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  1. Investment in risky assets and participation in the financial market: does financial literacy matter?

    Our study contributes to a better understanding of the relationship between financial literacy and households’ investments in risky assets. We...

    Andreas Oehler, Matthias Horn, Stefan Wendt in International Review of Economics
    Article Open access 27 September 2023
  2. Systemic Financial Risk of Stock Market Based on Multiscale Networks

    This paper investigates the connectedness among 36 financial institutions in China from time–frequency perspective. Specifically, using MEMD and...

    Youtao **ang, Sumuya Borjigin in Computational Economics
    Article 09 July 2024
  3. Financial market enforcement in France

    This article puts into perspective enforcement as conducted by the French Financial Market Authority since its creation in 2003 until 2021 with...

    Article 04 March 2023
  4. State and Financial Market

    We discuss the relationship between state and financial capital (Meister, Pistor etc.). An important significance of the government's provision of...
    Chapter 2024
  5. Fiscal Space and Policy Response to Financial Crises: Market Access and Deficit Concerns

    Existing literature suggests that fiscal space matters for the policy response to financial crises. High public debt levels limit countries capacity...

    Paraskevi K. Salamaliki, Ioannis A. Venetis in Open Economies Review
    Article Open access 17 July 2023
  6. Global Financial Market

    Analysing the structure, instruments, and participants in the global financial market, the chapter explores the main aspects of its segments, such as...
    Svetlana Pertseva, Galina Panova, Maxim Petrov in World Economy and International Business
    Chapter 2023
  7. Dynamic heterogeneous panel analysis of financial market disciplinary effects on fiscal balance

    This study examines the financial market discipline hypothesis, focusing on whether and how governments adjust their fiscal balances in response to...

    Article 08 November 2023
  8. Unraveling Systemic Risk Transmission: An Empirical Exploration of Network Dynamics and Market Liquidity in the Financial Sector

    The banking industry, as a cornerstone of the economy, plays a pivotal role in the efficient allocation of funds. However, it is not immune to the...

    Article 27 February 2024
  9. Empirical Nexus Between Firm Characteristics, Market Characteristics, Financial Delinquency, and Its Analogy to Access to Finance for SMEs

    The study highlighted the role of firm characteristics, market characteristics, and financial delinquency on access to finance for small and...

    Waqas Khan, Qasim Ali Nisar, ... Ali Raza Elahi in Journal of the Knowledge Economy
    Article 15 February 2024
  10. The Relationship Between Intellectual Capital, Financial Stability, Firm Performance, Market Value, and Bankruptcy Risk: Empirical Evidence from Pakistan

    Intellectual capital (IC) plays a critical role in determining firm performance (FP), market value (MV), financial stability, and sustainable...

    Article 13 May 2024
  11. Financial development and declining market dynamics: Another dark side of “too much finance”?

    This paper empirically investigates whether financial development has played a role in the rise of market concentration over the past decades. Using...

    **aoyang Zhu in Empirical Economics
    Article 06 November 2022
  12. Stochastic Default Risk Estimation Evidence from the South African Financial Market

    This paper provides empirical studies of the estimation of defaultable bonds in the South African financial markets. The key objective is to estimate...

    Mesias Alfeus, Kirsty Fitzhenry, Alessia Lederer in Computational Economics
    Article Open access 01 November 2023
  13. (In)efficiencies of current financial market infrastructures: an empirical assessment

    We use unique individual bank-to-bank repo transaction data to empirically assess the efficiency of the existing Swiss financial market...

    Basil Guggenheim, Sébastien Kraenzlin, Christoph Meyer in Swiss Journal of Economics and Statistics
    Article Open access 15 November 2022
  14. Changing Risk Appetite and Price Dynamics of Gold Vis-a-Vis Real and Financial Assets: Perspective from the Indian Market

    Motivated by the changing dynamics of gold prices on account of the prevalent uncertainty amidst the COVID-19 pandemic coupled with the proactive...

    Sujata Kundu, Archana Dilip in Journal of Quantitative Economics
    Article 26 July 2023
  15. Market Ecology: Trading Strategies and Market Volatility

    The value strategy and technical analysis strategy have existed in the financial market for a long time, and the impact of these two types of...

    Kun **ng, Honggang Li in Computational Economics
    Article 02 March 2024
  16. Global Financial Turbulence and China’s Financial Market

    Does the US banking risk lead to a financial crisis? Does the US banking turbulence impact China’s economy? How did the Chinese respond to the...
    Chapter 2024
  17. Co-evolution in the Financial Market

    The chapter begins with a synoptic presentation of the theoretical underpinnings of the evolutionary process as grounded in Biology, and in this...
    Emil Dinga, Camelia Oprean-Stan, ... Gabriela-Mariana Ionescu in Co-Evolution of Symbolic Species in the Financial Market
    Chapter 2023
  18. Autopoietic Market Hypothesis: The Financial Autopoiesis

    In this chapter, the bases put in the previous one are used to introduce our hypothesis regarding the financial autopoiesis. The entire discussion is...
    Emil Dinga, Camelia Oprean-Stan, ... Gabriela-Mariana Ionescu in Economic and Financial Market Behaviour
    Chapter 2023
  19. Gradual financial integration and macroeconomic fluctuations in emerging market economies: evidence from China

    This paper extends the conventional DSGE literature by develo** a New Keynesian DSGE model featuring imperfect financial markets with various...

    Article 30 August 2022
  20. Trinomial Co-evolution in the Financial Market

    The chapter contains the trinomial preference-information-price model, the authors’ second logical (and quantitative) model of financial market...
    Emil Dinga, Camelia Oprean-Stan, ... Gabriela-Mariana Ionescu in Co-Evolution of Symbolic Species in the Financial Market
    Chapter 2023
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