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Journal of Financial Risk Management
Submission
Journal of Financial Risk Management
ISSN Print:
2167-9533
ISSN Online:
2167-9541
www.scirp.net/journal/jfrm
E-mail:
[email protected]
Google-based Impact Factor:
1.92
Citations
Journals Menu
Aims & Scope
Articles
Archive
Editorial Board
Publication Fees
Indexing
Guidelines & Policies
Author Guidelines
Reviewer Guidelines
Editorial Policies
Publication Ethics
Google-based Impact Factor:
Top Cited Articles
(225 articles with 1781 citations as of July 2024)
Sort by:
Times Cited -- highest to lowest
Times Cited -- lowest to highest
Publication Date -- newest to oldest
Publication Date -- oldest to newest
Determinants of IPOs Initial Return: Extreme Analysis of Indian Market
,
Journal of Financial Risk Management, Vol.1 No.4, 2012
Rohit Bansal, Ashu Khanna
Citations:
50
(Details)
Determination of Customer Satisfaction in Conservative Concept Hotels by Ordinal Logistic Regression Analysis
,
Journal of Financial Risk Management, Vol.6 No.3, 2017
Hakan Eygu, Ali Caglar Gulluce
Citations:
49
(Details)
Functioning of Fama-French Three-Factor Model in Emerging Stock Markets: An Empirical Study on Chittagong Stock Exchange, Bangladesh
,
Journal of Financial Risk Management, Vol.6 No.4, 2017
Emon Kalyan Chowdhury
Citations:
41
(Details)
Foreign Currency Derivatives and Firm Value: Evidence from New Zealand
,
Journal of Financial Risk Management, Vol.3 No.3, 2014
Hao Li, Nuttawat Visaltanachoti, Robin H. Luo
Citations:
38
(Details)
Machine Learning Approaches to Predicting Company Bankruptcy
,
Journal of Financial Risk Management, Vol.6 No.4, 2017
Wenhao Zhang
Citations:
34
(Details)
Leverage, Ownership Structure and Firm Performance
,
Journal of Financial Risk Management, Vol.11 No.1, 2022
Javid Ali, Yasmeen Tahira, Muhammad Amir, Farman Ullah, Muhammad Tahir, Wilayat Shah, Imran Khan, Shahbaz Tariq
Citations:
34
(Details)
Capital Adequacy Ratios as Predictors of Financial Distress in Kenyan Commercial Banks
,
Journal of Financial Risk Management, Vol.7 No.3, 2018
C. Karugu, G. Achoki, P. Kiriri
Citations:
33
(Details)
Review of Stock Markets’ Reaction to New Events: Evidence from Brexit
,
Journal of Financial Risk Management, Vol.5 No.4, 2016
Isaac Quaye, Yinping Mu, Braimah Abudu, Ramous Agyare
Citations:
33
(Details)
A Study of Financial Risks of Listed Manufacturing Companies in China
,
Journal of Financial Risk Management, Vol.5 No.4, 2016
Fang Fang
Citations:
31
(Details)
How Big Data and Big Data Analytics Mediate Organizational Risk Management
,
Journal of Financial Risk Management, Vol.12 No.1, 2023
Mounir El Khatib, Humaid Al Shehhi, Mohammed Al Nuaimi
Citations:
31
(Details)
Active vs. Passive Funds—An Empirical Analysis of the German Equity Market
,
Journal of Financial Risk Management, Vol.8 No.2, 2019
Ernst J. Fahling, Elmar Steurer, Sven Sauer
Citations:
28
(Details)
A Study on Enterprise Risk Management and Business Performance
,
Journal of Financial Risk Management, Vol.7 No.1, 2018
Linshan Li
Citations:
28
(Details)
Credit Risk Management Framework for Rural Commercial Banks in China
,
Journal of Financial Risk Management, Vol.6 No.1, 2017
Yang Wang, Wenchun Wang, Jiaojiao Wang
Citations:
28
(Details)
Enterprise Internal Control and Accounting Information Quality
,
Journal of Financial Risk Management, Vol.6 No.1, 2017
Mengmeng Luo
Citations:
26
(Details)
Handling Corporate Crises Based on the Correct Analysis of Its Causes
,
Journal of Financial Risk Management, Vol.5 No.4, 2016
Drago Dubrovski
Citations:
26
(Details)
The Influence of Financial Culture on SME’s Financial Performance
,
Journal of Financial Risk Management, Vol.9 No.1, 2020
Riad Makdissi, Anita Nehme, Rachelle Chahine
Citations:
26
(Details)
Combination of Random Forests and Neural Networks in Social Lending
,
Journal of Financial Risk Management, Vol.6 No.4, 2017
Yijie Fu
Citations:
25
(Details)
On the Evaluation of Performance System Incorporating “Green Credit” Policies in China’s Financial Industry
,
Journal of Financial Risk Management, Vol.2 No.2, 2013
Lan Xu
Citations:
25
(Details)
Financial Engineering, Corporate Goverance and Nigeria Economic Development
,
Journal of Financial Risk Management, Vol.2 No.4, 2013
John Ifeanyichukwu Osuoha
Citations:
23
(Details)
The Impact of Commodity Prices, Interest Rate and Exchange Rate on Stock Market Performance: Evidence from Zambia
,
Journal of Financial Risk Management, Vol.6 No.3, 2017
Nsama Musawa, Clement Mwaanga
Citations:
23
(Details)
A Multi-Dimensional Analysis of Corporate Social Responsibility: Different Signals in Different Industries
,
Journal of Financial Risk Management, Vol.4 No.2, 2015
Homayoon Shalchian, Kais Bouslah, Bouchra M’Zali
Citations:
22
(Details)
The Forecasting Model of Stock Price Based on PCA and BP Neural Network
,
Journal of Financial Risk Management, Vol.7 No.4, 2018
Haoling Zhang
Citations:
21
(Details)
E-Fraud in Nigerian Banks: Why and How?
