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Keywords: F36
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Journal Articles
Journal:
The Journal of Risk Finance
Journal of Risk Finance (2024) 25 (3): 537–554.
Published: 19 April 2024
.... Finally, we sort the data based on liquidity ratio (liquid assets to total assets), the top quartile is labeled as high liquid banks and the fourth quartile represents low liquid banks (Abbas and Ali, 2022a). Economic freedom Bank stability Japan GMM framework F36 G21 G28...
Journal Articles
Journal:
The Journal of Risk Finance
Journal of Risk Finance (2023) 24 (5): 614–630.
Published: 07 September 2023
... H63 F36 G15 F34 In recent years, there has been significant growth in using spatial econometric models in finance. These models are a particular branch of statistics, allowing to account for interdependencies across countries. These interdependencies are captured by an interaction matrix...
Journal Articles
Journal:
The Journal of Risk Finance
Journal of Risk Finance (2023) 24 (4): 483–502.
Published: 14 June 2023
... Wavelet analysis E42 F36 G01 G15 Past two decades have witnessed the changing dynamics of the economic, financial, health, social, and political-related events, and these have had significant impact on the traditional financial assets, commodities, and digital assets at both regional...
Journal Articles
Journal:
The Journal of Risk Finance
Journal of Risk Finance (2023) 24 (1): 40–58.
Published: 23 August 2022
... re-use rights only The Russia – Ukraine war FX rates Cointegration Euro Russian ruble F3 F36 The currency value in international payments is generally determined when its foreign exchange (FX) rate is compared to other parities known as the exchange rate. The changes...
