All Stories

  1. A multidimensional Bayesian model to test the impact of investor sentiment on equity premium
  2. The asymmetric effect of COVID-19 on investor sentiment: evidence from NARDL model
  3. A Swot-Fahp Model for Analyzing the Implementation of Esco-Based Projects in Governmental Buildings
  4. Shift‐contagion in energy markets and global crisis
  5. Do bank independency and diversification affect bank failures in Europe?
  6. Business ethics, company value and ownership structure
  7. A fuzzy analytic hierarchy process model for customers’ bank selection decision in the Kingdom of Bahrain
  8. The impact of tradeoff between risk and return on mean reversion in sovereign CDS markets
  9. Modeling recovery rates of corporate defaulted bonds in developed and developing countries
  10. New Methods in Fixed Income Modeling
  11. Systemic risk spillovers in sovereign credit default swaps in Europe: a spatial approach
  12. Do corporate governance and ownership structure impact dividend policy in emerging market during financial crisis?
  13. Moral hazard and risk-taking incentives in Islamic banks, does franchise value matter!
  14. Do corporate bond recovery rates monitored by corporate governance mechanisms?
  15. Determinants of the capital adequacy ratio of foreign banks’ subsidiaries: The role of interbank market and regulation
  16. Identifying factors key to encouraging entrepreneurial intentions among seniors
  17. The Role of Islamic Banks in the Transmission of Liquidity Shocks Across Countries
  18. Stratégie de prêts pour les filiales bancaires dans les pays émergents
  19. Compétitivité et rentabilité des banques islamiques
  20. Fixed-income portfolio management in crisis period: Expected Tail Loss (ETL) approach
  21. Determinants of loans and deposits strategies of foreign bank subsidiaries in emerging countries
  22. Non linear and asymmetric linkages between real growth in the Euro area and global financial market conditions: New evidence
  23. What Relation Exists between CSR and Longevity of Firms?
  24. Banking distress in MENA countries and the role of mergers as a strategic policy to resolve distress