,
Journal of Financial Risk Management, Vol.9 No.3, 2020
Babatunde Moses Ololade, Mary Kehinde Salawu, Aderemi Daniel Adekanmi
Citations:
19
(Details)
Financial Statement Analysis and Investment Decision Making in Commercial Banks: A Case of Bank of Kigali, Rwanda
,
Journal of Financial Risk Management, Vol.9 No.4, 2020
Mukamwiza Berthilde, Claude Rusibana
Citations:
19
(Details)
Credit Risk Management Practices and Performance of Commercial Banks in South Sudan
,
Journal of Financial Risk Management, Vol.10 No.3, 2021
Maurice Olobo, Gerald Karyeija, Protazio Sande, Steven Khoch
Citations:
19
(Details)
Stock Market Volatility, Speculative Short Sellers and Weekend Effect: International Evidence
,
Journal of Financial Risk Management, Vol.2 No.3, 2013
Weili Zhai, Hossein S. Kazemi, Jibao He, Jinghan Cai
Citations:
18
(Details)
New Class of Distortion Risk Measures and Their Tail Asymptotics with Emphasis on VaR
,
Journal of Financial Risk Management, Vol.7 No.1, 2018
Chuancun Yin, Dan Zhu
Citations:
17
(Details)
The P2P Risk Assessment Model Based on the Improved AdaBoost-SVM Algorithm
,
Journal of Financial Risk Management, Vol.6 No.2, 2017
Jianhui Yang, Dongsheng Luo
Citations:
16
(Details)
On the Nexus of Credit Risk Management and Bank Performance: A Dynamic Panel Testimony from Some Selected Commercial Banks in China
,
Journal of Financial Risk Management, Vol.8 No.2, 2019
Tan Zhongming, Rethabile Mpeqa, Isaac Adjei Mensah, Guoping Ding, Mohammed Musah
Citations:
16
(Details)
Qualitative Approach Risk Period in Construction Projects
,
Journal of Financial Risk Management, Vol.1 No.3, 2012
Abdelhak Challal, Mohamed Tkiouat
Citations:
16
(Details)
Estimation of Default Risk Based on KMV Model—An Empirical Study for Chinese Real Estate Companies
,
Journal of Financial Risk Management, Vol.3 No.2, 2014
Yan Chen, Guanglei Chu
Citations:
15
(Details)
Accounting for Derivative Instruments and Hedging Activities
,
Journal of Financial Risk Management, Vol.3 No.4, 2014
Veliota Drakopoulou
Citations:
15
(Details)
Proposal for an Implementation Methodology of Key Risk Indicators System: Case of Investment Management Process in Moroccan Asset Management Company
,
Journal of Financial Risk Management, Vol.4 No.3, 2015
Hajar Mouatassim, Abdelmajid Ibenrissoul
Citations:
15
(Details)
Size and Value in the Stock Exchange of Thailand
,
Journal of Financial Risk Management, Vol.5 No.1, 2016
Mussa Hussaini
Citations:
15
(Details)
The Long-Run and Short-Run Relationship between the Exchange Rates and Stock Market Prices
,
Journal of Financial Risk Management, Vol.6 No.4, 2017
Clement Mwaanga, Nsama Njebele
Citations:
15
(Details)
Review of International Supply Chain Risk within Banking Regulations in Asia, US and EU Including Cost Efficiency Proposals
,
Journal of Financial Risk Management, Vol.9 No.3, 2020
Vanessa Seipp, Alex Michel, Patrick Siegfried
Citations:
15
(Details)
Performance Base Empirical Analysis of Mutual Fund of Nepal
,
Journal of Financial Risk Management, Vol.8 No.2, 2019
Tara Prasad Upadhyaya, Sirjana Chhetri
Citations:
14
(Details)
A Comparative Study of Mean-Variance and Mean Gini Portfolio Selection Using VaR and CVaR
,
Journal of Financial Risk Management, Vol.4 No.2, 2015
Jamal Agouram, Ghizlane Lakhnati
Citations:
14
(Details)
A Study on the Correlations between Investor Sentiment and Stock Index and Macro Economy Based on EEMD Method
,
Journal of Financial Risk Management, Vol.4 No.3, 2015
Yong Fang
Citations:
13
(Details)
Board Advising, Risk-Taking, and Firm Performance
,
Journal of Financial Risk Management, Vol.5 No.3, 2016
Jianping Li
Citations:
13
(Details)
Financial Risk Management in Dutch SMEs: An Empirical Analysis
,
Journal of Financial Risk Management, Vol.8 No.2, 2019
René-Pascal van den Boom
Citations:
13
(Details)
The Threshold Effects of RMB Exchange Rate Fluctuations on Imports and Exports
,
Journal of Financial Risk Management, Vol.1 No.2, 2012
Chuanglian Chen
Citations:
12
(Details)
Enterprise Financial Early Warning Based on Lasso Regression Screening Variables
,
Journal of Financial Risk Management, Vol.9 No.4, 2020
Xi Nie, Guangming Deng
Citations:
12
(Details)
Access to Debt Finance and Performance of Small and Medium Enterprises
,
Journal of Financial Risk Management, Vol.10 No.3, 2021
Lwidiko Badi, Esther Ishengoma
Citations:
12
(Details)
Measuring Financial Performance for the Sustainability of Microfinance Institutions in Sierra Leone before the Ebola Outbreak
,
Journal of Financial Risk Management, Vol.10 No.3, 2021
Ezekiel K. Duramany-Lakkoh
Citations:
12
(Details)
Factors Affecting the Sustainability of Microfinance Institutions: A Case of Malawi Microfinance Institutions
,
Journal of Financial Risk Management, Vol.10 No.2, 2021
Helex Kayembe, Yunjian Lin, George N. Chidimbah Munthali, Xuelian Wu, Lazarus Obed Livingstone Banda, Mastano N. Woleson Dzimbiri, Colleen Mbughi
Citations:
11
(Details)
Portfolio Risk Management Implications of Mutual Fund Investment Objective Classifications
,
Journal of Financial Risk Management, Vol.1 No.3, 2012
Larry J. Prather
Citations:
11
(Details)
A Review of Inventory Investment: The Macro and Micro Perspective
,
Journal of Financial Risk Management, Vol.5 No.1, 2016
Jianyu Huang
Citations:
11
(Details)
Shadow Banking, Interest Rate Marketization and Bank Risk-Taking: An Empirical Study of the 40 Commercial Banks in China
,
Journal of Financial Risk Management, Vol.6 No.1, 2017
Jing Luo
Citations:
11
(Details)
A Research on Eurozone Bond Market and Determinants of Sovereign Bond Yields
,
Journal of Financial Risk Management, Vol.7 No.2, 2018
Navjeet Gill
Citations:
10
(Details)
Operational Risk Modelling in Insurance and Banking
,
Journal of Financial Risk Management, Vol.4 No.3, 2015
Ognjen Vukovic
Citations:
10
(Details)
Concentration Risk: The Comparison of the Ad-Hoc Approach Indexes
,
Journal of Financial Risk Management, Vol.5 No.1, 2016
Badreddine Slime, Moez Hammami
Citations:
10
(Details)
Empirical Study on Overreaction and Underreaction in Chinese Stock Market Based on ANAR-TGARCH Model
,
Journal of Financial Risk Management, Vol.2 No.4, 2013
Yong Fang
Citations:
10
(Details)
Working Capital Management and Firms’ Profitability: Dynamic Panel Data Analysis of Manufactured Firms
,
Journal of Financial Risk Management, Vol.9 No.4, 2020
Kafeel , Javed Ali, Maaz Ud Din, Abdul Waris, Muhammad Tahir, Sher Khan
Citations:
10
(Details)
Claims Management and Financial Performance of Insurance Companies in Rwanda: A Case of SONARWA General Insurance Company Ltd.
