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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:
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Determinants of Banking Stability: Evidence from Haiti’s Banking System
()
Rocheny Sifrain
Journal of Financial Risk Management
Vol.10 No.1
, March 26, 2021
DOI:
10.4236/jfrm.2021.101005
977
Downloads
4,267
Views
Citations
This article belongs to the Special Issue on
Market Discipline and Bank Risk-Taking: The Interbank Deposit Perspective
()
Rugangira Paul Kato
Journal of Financial Risk Management
Vol.10 No.1
, March 23, 2021
DOI:
10.4236/jfrm.2021.101004
1,005
Downloads
3,612
Views
Citations
This article belongs to the Special Issue on
Comparative Analysis of Financial Advancements in Mongolia
()
Solongo Chuluunbat
Journal of Financial Risk Management
Vol.10 No.1
, March 23, 2021
DOI:
10.4236/jfrm.2021.101003
1,083
Downloads
3,095
Views
Citations
This article belongs to the Special Issue on
Do Sell-Side Security Analysts Act as Prophets?
()
Dewundara Liyanage Prasath Manjula Rathnasingha
,
Nayomi Weerasinghe
Journal of Financial Risk Management
Vol.10 No.1
, March 19, 2021
DOI:
10.4236/jfrm.2021.101002
580
Downloads
1,435
Views
Citations
This article belongs to the Special Issue on
Globalization and Developing Economy: Evidence from Nigeria
()
Cosmas Ogobuchi Odo
,
Ishmael Agbo
,
Benjamin Agbaji
Journal of Financial Risk Management
Vol.9 No.4
, December 31, 2020
DOI:
10.4236/jfrm.2020.94028
1,121
Downloads
7,039
Views
Citations
This article belongs to the Special Issue on
Working Capital Management and Firms’ Profitability: Dynamic Panel Data Analysis of Manufactured Firms
()
Kafeel
,
Javed Ali
,
Maaz Ud Din
,
Abdul Waris
,
Muhammad Tahir
,
Sher Khan
Journal of Financial Risk Management
Vol.9 No.4
, December 24, 2020
DOI:
10.4236/jfrm.2020.94027
3,756
Downloads
12,622
Views
Citations
This article belongs to the Special Issue on
Portfolio Research Based on Mean-Realized Variance-CVaR and Random Matrix Theory under High-Frequency Data
()
Yajie Yang
,
Yipin Zhu
,
Xia Zhao
Journal of Financial Risk Management
Vol.9 No.4
, December 11, 2020
DOI:
10.4236/jfrm.2020.94026
916
Downloads
2,383
Views
Citations
This article belongs to the Special Issue on
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