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A peer-reviewed journal that publishes original research on risk management and finance. Find out how to submit your paper, author guidelines, editorial team, indexing and metrics, and more.
Journal of Risk Finance is a peer-reviewed journal that publishes research on financial risk management, corporate failure, and emerging markets. Browse the latest issues and articles on topics such as digital currencies, sovereign credit risk, and green bonds.
The Journal of Risk Finance provides a rigorous forum for the publication of high quality peer-reviewed theoretical and empirical research articles, by both academic and industry experts, related to financial risks and risk management.
A peer-reviewed journal that publishes research on risk management, financial risk, and company failure. The latest issue features articles on topics such as Industry 4.0, green bond market, fintech, fiscal consolidation, and COVID-19 impact.
Short- and long-term effects of responsible investment growth on equity returns. The growth of socially responsible assets has been exponential over the last decade, they now account for almost a third of professional investments. As the growth persists, faith….
2 Φεβ 2022 · The authors investigate the implications of environmental, social and governance (ESG) practices of firms for the pricing of their credit default swaps (CDS). In doing so, the authors compare European and US firms and consider nonlinear and indirect effects.
The paper analyzes downside and upside risk spillovers between stock markets of G7 countries and China before and during the COVID-19 pandemic. HTML PDF (17.3 MB)