,
Journal of Financial Risk Management, Vol.9 No.3, 2020
Alphonse Ntwali, Alice Kituyi, Athanas Osiemo Kengere
Citations:
10
(Details)
Surveying the Socioeconomic and Business Dimensions of Microfinance Institutions in Rural Sierra Leone before the Ebola Outbreak: A Descriptive Statistical Approach
,
Journal of Financial Risk Management, Vol.10 No.2, 2021
Ezekiel K. Duramany-Lakkoh
Citations:
9
(Details)
Predicting the Financial Failures of Manufacturing Companies Trading in the Borsa Istanbul (2007-2019)
,
Journal of Financial Risk Management, Vol.10 No.4, 2021
Hasan Demirhan, Güven Sayilgan
Citations:
9
(Details)
Study on the Extreme Risk Spillover between China and World Stock Market after China’s Share Structure Reform
,
Journal of Financial Risk Management, Vol.3 No.2, 2014
Liangyu Wang
Citations:
9
(Details)
Assessing Money Laundering Risk of Financial Institutions with AHP: Supervisory Perspective
,
Journal of Financial Risk Management, Vol.2 No.1, 2013
Ke Jia, Xi Zhao, Ling Zhang
Citations:
9
(Details)
The Impact of Asset Price Bubbles on Credit Risk Measures
,
Journal of Financial Risk Management, Vol.4 No.4, 2015
Michael Jacobs Jr.
Citations:
9
(Details)
Financial Risk Measurement for Turkish Insurance Companies Using VaR Models
,
Journal of Financial Risk Management, Vol.4 No.3, 2015
Ismail Yildirim
Citations:
9
(Details)
Predicting Conditional Autoregressive Value-at-Risk for Stock Markets during Tranquil and Turbulent Periods
,
Journal of Financial Risk Management, Vol.4 No.3, 2015
Anastassios A. Drakos, Georgios P. Kouretas, Leonidas Zarangas
Citations:
9
(Details)
Effect of Firm Structure on Corporate Cash Holding (Evidence from Non-Financial Companies)
,
Journal of Financial Risk Management, Vol.8 No.1, 2019
Sher Khan, Zhuangzhuang Peng, Sohail Ahmad, Shahid Mahmood, Ijaz Ahmad
Citations:
9
(Details)
Half-Life Volatility Measure of the Returns of Some Cryptocurrencies
,
Journal of Financial Risk Management, Vol.8 No.1, 2019
Abonongo John, Anuwoje Ida Logubayom, Raymond Nero
Citations:
8
(Details)
Portfolio Optimization of Some Stocks on the Ghana Stock Exchange Using the Markowitz Mean-Variance Approach
,
Journal of Financial Risk Management, Vol.8 No.1, 2019
Anuwoje Ida Logubayom, Togborlo Annani Victor
Citations:
8
(Details)
Effectiveness of Financial Risk Management Framework: An Analysis of the Mauritian Banking Sector
,
Journal of Financial Risk Management, Vol.8 No.2, 2019
Lilesh Sookye, Aleesha Mohamudally-Boolaky
Citations:
8
(Details)
Capital Structures in German Small and Mid Caps: Does Trade-Off or Pecking Order Theory Explain Current Reality Better?
,
Journal of Financial Risk Management, Vol.8 No.3, 2019
Klaus Dommes, Michael Schmitt, Elmar Steurer
Citations:
8
(Details)
A Literature Review on the Study of Chattel Pledge Supervision in Logistics and Supply Chain Finance of China
,
Journal of Financial Risk Management, Vol.6 No.2, 2017
Aimin Deng, Xiang Lu
Citations:
8
(Details)
A Study on Quality of Work Life among Employees in Cairo Amman Bank
,
Journal of Financial Risk Management, Vol.6 No.2, 2017
Basman Al Dalayeen
Citations:
8
(Details)
Portfolio Optimization Modelling with R for Enhancing Decision Making and Prediction in Case of Uganda Securities Exchange
,
Journal of Financial Risk Management, Vol.6 No.4, 2017
Ronald Baganzi, Byung-Gyoo Kim, Geon-Cheol Shin
Citations:
8
(Details)
The Impact of Information Disclosure Quality on the Cost of Equity Financing—Based on Time Series Perspective
,
Journal of Financial Risk Management, Vol.5 No.3, 2016
Gu Yu, Boyu Wang
Citations:
8
(Details)
Market Discipline of Subordinated Debt: Empirical Evidence from Japanese Commercial Banks
,
Journal of Financial Risk Management, Vol.2 No.2, 2013
Young-Soon Hwang, Hong-Ghi Min
Citations:
8
(Details)
Corporate Governance, Risk Management, and Bank Performance: Does Type of Ownership Matter?
,
Journal of Financial Risk Management, Vol.10 No.3, 2021
Shayan Khan Kakar, Javed Ali, Muhammad Bilal, Yasmeen Tahira, Muhammad Tahir, Naeem Bahadar, Hina Bukhari, Sana Ullah, Tahir Aziz
Citations:
8
(Details)
Risk Committee Effectiveness and Financial Performance Indicator of Quoted Firms in Selected African Countries
,
Journal of Financial Risk Management, Vol.11 No.3, 2022
Augustine Chukwujekwu Odubuasi, Nkechi Theresa Ofor, Andrew Ugbah
Citations:
8
(Details)
Determinants of Banking Stability: Evidence from Haiti’s Banking System
,
Journal of Financial Risk Management, Vol.10 No.1, 2021
Rocheny Sifrain
Citations:
8
(Details)
Contributory Pension Scheme and the Premium Base of the Nigerian Insurance Industry
,
Journal of Financial Risk Management, Vol.10 No.2, 2021
Cosmas Ogobuchi Odo, Wilson Uchenna Ani, Ishmeal Umunnakwe Agbo
Citations:
7
(Details)
Effects of Monetary Policy on Stock Market Performance in Africa Evidence from Ten (10) African Countries from 1980 to 2019
,
Journal of Financial Risk Management, Vol.9 No.3, 2020
Michael Asiedu, Emmanuel Owusu Oppong, Orazgylyjova Gulnabat
Citations:
7
(Details)
Adaptive Financial Fraud Detection in Imbalanced Data with Time-Varying Poisson Processes
,
Journal of Financial Risk Management, Vol.8 No.4, 2019
Régis Houssou, Jérôme Bovay, Stephan Robert
Citations:
7
(Details)
Construction of Sichuan Liquor Industry Competitiveness Evaluation Model from the Perspective of Diamond Theory
,
Journal of Financial Risk Management, Vol.9 No.2, 2020
Yuhui Li, Yijun Chen
Citations:
7
(Details)
Loan Portfolio Quality of Microfinance Institutions in Uganda: A Qualitative Assessment
,
Journal of Financial Risk Management, Vol.9 No.2, 2020
Ester Agasha, Gladness Monametsi, Tshepo Feela
Citations:
7
(Details)
Financial Literacy among the Youth in Switzerland
,
Journal of Financial Risk Management, Vol.11 No.2, 2022
Michael Jan Kendzia, Yoan Suozzi Borrero
Citations:
7
(Details)
Impact of Internal Control Systems on Performance of Universal Banks: Evidence from Ghana
,
Journal of Financial Risk Management, Vol.10 No.4, 2021
Isaac Christopher Otoo, Sampson Asumah, Godfred Peprah-Amankona, Ahmed Tahir Andzie
Citations:
7
(Details)
Factors Influencing Loan Portfolio Quality of Microfinance Institutions in Haiti
,
Journal of Financial Risk Management, Vol.11 No.1, 2022
Rocheny Sifrain
Citations:
7
(Details)
Modelling and Forecasting of Crude Oil Price Volatility Comparative Analysis of Volatility Models
,
Journal of Financial Risk Management, Vol.11 No.1, 2022
