All Stories

  1. Cybersecurity risk and bank competition
  2. Human Capital Investment Efficiency and Firm Sustainable Competitive Advantage: Does the Gender Pay Gap Play a Role?
  3. Sports tokens and sports equities: A downside tail risk analysis with portfolio implications
  4. Impact of digital financial inclusion and technological innovation on unemployment
  5. Time-Frequency Volatility Spillover Between Supply Chain Tokens and Oil Market: The Role of Global Uncertainty Factors
  6. Geopolitical risk and firm climate change risk
  7. Cybersecurity risk and corporate greenwashing
  8. Are green and dirty cryptocurrencies connected with climate risk attention?
  9. Real-world asset tokens and commodities: static and dynamic linkages
  10. Tail risk connectedness between tokenized and traditional derivatives: Time-frequency analysis and portfolio insights
  11. Geopolitical risk and energy market tail risk forecasting: An explainable machine learning approach
  12. Country-level cryptocurrency uncertainty and bank cost of capital
  13. Tail risk connectedness and portfolio management between energy tokens and FinTech stocks: evidence from quantile-based approaches
  14. 50 shades of dark green: The nexus of narcissistic leadership and corporate greenwashing
  15. Cybersecurity risk and bank risk-taking
  16. Corporate culture and trade credit
  17. Geopolitical risk and real estate stock crash
  18. Which Climate Finance Instrument Works Better in Adapting to Climate Change?
  19. Time-frequency dynamics of public sentiment transmission in GCC equity markets: evidence from textual analysis
  20. Firm carbon risk exposure and financial stability
  21. Does climate risk drive digital asset returns?
  22. Customer concentration and the readability of 10-K reports
  23. Marketing tokens and marketing stocks: Tail risk connections with portfolio implications
  24. Asymmetric tail risk dynamics, efficiency and risk spillover among FinTech stocks, cryptocurrencies and traditional assets
  25. Debt-Driven Economic Crisis Prediction for OIC Countries
  26. Country-Level Cryptocurrency Uncertainty and Bank Cost of Capital
  27. Cybersecurity Risk and Bank Competition
  28. Geopolitical risk transmission dynamics to commodity, stock, and energy markets
  29. Multiscale tail risk integration between safe-haven assets and Africa’s emerging equity market
  30. Wavelet quantile correlation between DeFi assets and banking stocks
  31. Energy tokens and green energy markets under crisis periods: A quantile downside tail risk dependence analysis
  32. Geopolitical conflict and firm bankruptcy risk
  33. Explainable deep learning model for stock price forecasting using textual analysis
  34. Analyzing public sentiment toward economic stimulus using natural language processing
  35. Monetary policy uncertainty and ESG performance across energy firms
  36. Nonlinear and threshold effect of corporate social responsibility on bank performance
  37. Examining the impact of Halal tourism industry sustainability on stock returns
  38. Geopolitical risk and firm-level environmental, social and governance (ESG) performance
  39. Tail risk intersection between tech-tokens and tech-stocks
  40. Constructing sustainable halal tourism composite performance index for the global halal tourism industry
  41. The impact of social capital on major customer supply chain power
  42. Asymmetric dynamics between the Baltic Dry Index and financial markets during major global economic events
  43. Correlation structure between fiat currencies and blockchain assets
  44. Asymmetric dynamics between geopolitical conflict sentiment and cryptomarkets
  45. Economic sanctions sentiment and global stock markets
  46. Time-varying relationship between international monetary policy and energy markets
  47. Global uncertainty factors and price connectedness between US electricity and blockchain markets: Findings from an R-square connectedness approach
  48. Asymmetric Time-Frequency Relationship between Climate Risk and Real Estate Tokens
  49. Reinvigorating Sustainable Rural Development with Financial Inclusion: A Case of Women's Empowerment
  50. The threshold effect of institutional quality on sovereign debt and economic stability
  51. Effect of Russia–Ukraine war sentiment on blockchain and FinTech stocks
  52. Tail risk contagion across electricity markets in crisis periods
  53. Environmental, social and governance (ESG) rating prediction using machine learning approaches
  54. Russia‐Ukraine war and G7 debt markets: Evidence from public sentiment towards economic sanctions during the conflict
  55. Blockchain market and eco-friendly financial assets: Dynamic price correlation, connectedness and spillovers with portfolio implications
  56. Extreme return and volatility connectedness among real estate tokens, REITs, and other assets: The role of global factors and portfolio implications
  57. Managerial ability and climate change exposure
  58. The nonlinear and threshold effects of IT investment on the banking sector of Bangladesh
  59. NFTs, DeFi, and other assets efficiency and volatility dynamics: An asymmetric multifractality analysis
  60. Forecasting nonperforming loans using machine learning
  61. Volatility spillover and connectedness among REITs, NFTs, cryptocurrencies and other assets: Portfolio implications
  62. Asymmetric efficiency and connectedness among green stocks, halal tourism stocks, cryptocurrencies, and commodities: Portfolio hedging implications
  63. Customer Concentration and the Readability of 10-K Reports
  64. Customer Concentration and the Readability of 10-K Reports
  65. Energy Tokens and Green Energy Markets Under Crisis Periods:  a Quantile Downside Tail Risk Dependence Analysis
  66. Explainable Deep Learning Model for Stock Price Forecasting Using Textual Analysis
  67. Explainable Sentiment-Based Tail Risk Connectedness Portfolio Optimization Using Deep Reinforcement Learning
  68. The Impact of Social Capital on Major Customer Supply Chain Power
  69. The Impact of Social Capital on Major Customer Supply Chain Power
  70. Time-Frequency Dynamics of Public Sentiment Transmission in GCC Equity Markets: Evidence from Textual Analysis
  71. Halal tourism demand and firm performance forecasting: new evidence from machine learning
  72. COVID-19 government interventions and cryptocurrency market: Is there any optimum portfolio diversification?
  73. The asymmetric effect of COVID-19 government interventions on global stock markets: New evidence from QARDL and threshold regression approaches
  74. Do socio-political factors affect investment performance?
  75. How to predict bankruptcy using Artificial Intelligence