All Stories

  1. Governing Artificial Intelligence and Digital Economy for Sustainability: Does Institutional Quality Help or Hinder SDGs Progress Across OECD Countries?
  2. Technological Adoption and Governance as Drivers of Financial Inclusion in the Industry 4.0 Era: Evidence from Asian Countries
  3. Forward Premium Anomaly Resolved
  4. A more sustainable future: Can politically connected CEOs spur the nexus between ESG performance and firm financial performance?
  5. The Effect of New and Traditional Sources of Financing on the Performance of Small and Entrepreneurship Businesses: The Case of Qatar
  6. Are donor funds used effectively? An examination of Islamic and conventional microfinance institutions
  7. Credit risk in Islamic microfinance institutions: The role of women, groups, and rural borrowers
  8. Does the extent of branchless banking adoption enhance the social and financial performance of microfinance institutions?
  9. Rational Functions: An Alternative Approach to Asset Pricing
  10. Terrorist attacks and bank financial stability: evidence from MENA economies
  11. Forward Premium Anomaly Resolved
  12. The impact of ownership structure and corporate governance on capital structure decisions in the UAE
  13. Price and volatility spillovers between global equity, gold, and energy markets prior to and during the COVID-19 pandemic
  14. The predictive ability of stock market factors
  15. Online peer-to-peer lending: A review of the literature
  16. The information content of US stock market factors
  17. Price and Volatility Spillovers between Global Equity, Gold, and Energy Markets Prior to and during the COVID-19 Pandemic
  18. Foreign Direct Investment Determinants in Oil Exporting Countries: Revisiting the Role of Natural Resources
  19. Corporate governance and voluntary risk and forward-looking disclosures
  20. Rational functions: an alternative approach to asset pricing
  21. Conference Review: The APMAA 13th Annual Conference
  22. How Many Factors? Does Adding Momentum and Volatility Improve Performance
  23. The Information Content of Stock Market Factors
  24. Do financial distress and liquidity crises affect value and size premiums?
  25. Key determinants of inflation and monetary policy in the emerging markets: evidence from Vietnam
  26. Value premium and default risk
  27. Innovation and credit ratings, does it matter? UK evidence