Faith Wacuka Ng’ang’a, Meleah Oleche
Citations:
7
(Details)
An Empirical Examination of the Impact of Banks on Economic Growth in Sierra Leone (2001-2017)
,
Journal of Financial Risk Management, Vol.11 No.2, 2022
Ezekiel K. Duramany-Lakkoh, Mohamed Sajor Jalloh, Abubakarr Jalloh
Citations:
7
(Details)
Continuous-Time Mean-Variance Portfolio Selection with Inflation in an Incomplete Market
,
Journal of Financial Risk Management, Vol.3 No.2, 2014
Yingying Xu, Zhuwu Wu
Citations:
7
(Details)
The Impact of Margin Trading on Volatility of Stock Market: Evidence from SSE 50 Index
,
Journal of Financial Risk Management, Vol.5 No.3, 2016
Muwei Chen
Citations:
7
(Details)
Research on P2P Network Loan Risk Evaluation Based on Generalized DEA Model and R-Type Clustering Analysis under the Background of Big Data
,
Journal of Financial Risk Management, Vol.6 No.2, 2017
Ximing Lv, Lan Zhou, Xiaona Guo
Citations:
7
(Details)
Next Level in Risk Management? Hedging and Trading Strategies of Volatility Derivatives Using VIX Futures
,
Journal of Financial Risk Management, Vol.7 No.4, 2018
Ernst J. Fahling, Elmar Steurer, Tobias Schädler, Adrian Volz
Citations:
7
(Details)
Research on Issues of Budget Performance Management on the Process of Budgeting by Game Theory
,
Journal of Financial Risk Management, Vol.8 No.4, 2019
Zhenchuan Jiang, Xun Gong
Citations:
7
(Details)
Revisiting External Pecking Order Hypothesis: Evidence from Sri Lankan Companies Capital Structure
,
Journal of Financial Risk Management, Vol.8 No.4, 2019
Dewundara L. Prasath Manjula Rathnasingha, Chanthun P. Heiyanthuduwa
Citations:
6
(Details)
Quantitative Stock Selection Strategies Based on Kernel Principal Component Analysis
,
Journal of Financial Risk Management, Vol.9 No.1, 2020
Meiyi Zhou, Lianqian Yin
Citations:
6
(Details)
Can Micro-Credit Promote Financial Inclusion? The Evidence from China
,
Journal of Financial Risk Management, Vol.7 No.4, 2018
Jianhua Yi, Ran Zhang, Feng Guo
Citations:
6
(Details)
Managers’ Perception towards Dividends and Dividend Policy—Evidence from Bangladesh
,
Journal of Financial Risk Management, Vol.4 No.3, 2015
Muhammad Mahbubur Rahman
Citations:
6
(Details)
The Concept of
Brand Insecurity
& Its Measurement for ISO 10668 Valuations
,
Journal of Financial Risk Management, Vol.3 No.4, 2014
Denghua Yuan, Robert Keith Shaw
Citations:
6
(Details)
Bargaining Power of Suppliers and Buyers, and Accounting Conservatism—Evidence from Chinese Manufacturing Listed Companies
,
Journal of Financial Risk Management, Vol.4 No.1, 2015
Ziqiang Zhao, Dixi Wu, Sha Sha
Citations:
6
(Details)
The Market-Discipline Effects of Subordinated Debt: Enhanced US Commercial Banking-Sector Efficiency and Stability
,
Journal of Financial Risk Management, Vol.3 No.3, 2014
Sang-Ook Shin, Hong-Ghi Min, Judith A. McDonald
Citations:
6
(Details)
Two Main Conditions for Collapse of the Bubble Economy of China—Large Number of Unsold Houses and Deregulation of Deposit Interest Rates
,
Journal of Financial Risk Management, Vol.4 No.1, 2015
Goro Takahashi
Citations:
6
(Details)
Stock Market Development, Financial Deepening and Economic Growth in Africa
,
Journal of Financial Risk Management, Vol.10 No.1, 2021
Asiedu Michael, Nana Adwoa Anokye Effah, Tchuiendem Nelly Joel, Agyeiwaa Owusu Nkwantabisa
Citations:
6
(Details)
Globalization and Developing Economy: Evidence from Nigeria
,
Journal of Financial Risk Management, Vol.9 No.4, 2020
Cosmas Ogobuchi Odo, Ishmael Agbo, Benjamin Agbaji
Citations:
5
(Details)
Harnessing Machine Learning Emerging Technology in Financial Investment Industry: Machine Learning Credit Rating Model Implementation
,
Journal of Financial Risk Management, Vol.10 No.3, 2021
Chunlan Wang, Mahmut Rustem Sen, Bin Yao, Michal Certik, Koloina A. Randrianarivony
Citations:
5
(Details)
A Holistic Sustainable Finance Model for the Sustainable Capital Market
,
Journal of Financial Risk Management, Vol.9 No.2, 2020
Anastasios Sepetis
Citations:
5
(Details)
Public Debt and Economic Growth of Nepal
,
Journal of Financial Risk Management, Vol.11 No.2, 2022
Tara Prasad Upadhyaya, Tonik Pun
Citations:
5
(Details)
Analysis of the Impact of Microfinancing on Poverty Alleviation in Nigeria
,
Journal of Financial Risk Management, Vol.11 No.3, 2022
Ayodeji Michael Obadire
Citations:
5
(Details)
The Herd Behavior of Risk-Averse Investor Based on Information Cost
,
Journal of Financial Risk Management, Vol.2 No.4, 2013
Guangming Deng
Citations:
5
(Details)
Classification of Risk Perceptions of Trading Firms
,
Journal of Financial Risk Management, Vol.5 No.1, 2016
Gokhan Cinar, Ferruh Isin, Adnan Hushmat
Citations:
5
(Details)
Credit Name Concentration Risk: Granularity Adjustment Approximation
,
Journal of Financial Risk Management, Vol.5 No.4, 2016
Badreddine Slime
Citations:
5
(Details)
Whether Cash Dividend Policy of Chinese Listed Companies Caters to Investors’ Preference
,
Journal of Financial Risk Management, Vol.5 No.3, 2016
Xiaotong Zhan
Citations:
5
(Details)
The Relationship between Abnormal Growth of Inventory and Long-Term Stock Returns of Companies Listed in Tehran Stock Exchange
,
Journal of Financial Risk Management, Vol.5 No.2, 2016
Hussein Teymoori, Faranak Khodayar, Sedigheh Tootian Esfahani
Citations:
5
(Details)
The Impact of Credit Risk Management in Financial Market Indicators—Analytical Study in the Iraqi Market for Securities
,
Journal of Financial Risk Management, Vol.7 No.3, 2018
Mahdi Attia Jubouri
Citations:
5
(Details)
Initial Coin Offering and Cryptocurrencies: Shifting Trust Away from Human Actors and toward a Cryptographic System
,
Journal of Financial Risk Management, Vol.7 No.4, 2018
George Bouchagiar
Citations:
5
(Details)
Empirical Analysis of VDAX and VSTOXX as Major Volatility Indices in the EU Including Forecasting Tools
,
Journal of Financial Risk Management, Vol.8 No.4, 2019
Ernst J. Fahling, Elmar Steurer, Manuel Ulbig, Burkhard Bamberger
Citations:
5
(Details)
Modeling and Quantifying of the Global Wrong Way Risk
,
Journal of Financial Risk Management, Vol.6 No.3, 2017
Badreddine Slime
Citations:
5
(Details)
Does the VaR Measurement Using Monte-Carlo Simulation Work in China?—Evidence from Chinese Listed Banks
,
Journal of Financial Risk Management, Vol.6 No.1, 2017
Dehong Wang, Jianbo Song, Yongzhao Lin
Citations:
5
(Details)
Can Corporate Innovation Restrain the Stock Price Crash Risk?
