The Impact of Directional Global Economic Policy Uncertainty on Indian Stock Market Volatility: New Evidence Aswini Kumar MishraAnand Theertha NakhateBibhu Prasad Kar Original Research 25 August 2023
Optimal Currency Portfolio with Implied Return Distribution in the Mean-Variance Approach Yuta HibikiTakuya KiriuNorio Hibiki Original Research 22 August 2023 Pages: 251 - 283
The Impact of Third-Party Financial Products on the Consumer Loan Services Market in the Banking Sector: An Analysis of Sales Progress and Consumer Behavior Narendra Singh RanawatAyon Chakraborty Original Research 17 August 2023 Pages: 367 - 387
Forecasting of Crude Oil Prices Using Wavelet Decomposition Based Denoising with ARMA Model Prabhat Mittal Original Research 17 August 2023 Pages: 355 - 365
Fund Characteristics, Managerial Skills and Performance Persistence: Evidence from India Sudipta MajumdarRohan Kumar MishraAbhijeet Chandra Original Research 30 July 2023 Pages: 335 - 354
Performance Attributes of Environmental, Social, and Governance Exchange-Traded Funds Hasan F. BaklaciWilliam I-Wei ChengJianing Zhang Original Research 22 July 2023 Pages: 307 - 334
Covid-19 Data Manipulation and Reaction of Stock Markets Monika BolekCezary Bolek Original Research Open access 30 June 2023 Pages: 137 - 164
Decomposing the Momentum in the Japanese Stock Market Yasuhiro IwanagaTakehide HiroseTomohiro Yoshida Original Research 20 June 2023 Pages: 221 - 250
A CNN-LSTM Stock Prediction Model Based on Genetic Algorithm Optimization Heon Baek Original Research 17 June 2023 Pages: 205 - 220
Exchange Rate and Stock Prices Volatility Connectedness and Spillover during Pandemic Induced-Crises: Evidence from BRICS Countries Muntazir HussainUsman BashirRamiz Ur Rehman Original Research 01 June 2023 Pages: 183 - 203
Economic Policy Uncertainty and Emerging Stock Market Volatility Maria GhaniUsman Ghani Original Research 24 May 2023 Pages: 165 - 181
The Relationship Between Financial Knowledge, Investment Strategy and Satisfaction From Pension Schemes: Evidence From India Shallu SainiTejinder SharmaSatyanarayana Parayitam Original Research 15 May 2023 Pages: 101 - 135
Does Market Performance (Tobin’s Q) Have A Negative Effect On Credit Ratings? Evidence From South Korea Hyoung-Joo LimDafydd Mali Original Research Open access 10 May 2023 Pages: 53 - 80
Entropy Augmented Asset Pricing Model: Study on Indian Stock Market Harshit MishraParama Barai Original Research 09 May 2023 Pages: 81 - 99
Industry Competition, Market Shares, and the Long-Run Performance of SEO Firms Weiju YoungJunming HsuTzu-Ju Yang Original Research 30 April 2023 Pages: 845 - 867
A Dynamic Analysis of the Twin-Deficit Hypothesis: the Case of a Developing Country Ibrar HussainUmar HayatUzma Khan OriginalPaper 29 April 2023 Pages: 25 - 52
Into the Unknown: Uncertainty, Foreboding and Financial Markets Smita Roy Trivedi OriginalPaper 11 April 2023 Pages: 1 - 23
Multi-period Dynamic Bond Portfolio Optimization Utilizing a Stochastic Interest Rate Model Yoshiyuki ShimaiNaoki Makimoto Original Research 23 March 2023 Pages: 817 - 844
How Serious is India’s Nonperforming Assets Crisis? A Structural Satellite Version of the Financial-Macroeconometric Model Nithin ManiAlok Kumar MishraJijin Pandikasala Original Research 20 March 2023 Pages: 761 - 794
Innovative Financial Instruments and Investors’ Interest in Indian Securities Markets Pradiptarathi Panda Editorial 18 March 2023 Pages: 1 - 12
Does G7 Engross the Shock of COVID 19: An Assessment with Market Volatility? Nupur Moni DasBhabani Sankar RoutYashmin Khatun Original Research 16 March 2023 Pages: 795 - 816
Macroeconomic Response to BRICS Countries Stock Markets Using Panel VAR Babita PandaAjaya Kumar PandaPradiptarathi Panda Original Research 09 March 2023 Pages: 259 - 272
Market Efficiency of Commodity Derivatives with Reference to Nonagricultural Commodities Hema Divya KantamaneniVasudeva Reddy Asi Original Research 07 March 2023 Pages: 247 - 258
Media Coverage, Real Earnings Management, and Long-Run Market Performance: Evidence from Chinese IPOs Danning Yu Original Research 14 January 2023 Pages: 729 - 760
The Stock Performance of Green Bond Issuers During COVID-19 Pandemic: The Case of China Jiongye JinJianing Zhang Original Research 05 December 2022 Pages: 211 - 230
Exchange Rate Risk Management using Currency Derivatives: The Case of Exposures to Japanese Yen Sung C. BaeTaek Ho Kwon Original Research 03 December 2022 Pages: 621 - 647
