. ONLINE DISCLOSURE: AN ANALYSIS OF THE EGYPTIAN LISTED COMPANIES
  37. CORPORATE GOVERNANCE, FIRM CHARACTERISTICS AND INTERNET FINANCIAL REPORTING: EVIDENCE FROM EGYPTIAN LISTED COMPANIES
  38. Board composition, ownership structure and dividend policies in an emerging market
  39. The impact of corporate governance on the timeliness of corporate internet reporting by Egyptian listed companies
  40. The impact of board independence and ownership structure on the timeliness of corporate internet reporting of Irish‐listed companies
  41. Neural nets versus conventional techniques in credit scoring in Egyptian banking
  42. Perceived barriers to organizational creativity
  43. Competitive advantage and the cost of equity in international shipping
  44. The exchange rate exposure of UK non‐financial companies
  45. Exchange rate exposure: do size and foreign operations matter?
  46. Derivatives use and risk management practices by UK nonfinancial companies
  47. The exchange rate exposure of UK nonfinancial companies: industry level analysis
  48. The Exchange Rate Exposure of UK Nonfinancial Companies: Industry-Level Analysis
  49. A Survey of Derivatives Use by UK Nonfinancial Companies
  50. Exchange Rate and Interest Rate Exposure of UK Industries Using Ar(1)- Egarch-M Approach