Results 231 to 240 of about 1,569,375 (267)
Some of the next articles are maybe not open access.

Does financial literacy alleviate risk attitude and risk behavior inconsistency?

International Review of Economics and Finance, 2021
Pengpeng Yue   +2 more
exaly  

Sovereign risk and financial risk

Journal of International Economics, 2022
Egon Zakrajšek   +2 more
exaly  

ENVIRONMENTAL HAZARDS AND RISK MANAGEMENT IN THE FINANCIAL SECTOR: A SYSTEMATIC LITERATURE REVIEW

Journal of Economic Surveys, 2021
Duc Khuong Nguyen, Thomas Walther
exaly  

Financial aid and financial inclusion: Does risk uncertainty matter?

Pacific-Basin Finance Journal, 2022
Shan-Ju Ho   +2 more
exaly  

Risk spillovers between FinTech and traditional financial institutions: Evidence from the U.S.

International Review of Financial Analysis, 2020
Xiaoqian Zhu   +2 more
exaly  

Voluntary adoption of board risk committees and financial constraints risk

International Review of Financial Analysis, 2021
Sherrena Buckby   +2 more
exaly  

Sovereign Risk and Financial Risk [PDF]

open access: possible, 2012
This paper examines the evidence on the relationship between sovereign bond spreads, economic activity, and global financial risk. Using an extensive data set of prices of outstanding sovereign bonds trading in the secondary market, we construct a comprehensive country index for sovereign bond spread dataset.
openaire  

Financial risk and financial risk management technology (RMT)

Information & Management, 1993
Arun Bansal   +3 more
openaire   +1 more source

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