,
Journal of Financial Risk Management, Vol.7 No.1, 2018
Zhongpei Zhou, Dawei Pan
Citations:
5
(Details)
Credit Risk Management: An Examination on the Basis of Exposures with Risk Weighting in Greek Banks
,
Journal of Financial Risk Management, Vol.6 No.2, 2017
Simeon Karafolas
Citations:
4
(Details)
The Nigerian Contributory Pension Market: A Review of Compliance Status across the Federation
,
Journal of Financial Risk Management, Vol.8 No.3, 2019
Cosmas Ogobuchi Odo, Christopher Chukwudi Orga, Kenneth C. Ozoemenam
Citations:
4
(Details)
Analysis of Financial Risk Management Strategies of Microfinance Banks
,
Journal of Financial Risk Management, Vol.7 No.3, 2018
O. J. Oyetayo, S. U. Eboigbe
Citations:
4
(Details)
Cross-Border Investment and Financing Reforms in Shanghai Pilot Free Trade Zone
,
Journal of Financial Risk Management, Vol.5 No.2, 2016
Jin Wang
Citations:
4
(Details)
Study of Financing Methods in International Trading Company in Iran (Case Study: Mahan Air Company)
,
Journal of Financial Risk Management, Vol.5 No.1, 2016
Asadollah Mehr Ara, Sedigheh Tootian Esfahani, Seyed Mohammad Seyedhasani
Citations:
4
(Details)
Market Segmentation, Price Disparity, and Transmission of Pricing Information: Evidence from Class A and H Shares of Chinese Dual-Listed Companies
,
Journal of Financial Risk Management, Vol.4 No.3, 2015
Kyung-Won Kim, Yong Hyeon Kim, Chul W. Park, Hong-Ghi Min
Citations:
4
(Details)
Bank Characteristics and Procyclicality: A Theoretical Approach
,
Journal of Financial Risk Management, Vol.3 No.3, 2014
Marie-Sophie Gauvin
Citations:
4
(Details)
Game Analysis of SME Financing
,
Journal of Financial Risk Management, Vol.1 No.4, 2012
Pingzhong Lin
Citations:
4
(Details)
Investing in China: Opportunities and Risks in the Future
,
Journal of Financial Risk Management, Vol.1 No.1, 2012
Yunhua Liu
Citations:
4
(Details)
Structural Change Modeling of Singapore Private Housing Price in Simultaneous Equation Model
,
Journal of Financial Risk Management, Vol.1 No.2, 2012
Weihong Huang, Yang Zhang
Citations:
4
(Details)
Banking Regulation Effects on African Banks’ Stability
,
Journal of Financial Risk Management, Vol.11 No.4, 2022
Ayodeji Michael Obadire
Citations:
4
(Details)
Excessive Internal Borrowings and Debt Management: Implications on the Nigerian Economy
,
Journal of Financial Risk Management, Vol.11 No.1, 2022
Victor Ebuka Okeke, Clement Nwakoby, Nonso Evaristus Okeke
Citations:
4
(Details)
Empirical Analysis of Potential Put-Call Parity Arbitrage Opportunities with Particular Focus on the Shanghai Stock Exchange 50 Index
,
Journal of Financial Risk Management, Vol.11 No.1, 2022
Elmar Steurer, Ernst J. Fahling, Jiali Du
Citations:
4
(Details)
Research on Network Lending Risk Analysis Based on Platform Efficiency
,
Journal of Financial Risk Management, Vol.10 No.4, 2021
Dongmei Li, Jin Xu, Liping Li
Citations:
4
(Details)
Time Series Modeling of Dynamic Responses of Commodity Prices to Monetary Policy Shocks in Ghana
,
Journal of Financial Risk Management, Vol.9 No.4, 2020
Ernest Yeboah Boateng, Paul K. Yeboah, Isaac Christopher Otoo, Joseph Otoo
Citations:
4
(Details)
Long-Run Money Demand Function and Stability among Sixteen (16) West Africa Countries
,
Journal of Financial Risk Management, Vol.9 No.4, 2020
Michael Asiedu, Pious Opoku, Anwar Mohsen AbdElghaffar, Patrick Bimpong, Frank Yeboah
Citations:
4
(Details)
Analysis of Risk Measures in Portfolio Optimization for the Uganda Securities Exchange
,
Journal of Financial Risk Management, Vol.10 No.2, 2021
Criscent Birungi, Lucy Muthoni
Citations:
4
(Details)
Unlocking Causal Relationships in Commercial Banking Risk Management: An Examination of Explainable AI Integration with Multi-Factor Risk Models
,
Journal of Financial Risk Management, Vol.12 No.3, 2023
Bing Hu, Yi Wu
Citations:
4
(Details)
Small versus Large Caps—Empirical Performance Analyses of Stock Market Indices in Germany, EU & US since Global Financial Crisis
,
Journal of Financial Risk Management, Vol.9 No.4, 2020
Ernst J. Fahling, Mario Ghiani, Diethard Simmert
Citations:
4
(Details)
Market Discipline and Bank Risk-Taking: The Interbank Deposit Perspective
,
Journal of Financial Risk Management, Vol.10 No.1, 2021
Rugangira Paul Kato
Citations:
3
(Details)
Effect of Cross Functional Job Rotation on Corporate Financial Performance of Commercial Banks in Kenya
,
Journal of Financial Risk Management, Vol.10 No.2, 2021
Philip Kibwage Ondiba, Thomas Cheruiyot, Timothy Sulo
Citations:
3
(Details)
Analysis of Working Capital Sources on Firm Innovation, and Labor Productivity among Manufacturing Firms in DR Congo
,
Journal of Financial Risk Management, Vol.10 No.2, 2021
Michael Asiedu, Sabi Couscous Mouhamadou Nazirou, Dalal Subhi Mousa, Soazafy Joyce Sabrina, Asamoah Achia Rosemary
Citations:
3
(Details)
Application of Generalized Pareto in Non-Life Insurance
,
Journal of Financial Risk Management, Vol.9 No.3, 2020
Mohamed Hanafy
Citations:
3
(Details)
Research on the Relationship between China’s Economic Policy Uncertainty and Stock Market
