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Year of publication
Subject
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Risiko 62,643 Risk 59,744 Theorie 26,205 Theory 25,976 Risikomanagement 12,391 Risk management 12,243 Portfolio-Management 6,684 Portfolio selection 6,644 Welt 4,560 World 4,524 Entscheidung unter Unsicherheit 4,138 Decision under uncertainty 4,135 Schätzung 3,736 Kapitaleinkommen 3,680 Capital income 3,673 Estimation 3,647 Volatilität 3,411 Volatility 3,377 Börsenkurs 3,262 Share price 3,235 USA 3,077 Risikomaß 2,957 Risk measure 2,951 United States 2,918 CAPM 2,701 Finanzkrise 2,675 Financial crisis 2,660 Risikopräferenz 2,635 Risk attitude 2,630 Risikoaversion 2,475 Risk aversion 2,455 Klimawandel 2,437 Climate change 2,418 Messung 2,149 Risikoprämie 2,102 Risk premium 2,090 Measurement 2,075 Risk model 2,059 Risikomodell 2,057 Bankrisiko 1,994
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Online availability
All
Free 24,261 Undetermined 17,130 CC license 1,409
Type of publication
All
Article 33,784 Book / Working Paper 28,796 Journal 62 Other 3
Type of publication (narrower categories)
All
Article in journal 28,996 Aufsatz in Zeitschrift 28,996 Graue Literatur 9,165 Non-commercial literature 9,165 Working Paper 9,156 Arbeitspapier 8,672 Aufsatz im Buch 2,463 Book section 2,463 Hochschulschrift 1,107 Thesis 757 Collection of articles of several authors 429 Sammelwerk 429 Aufsatzsammlung 329 Conference paper 250 Konferenzbeitrag 250 Bibliografie enthalten 235 Bibliography included 235 Konferenzschrift 229 Collection of articles written by one author 170 Sammlung 170 Dissertation u.a. Prüfungsschriften 109 Conference proceedings 106 Amtsdruckschrift 67 Government document 67 Rezension 59 Article 58 Forschungsbericht 51 Systematic review 51 Übersichtsarbeit 51 Case study 47 Fallstudie 47 Lehrbuch 41 Reprint 41 Textbook 35 Mikroform 34 Festschrift 28 Research Report 28 Amtliche Publikation 27 Bibliografie 24 Ratgeber 16
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Language
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English 58,897 German 2,247 Undetermined 1,098 French 190 Italian 57 Polish 55 Spanish 52 Russian 32 Dutch 19 Swedish 13 Portuguese 9 Norwegian 8 Hungarian 6 Czech 5 Ukrainian 4 Bulgarian 3 Danish 3 Afrikaans 2 Finnish 2 Romanian 2 Slovak 2 Estonian 1 Slovenian 1 Serbian 1 Turkish 1
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Author
All
Gupta, Rangan 191 Viscusi, W. Kip 124 Bloom, Nicholas 112 Castelnuovo, Efrem 103 Gollier, Christian 81 Caggiano, Giovanni 70 Eeckhoudt, Louis 69 Wang, Ruodu 68 Acharya, Viral V. 66 Broll, Udo 59 Zeckhauser, Richard 59 Davis, Steven J. 58 Krebs, Tom 56 Hansen, Lars Peter 55 Maurer, Raimond 54 Bali, Turan G. 52 Blake, David 52 Pistaferri, Luigi 51 Brady, Michael Emmett 50 Chichilnisky, Graciela 50 Kunreuther, Howard 50 Epstein, Larry G. 49 Dionne, Georges 48 Ludwig, Alexander 48 Weber, Martin 48 Fabozzi, Frank J. 47 Kelly, Bryan T. 47 Krueger, Dirk 47 Bekaert, Geert 46 Guvenen, Fatih 46 Krishna, Pravin 45 Pindyck, Robert S. 45 Schlesinger, Harris 44 Albrecht, Peter 43 Härdle, Wolfgang 43 Ji, Qiang 43 Ploeg, Frederick van der 43 Stulz, René M. 43 Aizenman, Joshua 42 Balcilar, Mehmet 42
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Institution
All
National Bureau of Economic Research 721 European Commission / Joint Research Centre 74 World Bank Group 73 OECD 61 World Bank 55 European Food Safety Authority 36 European Commission 33 European Agency for the Management of Operational Cooperation at the External Borders of the Member States of the European Union 27 Edward Elgar Publishing 21 European Securities and Markets Authority 21 Springer Fachmedien Wiesbaden 20 European Central Bank 19 European Parliament / Directorate-General for Internal Policies of the Union 17 European Agency for Safety and Health at Work 16 European Institute for Gender Equality 16 International Monetary Fund / Monetary and Capital Markets Department 15 European Centre for Disease Prevention and Control 14 Internationaler Währungsfonds 14 European Banking Authority 13 International Association for the Study of Insurance Economics 13 European Commission / Directorate-General for Research 12 Ekonomiska forskningsinstitutet <Stockholm> 11 Basel Committee on Banking Supervision 10 Centre for Actuarial Studies 10 European Border and Coast Guard Agency 10 European Parliament / Directorate-General for Economy, Transformation and Industry 10 Sonderforschungsbereich Quantifikation und Simulation Ökonomischer Prozesse 10 Technische Universität Dresden / Fakultät Wirtschaftswissenschaften 10 Weltbank 10 Chambre de commerce et d'industrie de Paris 9 Federal Reserve System / Board of Governors 9 Australian National University / Faculty of Economics and Commerce 8 Deutschland / Umweltbundesamt 8 European Commission / Directorate-General for the Environment 8 Society for Risk Analysis 8 Weltwirtschaftsforum 8 World Institute for Development Economics Research 8 Adelphi Research gGmbH 7 Bosch & Partner 7 Centre for Analysis of Risk and Regulation 7
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Published in...
