All Stories

  1. Energy efficiency as a driver of climate resilience: global evidence
  2. Disaggregated Liquidity Response to Climate Risk: A Precautionary Hoarding and Flight-to-Safety Perspective
  3. Climate risk and loan pricing: the moderating role of trilemma policy choices
  4. The impact of cyber-attacks on different dimensions of cryptocurrency markets
  5. The role of financial literacy in accelerating the adoption of a central bank digital currency
  6. Does CBDC launch increase tax collection? empirical evidence from China
  7. ESG Meets DeFi: Exploring Time‐Varying Linkages and Portfolio Implications
  8. Does institutional quality matter for central bank digital currency adoption?
  9. Guiding sustainable growth: The interplay between CEO trustworthiness, managerial ability, and green innovation
  10. Economic policy uncertainty and remittances: mediating role of foreign exchange rate
  11. Extreme connectedness between NFTs and US equity market: A sectoral analysis
  12. Determinants of central bank digital currency adoption – a study of 85 countries
  13. A comparative analysis of cryptocurrency returns and economic policy uncertainty pre- and post-Covid-19
  14. Determinants of CO2 emissions and economic progress: A case from a developing economy
  15. COVID-19 and negative oil prices-an empirical analysis comparing importing and exporting countries
  16. Chief executive officer trustworthiness and green innovation
  17. Covid-19 and stock market liquidity: international evidence
  18. Product market competition and financial analysts' forecast quality: The mediating role of financial reporting quality
  19. Financial inclusion and bank risk-taking nexus: evidence from China
  20. Performance Evaluation of the Chinese Healthcare System
  21. What Are The Channels Through Which Bank Liquidity Creation Affects GDP? Evidence From an Emerging Country
  22. COVID-19 and Stock Market Liquidity: An International Evidence
  23. European Stock Markets’ Response to COVID-19, Lockdowns, Government Response Stringency and Central Banks’ Interventions
  24. Impact of Negative Oil Price on Stock Markets of Major Oil Importing and Exporting Countries
  25. Liquidity Connectedness of Cryptocurrencies and Stock Markets during COVID-19: A Wavelet Coherence Approach
  26. The impact of Covid-19 on Gig economy
  27. ARE STOCK MARKETS AND CRYPTOCURRENCIES CONNECTED?
  28. The nexus between product market competition and the quality of analysts’ forecasts: empirical evidence from Chinese-listed firms
  29. COVID-19 and Stock Market Liquidity: An International Evidence
  30. European Stock Markets’ Response to COVID-19, Lockdowns, Government Response Stringency and Central Banks’ Interventions
  31. Impact of monetary policy on house prices: case of Pakistan
  32. Do mutual funds have consistency in their performance?
  33. Does Corporate Social Responsibility Affect the Financial Performance of the Manufacturing Sector? Evidence from an Emerging Economy
  34. Determinants of non-performing loans in Chinese banks
  35. International Business
  36. Bank regulatory capital and liquidity creation: evidence from BRICS countries
  37. Impact of investment efficiency on cost of equity: evidence from China
  38. Performance and Persistence in Performance of Actively Managed Chinese Equity Funds
  39. Bank capital and liquidity creation: evidence of relation from India
  40. Emerging market mutual fund performance: evidence for China
  41. Determinants of different types of bank liquidity: evidence from BRICS countries
  42. Interaction among funding liquidity, liquidity creation and stock liquidity of banks
  43. Bank leverage and stock liquidity: evidence from BRICS countries
  44. Non-performing loans (NPLs), liquidity creation, and moral hazard: Case of Chinese banks
  45. Country risk, stock prices, and the exchange rate of the renminbi