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Kamakshi Sharma, Tusharika Mahna, Sonali Jain, Sanjay Dhir, Neeta Rao, Achin Biyani, Himanshu Sikka, Rishit Yadav, Sidharth Dua and Archish Gupta
A partial risk guarantee (PRG) is one of the critical instruments in the blended finance approach that provides partial assurance to the risk investor to lend leveraged capital to the borrower. Under the PRG scheme, philanthropic capital is employed as a...
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Fei Su, Lili Zhai and Jianmei Liu
This study examines whether and how risk disclosures in Management Discussion and Analysis (MD&A) affected the stock price crash risk of China?s publicly listed firms over the period of 2017?2021. The empirical results show that risk disclosures with...
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Mirza Sikalo, Almira Arnaut-Berilo and Adela Delalic
Comparing portfolio performance is complex due to the fact that each model is dominant in its own risk space. Since there is no single dominant performance measure, the research problem is how to incorporate several different measures into a performance ...
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José Almeida and Tiago Cruz Gonçalves
This study aims to systematically analyze and synthesize the literature produced thus far on cryptocurrency investment. We use a systematic review process supported by VOSviewer bibliographic coupling to review 482 papers published in the ABS 2021 journa...
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Benomar Ikram, Ben El Haj Fouad and Chelh Sara
This paper offers a comprehensive empirical overview of the impact of overconfidence in the stock market, thus contributing to the existing research literature on this topic. The study employs a bibliometric approach that utilizes the VOSviewer to extrac...
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Yi-Chang Chen, Shih-Ming Kuo, Yonglin Liu, Zeqiong Wu and Fang Zhang
Most of the growth forecasts in analysts? evaluation reports rely on human judgment, which leads to the occurrence of bias. A back-propagation neural network (BPNN) is a financial technique that learns a multi-layer feedforward network. This study aims t...
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Irine Herdjiono, Faculty of Business Economy, Musamus University, Indonesia Jumiati Jumiati, Faculty of Business Economy, Musamus University, Indonesia 10.21831/economia.v18i2.48184
Pág. 159 - 171
AbstractThis study aims to examine factors that influence students' interest in becoming investors in the capital market. Factors to be tested include minimum capital, investment risk, perception of return, and financial literacy. The number of samples u...
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Nurhidayah Nurhidayah
Pág. 17 - 23
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Serkan Karadas, Jorida Papakroni and Minh Tam Tammy Schlosky
This study examines the relationship between corporate managers? political ideology and corporate leverage policies conditional on investor sentiment. Based on a minimum of 21,884 observations over the 1992?2008 period, the authors show that Republican m...
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Stefan Claus and Massimo Stella
The ability to spot key ideas, trends, and relationships between them in documents is key to financial services, such as banks and insurers. Identifying patterns across vast amounts of domain-specific reports is crucial for devising efficient and targete...
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