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Showing 1-20 of 6,419 results
  1. Cash flow sensitivity of cash: when should we use it to measure financial constraints?

    Since Almeida et al. (J Financ 59:1777–1804, 2004), there has been a long debate on whether the cash flow sensitivity of cash (CFSC) measures...

    Wei** Hu, **ao Zhang, Ye He in Review of Quantitative Finance and Accounting
    Article 13 November 2023
  2. Impact of financial literacy on savings behavior: the moderation role of risk aversion and financial confidence

    This research examines the impact of financial literacy on the savings behavior of investors residing in the Gulf Cooperation Council (GCC) region....

    S. Ananda, Raghavendra Prasanna Kumar, Tamanna Dalwai in Journal of Financial Services Marketing
    Article 28 January 2024
  3. CEO confidence matters: the real effects of short sale constraints revisited

    This paper investigates the role of managerial biases in the real effects of limits to arbitrage. In a natural experiment setting with Regulation...

    Article 07 November 2023
  4. Asset pricing and hedging in financial markets with fixed and proportional transaction costs

    We establish the asset pricing and hedging principle in a financial market model, which is a specific case of the von Neumann-Gale dynamical system,...

    Esmaeil Babaei in Annals of Finance
    Article Open access 15 May 2024
  5. Financial System

    This chapter gives an overview of the challenges of banks in the context of digitalization as part of the financial system and introduces potential...
    Thomas Puschmann, H. S. H. Prince Michael of Liechtenstein in Financial System 2030
    Chapter 2024
  6. Multinational Lending Retrenchment after the Global Financial Crisis: The Impact of Policy Interventions

    Did policy interventions contribute to the gradual segmentation of lending markets starting with the 2007 - 2008 global financial crisis? We...

    Article 18 July 2023
  7. Central Bank Digital Currencies and financial integrity: finding a new trade-off between privacy and traceability within a changing financial architecture

    In an increasingly digitised world, and within the new reality of digital finance, a fully digitised public currency seems to be a natural step. To...

    Giulio Soana, Thomaz de Arruda in Journal of Banking Regulation
    Article Open access 20 March 2024
  8. Environmental sustainability and financial stability: can macroprudential stress testing measure and mitigate climate-related systemic financial risk?

    Despite widespread recognition among financial regulators and central banks that climate change may threaten financial stability, the causes and...

    Mercy Berman DeMenno in Journal of Banking Regulation
    Article 28 November 2022
  9. Does Innovation Relieve Corporate Financial Distress?

    This paper examines whether innovation ability improves corporate performance of financially distressed firms. I begin by providing direct evidence...

    Article 25 January 2024
  10. Forecast the Role of GCC Financial Stress on Oil Market and GCC Financial Markets Using Convolutional Neural Networks

    This study aims to predict GCC financial stress on oil market, and GCC Stock and bond markets while considering the effect of the 2008 financial...

    Taicir Mezghani, Mouna Boujelbène Abbes in Asia-Pacific Financial Markets
    Article 13 October 2022
  11. Financial planning behaviour: a systematic literature review and new theory development

    Financial resilience is founded on good financial planning behaviour. Contributing to theorisation efforts in this space, this study aims to develop...

    Kingsley Hung Khai Yeo, Weng Marc Lim, Kwang-**g Yii in Journal of Financial Services Marketing
    Article Open access 03 October 2023
  12. Quest for financial inclusion via digital financial services (Fintech) during COVID-19 pandemic: case study of women in Indonesia

    Based upon an extended Technology Acceptance Model (TAM), this study aims to investigate the factors influencing the behavioral intention to adopt...

    Budi Setiawan, Thich Dai Phan, ... Maria Fekete-Farkas in Journal of Financial Services Marketing
    Article Open access 13 March 2023
  13. Economic Freedom, Ownership Structure, and SME Financial Fragility: Evidence from an Emerging Economy

    This paper examines the impact of economic freedom on the financial fragility of 1,496 non-financial SMEs in Vietnam over the period 2012–2020. We...

    Article 28 February 2024
  14. Fintech and Financial Inclusion in Develo** Countries

    Financial inclusion is identified as a driver of sustainable development and a necessary condition for social and economic development. Yet, most...
    Charles Adjasi, Calumn Hamilton, Robert Lensink in The Fintech Disruption
    Chapter 2023
  15. Financial inclusion and sustainable development: A review and research agenda

    This bibliometric review explores the relationship between financial inclusion and sustainable development. It aims to identify key concepts in this...

    Nejla Ould Daoud Ellili in Journal of Financial Services Marketing
    Article 14 February 2024
  16. Do Co-opted Boards Affect the Financial Performance of Insurance Firms?

    We examine the performance-effects of Chief Executive Officer (CEO) co-opted boards in United Kingdom (UK) property-casualty insurers. We report that...

    Michael Adams, Zafeira Kastrinaki in Journal of Financial Services Research
    Article Open access 13 September 2023
  17. Housing Types, Financial Literacy, and Household Financial Investment Behavior

    It is well known that the past decade has been a golden period for Chinese real estate development in China. Houses, as a major asset class, have...
    Sibo Zhao, Dawei Zhao in The Household Finance Issues in China
    Chapter 2024
  18. Exploring the link between financial literacy and business interruption insurance: evidence from Italian micro-enterprises

    This article examines the relationship between financial literacy and business interruption (BI) insurance among Italian entrepreneurs. Following an...

    Article Open access 01 March 2024
  19. Corporate investment decisions with switch flexibility, constraints, and path-dependency

    We model sequential, corporate investment decisions with time-to-build delays, operating scale mode switching, operating constraints, and path...

    Spiros H. Martzoukos, Nayia Pospori, Lenos Trigeorgis in Review of Quantitative Finance and Accounting
    Article 10 January 2024
  20. Psychological capabilities for salespeople’s sustainable work performance in financial services sector

    The present study investigated the importance of psychological capabilities to support financial product salespeople in overcoming challenges and...

    Soo Yeong Ewe, Helen Hui ** Ho in Journal of Financial Services Marketing
    Article Open access 17 April 2023
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