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  • Search: isPartOf:"ACRN Journal of Finance and Risk Perspectives (JOFRP)"
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Accounting 2 Auditing 2 Behavioral Finance 2 Corporate social responsibility 2 Credit risk 2 SDGs 2 Social finance 2 AG-CP 1 APARCH model 1 Access to debt 1 Accountant Resource 1 Accruals earnings management (AEM) 1 Africa 1 Alternative assets 1 Artificial Intelligence 1 Asset allocation 1 Assets structure 1 Backtesting 1 Bank lending 1 Basel capital requirements 1 Behavioral Biases 1 Benefits of SOX 1 Black Box Solutions 1 CEO compensation 1 CSR 1 Cointegration 1 Conceptual paper 1 Controlling shareholder 1 Conventional banks 1 Corporate finance 1 Corporate risks 1 Cost efficiency 1 Costs of SOX 1 Countries Industries/sectors Regions 1 Cox proportional hazards regression 1 Currency 1 Default prediction 1 Derivative instruments 1 Digitalisation 1 Divergence of opinion 1
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Free 39
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Article 39
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Article 39
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English 39
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Lehner, Othmar 3 MacZali, Bouchra 3 Marhfor, Ahmed 3 Bouslah, Kais 2 Gehrke, Matthias 2 Lehner, Othmar M. 2 Martikainen, Minna 2 Abu Afifa, Malik 1 Alguindigue Ruiz, Pedro Ildemaro 1 Almaharmeh, Mohammad I. 1 Almasarwah, Adel 1 Anwar, Mokhamad 1 Anwar, Yuli 1 Aprilia, Lady 1 Arguedas-Sanz, Raquel 1 Arsana, I Made Marsa 1 Benjelloun, Samira 1 Björkholm, Linn 1 Brandão, Elísio 1 Brunhuemer, Alexander 1 Cerqueira, Antonio 1 Chiboub, Omar 1 Chondough, Stephanie M. 1 Cotton, Deborah 1 Crain, Susan J. 1 Darmayasa, I Nyoman 1 Djan, Ismulyana 1 Febrian, Erie 1 Fischer, Bianca 1 Fischer, Katharina 1 Gassouma, Mohamed Sadok 1 Ghilal, Rachid 1 Ghroubi, Mohamed 1 Gotthardt, Max 1 Gral, Bernadette 1 Hangl, Christa 1 Haniah, Fadi 1 Hoelscher, Seth A. 1 Hövel, Emile David 1 Jadoua, Zainab Abdulawood 1
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ACRN Journal of Finance and Risk Perspectives (JOFRP) 39
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EconStor 39
Showing 1 - 10 of 39
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Risk factors in the German stock market: Can sentiment improve the performance of traditional multifactor models?
Hövel, Emile David; Gehrke, Matthias - In: ACRN Journal of Finance and Risk Perspectives (JOFRP) 11 (2022), pp. 1-18
Capital market research usually focuses on the investment decision of a risk-averse investor, who determines the relationship between risky assets and risk-free investment. Furthermore, numerous capital market models assume normally distributed security returns and rational investors. In this...
Persistent link: https://www.econbiz.de/10015470516
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Does ERM sophistication drive IPO initial performance in emerging market? Evidence from Malaysian market
In: ACRN Journal of Finance and Risk Perspectives (JOFRP) 11 (2022), pp. 141-157
The escalation of complexity and multidimensional (internal and external) factors bring companies to a position where risk management should be of main concern. Enterprise Risk Management (ERM) adoption and the extent of ERM implementation is seen as a guaranteeing element to increase the value...
Persistent link: https://www.econbiz.de/10015470517
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A comparison of market risk measures from a twofold perspective: Accurate and loss function
Muela, Sonia Benito; López-Martin, Carmen; … - In: ACRN Journal of Finance and Risk Perspectives (JOFRP) 11 (2022), pp. 79-104
Under the new regulation based on Basel solvency framework, known as Basel III and Basel IV, financial institutions must calculate the market risk capital requirements based on the Expected Shortfall (ES) measure, replacing the Value at Risk (VaR) measure. In the financial literature, there are...