,
Journal of Financial Risk Management, Vol.9 No.4, 2020
Donghai Zhou, Yuanying Jiang
Citations:
3
(Details)
Portfolio Research Based on Mean-Realized Variance-CVaR and Random Matrix Theory under High-Frequency Data
,
Journal of Financial Risk Management, Vol.9 No.4, 2020
Yajie Yang, Yipin Zhu, Xia Zhao
Citations:
3
(Details)
Optimal Insurance under Heterogeneous Belief
,
Journal of Financial Risk Management, Vol.9 No.3, 2020
Huimin Yu, Ying Fang
Citations:
3
(Details)
Does Psychometric Testing in Microfinance Actually Work?—The Case of Sogesol
,
Journal of Financial Risk Management, Vol.9 No.3, 2020
Rocheny Sifrain
Citations:
3
(Details)
Modelling Stochastic Volatility in the Kenyan Securities Market Using Hidden Markov Models
,
Journal of Financial Risk Management, Vol.10 No.3, 2021
Matilda B. Bosire, Samuel Chege Maina
Citations:
3
(Details)
Corporate Governance and Earnings Management: Evidence from Canada
,
Journal of Financial Risk Management, Vol.10 No.4, 2021
Yoser Gadhoum
Citations:
3
(Details)
Risk-Return of Securities in a Developing Market: The Case of the Bourse Regionale Des Valeurs Mobilieres
,
Journal of Financial Risk Management, Vol.11 No.1, 2022
Hervé Ndoume Essingone, Mouhamadou Saliou Diallo
Citations:
3
(Details)
Determinants of Credit Risk and Operational Risk in Banking Sector Evidence from Pakistani Banking Sector
,
Journal of Financial Risk Management, Vol.12 No.1, 2023
Ihsan Alam Khan, Sehrish Akhter, Jahangir Faiz, Sidra Khan, Muhammad Amir, Noor Ahmad Shah, Major Sohail Khan
Citations:
3
(Details)
Challenges Affecting Effective Implementation of Financial Management Information Systems in Local Government Authorities in Tanzania as Part of the Digital Ecosystem
,
Journal of Financial Risk Management, Vol.11 No.3, 2022
Liliane Pasape, Ernest Godson
Citations:
3
(Details)
CSA Discounting: Impacts on Pricing and Risk of Commodity Derivatives
,
Journal of Financial Risk Management, Vol.3 No.3, 2014
R. Abbate
Citations:
3
(Details)
Franchise Revenue Guarantee Valuation: Real Options Approach
,
Journal of Financial Risk Management, Vol.4 No.1, 2015
Lukito Adi Nugroho
Citations:
3
(Details)
The Market Pricing of Information Risk: From the Perspective of the Generating and Utilizing of Information
,
Journal of Financial Risk Management, Vol.3 No.4, 2014
Xindong Zhang, Xin Li
Citations:
3
(Details)
Construction and Operation of the Fehmarn Belt Immersed Tunnel Is a High-Risk Business Case
,
Journal of Financial Risk Management, Vol.6 No.1, 2017
Hans Schjær-Jacobsen
Citations:
3
(Details)
A Multi-Dimensional Analysis of Corporate Social Responsibility: The Liquidity Risk Factor
,
Journal of Financial Risk Management, Vol.7 No.3, 2018
Homayoon Shalchian, Bouchra M’Zali, Hager Tebini
Citations:
3
(Details)
Contributory Pension Fund Administrations in Nigeria: Stochastic Frontier Analysis of Its Efficiency and Implications for Policy Designs
,
Journal of Financial Risk Management, Vol.8 No.4, 2019
Babatunde Moses Ololade, Abiodun Adewale Adegboye, Rafiu Oyesola Salawu
Citations:
3
(Details)
Risk and Rationality
,
Journal of Financial Risk Management, Vol.8 No.4, 2019
Shreya Shankar
Citations:
3
(Details)
A Study of Issues Related to Illegal and Criminal Acts in Securities in China
,
Journal of Financial Risk Management, Vol.8 No.4, 2019
Zhijuan Chen
Citations:
3
(Details)
Money Laundering Risk Evaluation of Financial Institution with AHP Model
,
Journal of Financial Risk Management, Vol.6 No.2, 2017
Muhammad Subtain Raza, Muhammad Fayaz, Muhammad Haseeb Ijaz, Danish Hussain
Citations:
3
(Details)
Measurement and Analysis of China’s Industrial Technical Efficiency
,
Journal of Financial Risk Management, Vol.7 No.1, 2018
Bing Li
Citations:
3
(Details)
The Impact of Institution Factors on Commercial Banks’ Risk in China
,
Journal of Financial Risk Management, Vol.7 No.2, 2018
Peng Zhou
Citations:
3
(Details)
Estimation of Default Probabilities: Application of the Discriminant Analysis and the Structural Approach for Companies Listed on the BVC
,
Journal of Financial Risk Management, Vol.6 No.3, 2017
Lahsen Oubdi, Abdessamad Touimer
Citations:
3
(Details)
Impact of Short-Term International Capital Flows on Interactivity of Stock Market and Real Estate Market in Chinese First-Tier Cities: A Viewpoint of “Co-Selling Effect”
,
Journal of Financial Risk Management, Vol.7 No.1, 2018
Yiming Zhang
Citations:
3
(Details)
Research on Internet Consumer Financial Products Usage Intention—Taking College Students as an Example
,
Journal of Financial Risk Management, Vol.6 No.4, 2017
Yexin Cai
Citations:
2
(Details)
External Quality Assurance of the Fehmarn Belt Fixed Link Business Case—Too Little, Too Late, and Too Unreliable
,
Journal of Financial Risk Management, Vol.6 No.2, 2017
Hans Schjær-Jacobsen
Citations:
2
(Details)
Managing Real Estate Exposure: An Empirical Analysis on Interest Rate Risk
,
Journal of Financial Risk Management, Vol.6 No.3, 2017
Cem Berk
Citations:
2
(Details)
What Are the Socio-Economic Predictors of Mortality in a Society?
