Journal of Risk Finance
Issue(s) available: 116 – From Volume: 1 Issue: 1, to Volume: 25 Issue: 2
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Diversity as value driver in Euro Stoxx 50 companies
Raul Gomez-Martinez, María Luisa Medrano-GarciaCorporate diversity encompasses the different talents, knowledge, cultures, experiences and values of its employees. This diversity is reflected in multiple characteristics, such…
How do gender diversity and CEO profile impact dividend policy in banking? Evidence from Islamic and conventional banks
Hicham Sbai, Ines Kahloul, Jocelyn GriraThis paper aims to examine the determinants of the dividend distribution policy in a banking setting.
Downside risk in Dow Jones equity markets: hedging and portfolio management during COVID-19 pandemic and the Russia–Ukraine war
Amira Said, Chokri OuerfelliThis paper aims to examine the dynamic conditional correlation (DCC) and hedging ratios between Dow Jones markets and oil, gold and bitcoin. Using daily data, including the…
Twitter sentiment analysis and bitcoin price forecasting: implications for financial risk management
Tauqeer Saleem, Ussama Yaqub, Salma ZamanThe present study distinguishes itself by pioneering an innovative framework that integrates key elements of prospect theory and the fundamental principles of electronic word of…
Political stability and corruption nexus: an international perspective on European and Asian countries
Daniela-Georgeta Beju, Maria-Lenuta Ciupac-Ulici, Vasile Paul BresfeleanThis paper aims to investigate the impact of political stability on corruption by drawing upon a sample encompassing both developed and developing European and Asian countries.
ISSN:
1526-5943Online date, start – end:
1999Copyright Holder:
Emerald Publishing LimitedOpen Access:
hybridMerged from:
Balance SheetEditor:
- Nawazish Mirza