Persistent link: https://www.econbiz.de/10015470524
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The implication of corporate social responsibility on the strategic risk of the listed firms in Nigeria
Chondough, Stephanie M. - In: ACRN Journal of Finance and Risk Perspectives (JOFRP) 11 (2022), pp. 175-193
This study focuses on the implications of corporate social responsibility (CSR) on the strategic risk of the listed financial and non-financial firms in Nigeria. The population of the study consists of 154 firms, while the census sampling technique was adopted to arrive at an adjusted population...
Persistent link: https://www.econbiz.de/10015470531
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Currency momentum: An emerging market issue?
Schober, Maik; Gehrke, Matthias - In: ACRN Journal of Finance and Risk Perspectives (JOFRP) 11 (2022), pp. 120-140
Three main currency strategies have been established in the literature: carry, value, and momentum. We investigate momentum using data on 27 currencies (10 developed countries and 17 emerging markets). We find that momentum returns are driven by emerging market currencies, while the currencies...
Persistent link: https://www.econbiz.de/10015470533
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The impact of real manipulation and tax management on future market value: An artificial intelligence simulation of high earnings quality
Siladjaja, Muljanto; Anwar, Yuli; Djan, Ismulyana - In: ACRN Journal of Finance and Risk Perspectives (JOFRP) 11 (2022), pp. 33-54
Providing empirical proof of the negative impact of manipulation activity pushed management to adhere to the available regulation by publishing high financial reporting quality. This one has a significant effect negatively on a volatile market price movement because of illustrates the actual...
Persistent link: https://www.econbiz.de/10015470537
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The role of forensic auditing techniques in preventing non-government organisations' financial statement fraud in South Africa using a proactive approach
Mvunabandi, Jean Damascene; Nomlala, Bomi Cyril - In: ACRN Journal of Finance and Risk Perspectives (JOFRP) 11 (2022), pp. 105-119
This study is designed to investigate the role of proactive forensic auditing techniques in preventing fraudulent activities among NGOs in the eThekwini region. The population of this study comprised 87 knowledgeable staff in the field of fraud risk management and auditing selected from 30 NGOs....
Persistent link: https://www.econbiz.de/10015470540
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Does IFRS 7 disclosure weaken earnings management? Evidence from Indonesian conventional commercial banks
Valdiansyah, Riyan Harbi; Murwaningsari, Etty; … - In: ACRN Journal of Finance and Risk Perspectives (JOFRP) 11 (2022), pp. 158-174
This study examines the influence of derivative instruments, income diversification, and liquidity ratios on earnings management with IFRS 7 disclosure as a moderating variable. The sample used consists of 129 conventional commercial banks that are listed and 116 banks that are not listed on the...
Persistent link: https://www.econbiz.de/10015470541
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Does transaction atmosphere influence the decision-making behaviour of investors?
Hangl, Christa; Ortner, Matthias Benjamin - In: ACRN Journal of Finance and Risk Perspectives (JOFRP) 11 (2022), pp. 55-78
The profitability of impact investments ranges from a return on investment to market returns. To accomplish social goals, certain investors forgo part of the financial return. This approach opposes the concepts of conventional finance theory, which see the individual as a rational...
Persistent link: https://www.econbiz.de/10015470550
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Reconstruction of the Slippery Slope Framework tax compliance model
Darmayasa, I Nyoman; Arsana, I Made Marsa; Putrayasa, I … - In: ACRN Journal of Finance and Risk Perspectives (JOFRP) 11 (2022), pp. 19-32
This study attempts to reconstruct the Slippery Slope Framework (SSF) tax compliance model based on the values of Pancasila as the nation's ideology. This study is a conceptual paper through a literature review. The conceptual based on internalization of the value of Pancasila through...
Persistent link: https://www.econbiz.de/10015470552
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