All Stories

  1. Navigating sustainable finance research: A hybrid literature review
  2. Market reactions to the central bank’s mandate on climate-related financial risk disclosures: Evidence from the Indian banking sector
  3. Economic effects of US protectionism: event study evidence from an emerging market
  4. Board gender diversity and firm performance: Unveiling the ESG effect
  5. FinTech literature reviews: A hybrid approach
  6. FinTech and small and medium enterprises: current state and future directions
  7. Interconnectedness and return spillover among APEC currency exchange rates: A time-frequency analysis
  8. Effects of draft Climate-related Financial Risks Disclosure Framework on stock returns
  9. Entrepreneurial intentions among polytechnic students in India: Examining the theory of planned behaviour using PLS-SEM
  10. Do election results resolve economic uncertainty? Evidence from Indian election 2024
  11. COVID-19 literature in Elsevier finance journal ecosystem
  12. Impact of firm characteristics and country-level governance on global energy stocks during crises
  13. Stock market reaction to mandatory sustainability reporting: Does carbon‐intensity and environmental, social, and governance reputation matter?
  14. The moderating role of board gender diversity in ESG and firm performance: Empirical evidence from Gulf countries
  15. Stock market reaction to mandatory climate change reporting: case of Bursa Malaysia
  16. Assessing the Impact of the Turkey-Syria Earthquake on Global Stock Markets
  17. Effects of Israel-Iran conflict: insights on global stock indices and currencies
  18. Stock price crash risk research: current trends and future directions
  19. Are high-income and innovative nations resilient to the Russia-Ukraine war?
  20. Impact of ESG regulation on stock market returns: Investor responses to a reasonable assurance mandate
  21. Quaking the stock market: Event study evidence on the Turkey-Syria earthquake
  22. Impact of Sustainable Energy Policies on European Stock Markets
  23. The effect of climate pacts on the stock market performance of listed firms in Turkey
  24. Are markets in happier countries less affected by tragic events? Evidence from market reaction to the Israel–Hamas conflict
  25. Mapping the landscape of FinTech in banking and finance: A bibliometric review
  26. The future of finance: Adapting to Technology 4.0 in accounting
  27. Dividend announcements and stock returns: a retrospective analysis
  28. Market reactions to layoff announcements during crises: Examining impacts and conditioners
  29. Exchange rate volatility and international trade
  30. Did the Indian stock market sail the Russia-Ukraine storm safely?
  31. Blockchain-based secure privacy-preserving vehicle accident and insurance registration
  32. Artificial intelligence, machine learning and big data in natural resources management: A comprehensive bibliometric review of literature spanning 1975–2022
  33. Do perceived risks and benefits impact trust and willingness to adopt CBDCs?
  34. CEO compensation and CSR: Economic implications and policy recommendations
  35. Navigating the complexities of financial services marketing through a bibliometric analysis of the Journal of Financial Services Marketing (2009–2022)
  36. Impacts of climate pact on global oil and gas sector stocks
  37. Repercussions of the Silicon Valley Bank collapse on global stock markets
  38. Restrictions on air travel to India and the global airline industry - An event study and cross-sectional approach
  39. Border disputes, conflicts, war, and financial markets research: A systematic review
  40. Are the European Union stock markets vulnerable to the Russia–Ukraine war?
  41. Glasgow climate pact and the global clean energy index constituent stocks
  42. Venture capital financing during crises: A bibliometric review
  43. Pre- and during-pandemic interconnectedness between Asian stock markets
  44. The impact of pandemics, wars, and conflicts on stock markets
  45. Impact of novel coronavirus outbreak-related announcements on pharmaceutical stocks: empirical evidence from an emerging market
  46. Blockchain-Based Secure Privacy-Preserving Vehicle Accident and Insurance Registration
  47. How do the sectoral indices react to COVID-19 Evidence from an emerging economy
  48. Impact of novel coronavirus outbreak-related announcements on pharmaceutical stocks: empirical evidence from an emerging market
  49. Impacts of pandemic-related stimulus packages on the stock market: evidence from India and the USA
  50. Quaking the Stock Market: Event Study Evidence on the Turkey-Syria Earthquake
  51. Repercussions of the Silicon Valley Bank Collapse on Global Stock Markets
  52. Advancing Financial Knowledge: Exploring Information Dynamics, Market Reactions, and Valuation Theories: Insights from the December 2022 Issue
  53. What do border disputes cost? Evidence from an emerging market
  54. Border disputes and heterogeneous sectoral returns: An event study approach
  55. Artificial intelligence adoption in the insurance industry: Evidence using the technology–organization–environment framework
  56. Central Bank Digital Currencies: Agendas for future research
  57. Does the Russia-Ukraine war lead to currency asymmetries? A US dollar tale
  58. Do dividend announcements override the pandemic impacts? Evidence from the BSE 500 constituent firms
  59. Heterogeneous impacts of wars on global equity markets: Evidence from the invasion of Ukraine
  60. What makes firms vulnerable to the Russia–Ukraine crisis?
  61. Exploring the Intersection of Industry, Policy, and Performance: Insights from the June 2022 Issue
  62. Russia-Ukraine War and the global tourism sector: A 13-day tale
  63. How the global airline industry behaved to restrictions on air travel to India? An event study analysis
  64. Impacts of corporate announcements on stock returns during the global pandemic: evidence from the Indian stock market
  65. Launching of the International Journal of Accounting, Business and Finance (IJABF)
  66. Impact of the Russian Invasion of Ukraine 2022 on the Global Tourism Sector
  67. Border Disputes, Conflicts, War, and Financial Markets Research: A Systematic Review
  68. Does the Russia-Ukraine War Lead to Currency Asymmetries? A US Dollar Tale
  69. Indo-China Border Disputes and Heterogeneous Sectoral Returns:  an Event Study Approach
  70. Lockdown, unlock, stock returns, and firm-specific characteristics: the Indian tourism sector during the Covid-19 outbreak
  71. Does privatization of public sector banks affect stock prices? An event study approach on the Indian banking sector stocks
  72. An event study on the impacts of Covid-19 on the global stock markets
  73. Impacts of Corporate Announcements on Stock Returns during the Global Pandemic: Evidence from the Indian Stock Market
  74. Event study on the reaction of the developed and emerging stock markets to the 2019-nCoV outbreak
  75. How the Global Airline Industry Behaved to Restrictions on Air Travel to India? An Event Study Analysis
  76. Has the Indian Tourism Sector Recovered from the COVID-19 Shocks?
  77. EFFECTS OF MERGER AND ACQUISITION ANNOUNCEMENTS ONSTOCK RETURNS: AN EMPIRICAL STUDY OF BANKS LISTED ON NSEAND NYSE
  78. Impact of Demonetization on Indian Stock Market-An Empirical Study