Inclusions and Exclusions of Stocks in Cross-Border Investments: The Case of Stock Connect Kin Ming WongKwok Ping Tsang Original Research 29 November 2022 Pages: 701 - 727
Insurance Market and Economic Growth in an Information-Driven Economy: Evidence from a Panel of High- and Middle-Income Countries? Rudra P. PradhanSahar BahmaniJohn H. Hall Original Research 17 November 2022 Pages: 587 - 620
An ISM and MICMAC Approach for Modelling the Contributors of Multibagger Stocks Ajay ChauhanSwati GuptaSanjay Gupta Original Research 16 November 2022 Pages: 677 - 699
Volatility Spillover Between Chinese Stock Market and Selected Emerging Economies: A Dynamic Conditional Correlation and Portfolio Optimization Perspective Miklesh Prasad YadavSudhi SharmaIndira Bhardwaj Original Research 10 November 2022 Pages: 427 - 444
The Dynamic Volatility Connectedness of Major Environmental, Social, and Governance (ESG) Stock Indices: Evidence Based on DCC-GARCH Model Muneer ShaikMohd Ziaur Rehman Original Research 31 October 2022 Pages: 231 - 246
Disentangling the Nonlinearity Effect in Cryptocurrency Markets During the Covid-19 Pandemic: Evidence from a Regime-Switching Approach Nidhal MgadmiAzza BéjaouiWajdi Moussa Original Research 25 October 2022 Pages: 457 - 473
Effect of Index Concentration on Index Volatility and Performance Amit PandeyAnil Kumar Sharma Original Research 24 October 2022 Pages: 559 - 585
Impact of India’s Demonetization Episode on its Equity Markets Goutam SutarKrantiraditya DhalmahapatraSayan Chakraborty Original Research 22 October 2022 Pages: 649 - 675
Multi-scale Features of Interdependence Between Oil Prices and Stock Prices Ngo Thai HungXuan Vinh Vo Original Research 18 October 2022 Pages: 475 - 504
Is Cross-Hedging Effective for Mitigating Equity Investment Risks in the Indian Banking Sector? Babu JoseNithin Jose Original Research 14 October 2022 Pages: 189 - 210
Comparing Financial Debt Choices of Existing and New SMEs in Indian Manufacturing Sector KG SureshAkanksha SaxenaM. Srikanth Original Research 14 October 2022 Pages: 445 - 456
Forecast the Role of GCC Financial Stress on Oil Market and GCC Financial Markets Using Convolutional Neural Networks Taicir MezghaniMouna Boujelbène Abbes Original Research 13 October 2022 Pages: 505 - 530
Board Variables Reforms in India: Success or Failure? A Comparative Analysis Between Pre and Post Enactment Period of Companies Act, 2013 Mahesh Chand GargKhushboo Tanwer Original Research 07 October 2022 Pages: 531 - 558
Stock returns seasonality in emerging asian markets Khushboo AggarwalMithilesh Kumar Jha Original Research 03 October 2022 Pages: 109 - 130
Does Remittance and Human Capital Formation Affect Financial Development? A Comparative Analysis Between India and China Shreya Pal Original Research 21 August 2022 Pages: 387 - 426
Investment Performance and Tracking Efficiency of Indian Equity Exchange Traded Funds L. AlameluNisha Goyal OriginalPaper 17 August 2022 Pages: 165 - 188
FDI Inflows-Economic Globalization Nexus in ASEAN Countries: The Panel Bootstrap Causality Test Based on Wavelet Decomposition Muhammed Sehid GorusVeli YilanciMaxwell Kongkuah Original Research 30 July 2022 Pages: 339 - 362
Measuring Dependence in a Set of Asset Returns Dilip B. MadanKing Wang Original Research 29 July 2022 Pages: 363 - 385
Is the Growth of Companies Influencing Their Financial Condition Depending on Their Size: S&P 500 Listed Companies Example Monika BolekAgata Gniadkowska-Szymańska Original Research Open access 28 July 2022 Pages: 323 - 337
Control Variate Method for Deep BSDE Solver Using Weak Approximation Yoshifumi Tsuchida Original Research 27 July 2022 Pages: 273 - 296
Best-Case Scenario Robust Portfolio: Evidence from China Stock Market Kaiqiang AnGuiyu ZhaoChen Chen Original Research 29 June 2022 Pages: 297 - 322
Persistence of Large-Cap Equity Funds performance, market timing ability, and selectivity: evidence from India Veeravel. VA. Balakrishnan Original Research 20 June 2022 Pages: 37 - 48
Trading Behaviour of Foreign Institutional Investors: Evidence from Indian Stock Markets Paramita MukherjeeSweta Tiwari Original Research 28 May 2022 Pages: 605 - 629
Nexus Between Indian Financial Markets and Macro-economic Shocks: A VAR Approach Prabhas Kumar Rath Original Research 26 May 2022 Pages: 131 - 164