,
Journal of Financial Risk Management, Vol.8 No.4, 2019
Wahab Adewuyi Adejumo, Adetunji Raimi Tijani, Sheriff Adesanyaonatola
Citations:
2
(Details)
Comparison and Analysis of Chinese and United States Stock Market
,
Journal of Financial Risk Management, Vol.9 No.1, 2020
Yufan Yang
Citations:
2
(Details)
Paradoxes of Portfolio Performance Calculation for Wealth Management: Avoiding Reporting Pitfalls
,
Journal of Financial Risk Management, Vol.7 No.3, 2018
Claude Diserens, Emmanuel Fragnière, Christophe Holenstein, Stephen Rufino
Citations:
2
(Details)
Government Subsidy and Crash Risk
,
Journal of Financial Risk Management, Vol.5 No.3, 2016
Yuanzhi Chen, Chunqiang Wu
Citations:
2
(Details)
Analysis on Income Accounting of Real Estate Enterprises
,
Journal of Financial Risk Management, Vol.5 No.3, 2016
Yu Gu, Yanan Yuan
Citations:
2
(Details)
Litigation Risk, Judicial Transparency and Directors’ and Officers’ Liability Insurance
,
Journal of Financial Risk Management, Vol.5 No.4, 2016
Yang Zhao, Jun Hu, Xing Shu
Citations:
2
(Details)
Financial Classification of Listed Companies in China Based on BP Neural Network Method
,
Journal of Financial Risk Management, Vol.5 No.3, 2016
Shunquan Zhu
Citations:
2
(Details)
Risk Component Based Infrastructure Debt Valuation Analysis and Long-Term Investment
,
Journal of Financial Risk Management, Vol.5 No.3, 2016
Chunlan Wang, Satheesh Kumar Sundararajan
Citations:
2
(Details)
The Role of Trading Volume in Forecasting Market Risk
,
Journal of Financial Risk Management, Vol.5 No.1, 2016
Skander Slim
Citations:
2
(Details)
Granular and Star-Shaped Price Systems
,
Journal of Financial Risk Management, Vol.4 No.3, 2015
Erio Castagnoli, Marzia De Donno, Gino Favero, Paola Modesti
Citations:
2
(Details)
Foreign Entry and Multi-Period Bank Competition Based on Collateral View
,
Journal of Financial Risk Management, Vol.2 No.1, 2013
Xudong Chen
Citations:
2
(Details)
Securitizing Area Insurance: A Risk Management Approach
,
Journal of Financial Risk Management, Vol.2 No.3, 2013
Pasquale Lucio Scandizzo
Citations:
2
(Details)
Pricing Double Barrier Parisian Option Using Finite Difference
,
Journal of Financial Risk Management, Vol.2 No.4, 2013
Xuemei Gao
Citations:
2
(Details)
The Empirical Evaluation of the Uptake of Insurance Products in the Sub-Saharan Africa
,
Journal of Financial Risk Management, Vol.11 No.2, 2022
Maalila Malambo
Citations:
2
(Details)
Material and Supplied Management in Higher Education of Ethiopia
,
Journal of Financial Risk Management, Vol.11 No.2, 2022
Adan Hussein
Citations:
2
(Details)
Using TGARCH-M to Model the Impact of Good News and Bad News on Covid-19 Related Stocks’ Volatilities
,
Journal of Financial Risk Management, Vol.11 No.2, 2022
Junqi Chen, Hui Li, Yan Lv
Citations:
2
(Details)
An Empirical Evaluation of Alternative Asset Allocation Policies for Emerging and Frontier Market Investors in Africa
,
Journal of Financial Risk Management, Vol.11 No.3, 2022
Okwaro Douglas Job
Citations:
2
(Details)
Predictive Analysis of Default Risk in Peer-to-Peer Lending Platforms: Empirical Evidence from LendingClub
,
Journal of Financial Risk Management, Vol.12 No.1, 2023
Rocheny Sifrain
Citations:
2
(Details)
Competitive Strategy Alighnment in Enhancing Insurance Uptake: An Evaluation of Life Insurance Products in Uganda
,
Journal of Financial Risk Management, Vol.11 No.2, 2022
Olobo Maurice, Gerald Kagambirwe Karyeija, Protazio Sande, Ronald Regan Okello
Citations:
2
(Details)
Financial Development and Economic Growth in the Southern African Development Community (SADC): The Role of Institutional Quality
,
Journal of Financial Risk Management, Vol.11 No.2, 2022
Allegra Kabamba Mbuyi, Evariste Mabi Mulumba
Citations:
2
(Details)
COVID Impact to Equity Margin Loans—A Practical Approach to Measure Risk with the Client Behavior Assumptions
,
Journal of Financial Risk Management, Vol.11 No.1, 2022
Renlong Miao
Citations:
2
(Details)
Agency Costs and the Power of “Apply and Explain” from South Africa
,
Journal of Financial Risk Management, Vol.10 No.4, 2021
Nkwantabisa Agyeiwaa Owusu, Hadjor Falistus Raphael, Tchuiendem Nelly Joel
Citations:
2
(Details)
Modeling Bursts and Heavy Tails in Inter-Arrival Claims in Non-Life Insurance
,
Journal of Financial Risk Management, Vol.9 No.3, 2020
Mohamed Hanafy
Citations:
2
(Details)
Long-Run Money Demand in Ghana: In Search of Stability
,
Journal of Financial Risk Management, Vol.9 No.4, 2020
Michael Asiedu, Sabi Couscous Mouhamadou Nazirou, Soazafy Joyce Sabrina
Citations:
2
(Details)
Modeling Bank of Kigali Stock Risks in Rwanda Stock Exchange Using Extreme Value Distribution
,
Journal of Financial Risk Management, Vol.10 No.3, 2021
Katu Daniel Edem, Marcel Ndengo
Citations:
2
(Details)
How External Trends and Internal Components Decomposition Method Improve the Predictability of Financial Time Series?
