- Selaus asiasanan mukaanArtikkelitLaskentatoimi ja rahoitus
Aineistot 21-40 / 201
-
Assessment of Bitcoin carbon footprint
(Elsevier, 16.06.2023)
articleBitcoin is a breakthrough financial technology but a volatile asset in financial markets with a complex fundamental consensus algorithm (Proof-of-Work) limiting its large-scale adoption due to environmental-related issues. ... -
Asset market equilibria in cryptocurrency markets : Evidence from a study of privacy and non-privacy coins
(Elsevier, 27.07.2021)
articleThis paper explores whether asset market equilibria in cryptocurrency markets do exist. In doing so, it distinguishes between privacy and non-privacy coins. Most recently, privacy coins have attracted increasing attention ... -
Bank liquidity creation and systemic risk
(Elsevier, 01.02.2021)
articleThis paper examines the linkage between bank liquidity creation and systemic risk. Using quarterly data on U.S. bank holding companies from 2003 to 2016, we document that liquidity creation decreases systemic risk at the ... -
Better Not Forget : On the Memory of S&P 500 Survivor Stock Companies
(MDPI, 15.02.2023)
articleThis study explores the dependency structure of S&P 500 survivor stocks. Using a hand-collected sample of stocks that survived in the S&P 500 since March 1957, we employ rescaled/range analysis to investigate survivors. ... -
Blockchain in accounting research : current trends and emerging topics
(Emerald, 19.10.2021)
articlePurpose This paper provides a structured literature review of blockchain in accounting. The authors identify current trends, analyse and critique the key topics of research and discuss the future of this nascent field of ... -
Blockchain technology for operational excellence and supply chain resilience : a framework based on use cases and an architecture demonstration
(Taylor & Francis, 17.01.2024)
articleIncreased risks and uncertainties can disrupt the whole supply chain (SC), resulting in ineffective value transition. Facilitated by digital technologies, SC resilience can be achieved which enables organisations to ... -
Board gender diversity and workplace diversity: a machine learning approach
(Emerald, 25.01.2023)
articlePurpose This study aims to examine the association between board gender diversity (BGD) and workplace diversity and the relative importance of various board and firm characteristics in predicting diversity. Design/me ... -
Bond-equity yield ratio investing in Emerging markets
(SAGE Publications, 28.03.2019)
articlehis article investigates the market timing ability of the bond–equity yield ratio (BEYR) from an international investor perspective. Consolidating data on emerging markets, we document no major international evidence that ... -
Born after the Volcker Rule : Regulatory change, managerial remuneration and hedge fund performance
(John Wiley & Sons, 06.09.2023)
articleSubstantial remunerative benefits accrue to managers of new hedge funds launched after the implementation of the Volcker Rule if their previous employer is a large US bank. After the rule, ex-bankers' funds charge higher ... -
Brexit uncertainty and volatility persistence in tourism demand
(RoutledgeTaylor & Francis, 24.09.2020)
articleTourism has emerged as one of the leading components of aggregate economic growth in most developed economies, especially in the UK, where it is predicted to grow at an annual rate of 3.8% through 2025. Because tourism ... -
Business Prohibition—How Company’s Financial Statements Reflect the Positions of Convicted Persons?
(Scientific Research Publishing Inc., 17.08.2023)
articleThis study deals with the companies where persons who are convicted of a business prohibition for aggravated financial crimes, have acted in various positions. The main question is how the key figures in the financial ... -
Can clean energy stock price rule oil price? New evidences from a regime-switching model at first and second moments
(Elsevier, 15.01.2021)
articleThe study evaluates nonlinear price transmission mechanisms between clean energy stock and crude oil price in levels, mean, and error variances. We propose a novel way of combining a two-regime threshold vector error ... -
Can real estate regulatory policies constrain real estate risks to banks? Evidence from China
(Taylor & Francis, 04.01.2021)
articleThis study investigates the effects of real estate regulatory policies on the real estate risks to banks in China. The study shows that real estate control policies issued by the policy makers in China cannot constrain the ... -
Choosing factors : the international evidence
(Routledge, Taylor & Francis Group, 02.09.2021)
articleExtending Fama and French’s U.S. study on choosing factors to international equity markets, we test nested and non-nested asset pricing models for North America, Europe, Asia excluding Japan, and Japan. For non-nested ... -
Climate bond, stock, gold, and oil markets : Dynamic correlations and hedging analyses during the COVID-19 outbreak
(Elsevier, 24.07.2021)
articleAdverse ecological effects have recently generated several eco-friendly investment opportunities including green and climate bonds. Although climate bonds have emerged as an appealing investment, little is known about their ... -
Climate risk and green investments : New evidence
(Elsevier, 13.12.2022)
articleThe academic literature on green energy equity markets has increased extensively over the last decade due to growing concerns about climate change and the substantial flow of investments into alternative energy markets. ... -
Climate risk and sustainable investing : New evidence from Chinese renewable energy firms
(Routledge, 26.12.2023)
bookPartWhile numerous empirical papers have investigated the volatility dynamics of Chinese clean energy equity markets, this is among the first studies to assess the impact of climate uncertainty on the risk levels of such assets. ... -
Cointegration and nonlinear causality among ethanol-related prices : evidence from Brazil
(Wiley, 16.12.2017)
articleThe objective of this study was to investigate the causal relationships among crude oil, ethanol and sugar prices in the context of Brazil. In doing so, we consider the application of ARDL bound tests to examine whether ... -
Combining value and momentum : evidence from the Nordic equity market
(Taylor & Francis, 22.02.2019)
articleThis is the first article that explores the recently proposed average ranking approach for the value and momentum strategy in the Nordic equity market offering an exceptional experimental environment. Our results indicate ... -
Commodity market risks and green investments : Evidence from India
(Elsevier, 10.10.2021)
articleGreen investing has recently received considerable attention in India in light of the local government plans to significantly reduce the level of CO2 emissions through conducting and funding various types of eco-friendly ...