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Keywords: E44
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Journal Articles
Journal:
The Journal of Risk Finance
Journal of Risk Finance (2026) 27 (1): 108–131.
Published: 23 January 2026
... of both asset sales and CSR in modern corporate strategy creates complex strategic trade-offs that remain poorly understood. Asset sales CSR Financial distress Moderating proxy C18 E44 G11 G32 G33 M14 The motivation for this study arises from three key gaps in the existing...
Journal Articles
Journal:
The Journal of Risk Finance
Journal of Risk Finance (2025) 26 (1): 1–21.
Published: 02 December 2024
... a methodology similar to the approach discussed by Koop and Korobilis (2014) and later adapted by Mhadhbi (2024) . C22 C32 E44 (6) ∑ j = 1 N ∅ ∼ i , j r ( H ) ≠ 1 (7) ∑ i , j = 1 N ∅ ∼ i , j r ( H ) = N where...
Journal Articles
Journal:
The Journal of Risk Finance
Journal of Risk Finance (2024) 25 (1): 19–34.
Published: 15 November 2023
... only Macroeconomic variables VAR Cointegration IRF Dynamic relationship Malaysia Stock market Inflation Exchange rate Producer price index Money supply C22 C58 G15 E44 The relationship between macroeconomic variables and the stock market has always been a subject...
Journal Articles
Journal:
The Journal of Risk Finance
Journal of Risk Finance (2019) 20 (1): 59–81.
Published: 09 January 2019
... © Emerald Publishing Limited 2019 Emerald Publishing Limited Licensed re-use rights only Foreign banks Credit risk Financial intermediation Financial development Non-performing loans Asset quality G28 G32 F34 O16 E44 G01 G21 This study examines the influence...
Journal Articles
Journal:
The Journal of Risk Finance
Journal of Risk Finance (2017) 18 (4): 368–380.
Published: 21 August 2017
... Limited 2017 Emerald Publishing Limited Licensed re-use rights only Interest rates Inflation Exchange rates Exports and imports Foreign reserves Sovereign credit default swap F31 G13 C13 E44 G12 Credit default swap (CDS) introduced by JP Morgan (an American financier...