,
Journal of Financial Risk Management, Vol.11 No.3, 2022
Fatene Dioubi, Adnan Khurshid
Citations:
2
(Details)
Insurance Penetration in Africa—A Systematic Literature Review
,
Journal of Financial Risk Management, Vol.12 No.1, 2023
Maalila Malambo
Citations:
2
(Details)
The Research of Chinese Government in Venture Capital Market
,
Journal of Financial Risk Management, Vol.12 No.4, 2023
Xinyun Wang
Citations:
2
(Details)
Using Intelligent Systems to Manage Risks and Reduce Financial Risks Using Artificial Intelligence in Large Companies
,
Journal of Financial Risk Management, Vol.13 No.1, 2024
Amir Hossein Talebi Banizi, Azam Alikhademi
Citations:
1
(Details)
Crafting the Future of Finance: A Comparative Analysis of Cryptocurrency Regulation in the Global Economy
,
Journal of Financial Risk Management, Vol.13 No.1, 2024
Marina Estato Apsan Frediani
Citations:
1
(Details)
A Critical Review of Project Implementation Strategy of the Southern African Development Community (SADC) Secretariat (2011-2014)
,
Journal of Financial Risk Management, Vol.10 No.3, 2021
Maalila Malambo
Citations:
1
(Details)
Book-Tax Alignment in Family Firms: Evidence from Taiwan
,
Journal of Financial Risk Management, Vol.10 No.2, 2021
Jung-Hsin Chang, Ming-Hsiu Tsai, Yuan-Sheng Lin, Kuo-Chih Cheng
Citations:
1
(Details)
Low Default Portfolios—A Proposed Rule to Identify Differences between Imprudence, Conservatism, and Exaggeration
,
Journal of Financial Risk Management, Vol.11 No.1, 2022
David J. C. Dinis
Citations:
1
(Details)
Spin-Offs and Their Impact on Shareholder Wealth: An Empirical Analysis on the German Capital Market
,
Journal of Financial Risk Management, Vol.10 No.4, 2021
Elmar Steurer, Ernst J. Fahling, Vinzenz Danner
Citations:
1
(Details)
Quantitative Analysis of the Impact of Basel II Accord on Greek Banks: The Application of IRB Approach
,
Journal of Financial Risk Management, Vol.11 No.1, 2022
Anna Donatou, Ioannis Leventides
Citations:
1
(Details)
A Literature Study of the Impact of COVID-19 Pandemic on the Financing of the SMEs in China
,
Journal of Financial Risk Management, Vol.11 No.2, 2022
Hui Jia, Shenrui Zhang, Ruibin Xu, Qingya Zhang, Beining Guo
Citations:
1
(Details)
The Layman’s Guide to Bonds and Municipal Bonds
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Journal of Financial Risk Management, Vol.12 No.1, 2023
Daniel J. Ramos
Citations:
1
(Details)
Financial Institutions and Market Information Dissemination Techniques for Small and Medium Enterprises: A Case of Selected SMEs in Dar es Salaam, Tanzania
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Journal of Financial Risk Management, Vol.11 No.4, 2022
Lwidiko Mnenwa Badi, Samwel Peter Lunyelele, Moses Ayub Kusiluka
Citations:
1
(Details)
Performance in the Insurance Industry (Islamic versus Conventional) and Risk Management
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Journal of Financial Risk Management, Vol.11 No.3, 2022
Amina Aouini, Chokri Abdennadher
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1
(Details)
Deviation Measures on Banach Spaces and Applications
,
Journal of Financial Risk Management, Vol.2 No.1, 2013
Christos E. Kountzakis
Citations:
1
(Details)
Research on the Effects of Fund Performance on Fund Manager Turnover
,
Journal of Financial Risk Management, Vol.1 No.3, 2012
Tiao-yan Hui, Ze Yuan
Citations:
1
(Details)
Microfinance Risk Management with Work Breakdown Structure
,
Journal of Financial Risk Management, Vol.1 No.3, 2012
Junxiang Liu
Citations:
1
(Details)
Research of Chinese Government Financial Reform Based on the Comparisons of Advanced Budget Management Modes
,
Journal of Financial Risk Management, Vol.3 No.4, 2014
Jingxin Huang, Hongsheng Xia
Citations:
1
(Details)
A Study of Coupling Relationship between Financial Supervision and Innovation: Based on the Data of China’s Commercial Bank Listed in the Form of A Shares
,
Journal of Financial Risk Management, Vol.4 No.1, 2015
Wei Song, Chao Yan, Xiaobao Peng, Shanshan Zheng
Citations:
1
(Details)
Excessive Base Money and Global Financial Crisis in Relation to the Essence of the So-Called “Abenomics”
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Journal of Financial Risk Management, Vol.2 No.4, 2013
Goro Takahashi
Citations:
1
(Details)
Do Pre-Sale and Post-Sale Foreclosure Statutes Impact Foreclosure Starts?
,
Journal of Financial Risk Management, Vol.4 No.2, 2015
Russell Price, Debby Lindsey-Taliefero, Lynne Kelly, William Brent
Citations:
1
(Details)
Research on Gradient Transfer of China’s Processing Trades Industries
,
Journal of Financial Risk Management, Vol.4 No.3, 2015
Wenwen Liu
Citations:
1
(Details)
Are the ASISA Standards with Respect to Unit Trust Classification Representative of Homogeneous Risk Classes?
,
Journal of Financial Risk Management, Vol.5 No.2, 2016
Joe Kainja
Citations:
1
(Details)
Relational Analysis of Talents’ Turnover and Management Factors in Bank’s Credit Card Center: An Empirical Analysis Based on Six Banks in Guangzhou
,
Journal of Financial Risk Management, Vol.7 No.3, 2018
Lian Duan, Ling Yan
Citations:
1
(Details)
Mean-Variance Portfolio Choice with Uncertain Variance-Covariance Matrix
,
Journal of Financial Risk Management, Vol.9 No.2, 2020
Wei Guo, Yichao Wang, Danping Qiu
Citations:
1
(Details)
Characteristics of Strategic Partnerships between Differently Successful Companies
,
Journal of Financial Risk Management, Vol.9 No.2, 2020
Drago Dubrovski
Citations:
1
(Details)
Analysis of the Dependence of Stock Risk Based on Copula Theory
,
Journal of Financial Risk Management, Vol.8 No.4, 2019
Qi Li, Guangming Deng, Xin Tan
Citations:
1
(Details)
An Analytical Portfolio Credit Risk Model Based on the Extended Binomial Distribution
,
Journal of Financial Risk Management, Vol.8 No.3, 2019
Sven Fischer
Citations:
1
(Details)
Co-Movement and Interaction Effects across the Monetary, Foreign Exchange and Stock Markets: Evidence from China
,
Journal of Financial Risk Management, Vol.6 No.3, 2017
Xuejin Zhao, Han Zhang
Citations:
1
(Details)
Psychological Endurance Hypothesis for Uncertain Decision and Its Application in Supply Chain Information Sharing
,
Journal of Financial Risk Management, Vol.6 No.2, 2017
Xirong Gao, Ying Shi, Jianguang Zhang, Yang Luo
Citations:
1
(Details)
The Impact of Predation Risk on the Marginal Value of Cash Holdings: An Empirical Perspective
,
Journal of Financial Risk Management, Vol.6 No.2, 2017
Xinbao Yang, Jiguang Zheng
Citations:
1
(Details)
The Impact of Securities Analysts’ Prediction on the Market
,
Journal of Financial Risk Management, Vol.6 No.2, 2017
Xiaoxiao Wu
Citations:
1
(Details)
The Influence of Venture Capital Investment on Underpricing of Second-Board Market IPO
,
Journal of Financial Risk Management, Vol.6 No.1, 2017
Ling Wu
Citations:
1
(Details)
The Impact of RMB International on Pricing Power of China’s Bulk Stock
,
Journal of Financial Risk Management, Vol.7 No.1, 2018
Ting Wang
Citations:
1
(Details)
The Literature Review of Raised Funds to Buy Financial Products
,
Journal of Financial Risk Management, Vol.7 No.1, 2018
Xing Jiang
Citations:
1
(Details)
The Jump Dynamics of the Industry-Specific Nominal Effective Exchange Rate of RMB and the Impact of Major International Currencies on It—An Empirical Study Based on the ARJI Model
,
Journal of Financial Risk Management, Vol.7 No.1, 2018
Yuqi Wang
Citations:
1
(Details)
An Empirical Research on IPO Exit Performance of ChiNext
,
Journal of Financial Risk Management, Vol.7 No.1, 2018
Yan Ding
Citations:
1
(Details)
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