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Does financial literacy alleviate risk attitude and risk behavior inconsistency?
International Review of Economics and Finance, 2021Pengpeng Yue +2 more
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Sovereign risk and financial risk
Journal of International Economics, 2022Egon Zakrajšek +2 more
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Market-based versus bank-based financial structure in China: From the perspective of financial risk
Structural Change and Economic Dynamics, 2022Qiwei Xie
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ENVIRONMENTAL HAZARDS AND RISK MANAGEMENT IN THE FINANCIAL SECTOR: A SYSTEMATIC LITERATURE REVIEW
Journal of Economic Surveys, 2021Duc Khuong Nguyen, Thomas Walther
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Financial aid and financial inclusion: Does risk uncertainty matter?
Pacific-Basin Finance Journal, 2022Shan-Ju Ho +2 more
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Risk spillovers between FinTech and traditional financial institutions: Evidence from the U.S.
International Review of Financial Analysis, 2020Xiaoqian Zhu +2 more
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Voluntary adoption of board risk committees and financial constraints risk
International Review of Financial Analysis, 2021Sherrena Buckby +2 more
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Sovereign Risk and Financial Risk [PDF]
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, 1993Arun Bansal +3 more
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