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Assurance on CSR reports: impact on the credibility perceptions of non-financial information by bank directors

Author:Reiner Quick and Petra Inwinkl
Publisher:Meditari Accountancy Research,
Abstract: Purpose This paper aims to clarify whether assurance on non-financial corporate social responsibi…

Interconnectedness and systemic risk measures of Chinese financial institutions

Author:Ming Qi, Jiawei Zhang, Jing Xiao, Pei Wang, Danyang Shi and Amuji Bridget Nnenna
Publisher:Kybernetes,
Abstract: Purpose In this paper the interconnectedness among financial institutions and the level of system…

No trust, no use: how young retail investors build initial trust in financial robo-advisors

Author:Mustafa Nourallah, Peter Öhman and Muslim Amin
Publisher:Journal of Financial Reporting and Accounting,
Abstract: Purpose The purpose of this study is to describe and analyse the effect of a set of determinants …

Using the Z-score to analyze the financial soundness of insurance firms

Author:Ignacio Moreno, Purificación Parrado-Martínez and Antonio Trujillo-Ponce
Publisher:European Journal of Management and Business Economics,
Abstract: Purpose Despite the sophisticated regulatory regime established in Solvency II, analysts should b…

Financial development and economic growth: panel evidence from BRICS

Author:Biplab Kumar Guru and Inder Sekhar Yadav
Publisher:Journal of Economics, Finance and Administrative Science,
Abstract: Purpose The purpose of this paper is to examine the relationship between financial development an…

Impact of financial stress in advanced and emerging economies

Author:Flavio César Valerio Roncagliolo and Ricardo Norberto Villamonte Blas
Publisher:Journal of Economics, Finance and Administrative Science,
Abstract: Purpose The purpose of the paper is to examine the differences in the impact of financial stress …

Financial risk and firm value: is there any trade-off in the Indian context?

Author:Koustav Roy and Kalpataru Bandopadhyay
Publisher:Rajagiri Management Journal,
Abstract: Purpose The objective of the paper is to investigate the relationship between financial risk and …

Measuring financial inclusion: a composite FI index for the developing countries

Author:Thi Truc Huong Nguyen
Publisher:Journal of Economics and Development,
Abstract: Purpose The purpose of this paper is to focus on measuring financial inclusion (FI) level for the…

Financial strength of banking sector in Bangladesh: a CAMEL framework analysis

Author:Farhana Afroj
Publisher:Asian Journal of Economics and Banking,
Abstract: Purpose This paper investigates the financial strength of banks in Bangladesh and factors affecti…

Do work-life balance practices mediate in the relationship between female participation and financial performance?

Author:María Dolores Odriozola and Elisa Baraibar-Diez
Publisher:European Journal of Management and Business Economics,
Abstract: Purpose The purpose of this paper is to analyse the relationship between the participation of wom…
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