All
Finance research letters 756 NBER working paper series 711 NBER Working Paper 624 Insurance 560 Working paper / National Bureau of Economic Research, Inc. 502 European journal of operational research : EJOR 495 Economics letters 470 Risks : open access journal 344 CESifo working papers 342 International review of economics & finance : IREF 326 Applied economics 319 Energy economics 311 Working paper 295 Management science : journal of the Institute for Operations Research and the Management Sciences 290 Journal of banking & finance 284 Journal of economic theory 256 Discussion paper / Centre for Economic Policy Research 254 Applied economics letters 252 Discussion papers / CEPR 245 International review of financial analysis 244 Journal of economic dynamics & control 213 Economic modelling 212 Journal of risk and uncertainty : JRU 212 Discussion paper series / IZA 199 Journal of economic behavior & organization : JEBO 195 Journal of financial economics 195 Pacific-Basin finance journal 192 Research in international business and finance 169 American journal of agricultural economics 166 Discussion paper / Tinbergen Institute 160 International journal of production research 160 The North American journal of economics and finance : a journal of financial economics studies 153 Discussion paper 149 Journal of risk and financial management : JRFM 149 Theory and decision : an international journal for multidisciplinary advances in decision science 149 The review of financial studies 143 CESifo Working Paper Series 140 The journal of finance : the journal of the American Finance Association 137 CESifo Working Paper 134 Journal of mathematical economics 133
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Source
All
ECONIS (ZBW) 61,505 EconStor 588 USB Cologne (EcoSocSci) 455 ArchiDok 44 RePEc 33 BASE 11 OLC EcoSci 9
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Showing 1 - 50 of 62,645
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A cybersecurity risk analysis framework for systems with artificial intelligence components
Camacho, J. M.; Couce-Vieira, A.; Arroyo, D.; Insua, D. R. - In: International transactions in operational research : a … 33 (2026) 2, pp. 798-825
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ROBIST : robust optimization by iterative scenario sampling and statistical testing
Starreveld, Justin; Jin, Guanyu; Hertog, Dirk den; … - In: Computers & operations research : an international journal 185 (2026), pp. 1-16
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Time-varying repayment contracts for financial resilience in mortgage lending
Mai, Chung; Scheule, Harald - In: Journal of banking and finance 182 (2026), pp. 1-26
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Crowded spaces and anomalies
Chincarini, Ludwig Boris; Lazo-Paz, Renato; Moneta, Fabio - In: Journal of banking and finance 182 (2026), pp. 1-17
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Integrated crop and cargo war risk insurance : application to Ukraine
Nagurney, Anna; Pour, Ismael; Kormych, Borys - In: International transactions in operational research : a … 33 (2026) 1, pp. 5-37
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What if ether goes to zero? : how market risk becomes infrastructure risk in crypto
Biancotti, Claudia - 2026
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Extreme macroeconomic risk, personal expectations and financial decisions: an information experiment on five European countries
Bennani, Hamza; Berlin, Noémi; Gandré, Pauline - 2026
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Sentiment and uncertainty indices from economic news in Colombia
Mora-Quiñones, Rocío Clara A.; Orozco, Antonio; … - 2026
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Risk structure and financial hedging in nodal electricity markets
2026
Since the deregulation of electricity markets in the 1990s, U.S. power grids have witnessed the creation of an increasingly diverse suite of financial instruments designed to mitigate risks caused by underlying generation and consumption patterns. However, the nature of risks is shifting rapidly...
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Severe weather and collateral practices
Cella, Cristina - 2026
Physical climate risks significantly influence banks' collateral practices. Drawing on comprehensive loan-level data from Sweden, we find that adverse weather events increase both the likelihood and the amount of collateral required for new loans. For existing loans, banks are less inclined to...
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Collective decisions under uncertainty : efficiency, ex-ante fairness, and normalization
Kurata, Leo; Nakamura, Kensei - 2026 - Shared: January 15, 2026
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Risk in science : the socialization of risk-taking in early-career training
Shibayama, Sotaro; Mattsson, Pauline; Broström, Anders - In: Research policy : policy, management and economic … 55 (2026) 1, pp. 1-18
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Cybersecurity at risk: How the EU's Digital Markets Act could undermine security across mobile operating systems
Bauer, Matthias; Pandya, Dyuti - 2025
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Sicherheit, Risiko und Resilienz – Bedeutung für Festivals
Bradl, Peter - In: Menschen, Marken, Moshpits: Wirtschaftliche und …, (pp. 305-322). 2025
Safety and Security, risk and resilience represent important factors for a successful festival. The paper describes the role of safety and the challenges which are derived from it. The role and responsibilies of the different stakeholders are briefly described before discussing risk and its...
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A guide to applying life cycle assessment tools to prospective technologies at the UFZ
Zinke, Christina; Marin Karr, Sophia; Zeug, Walther; … - 2025
Great efforts in biotechnology are being made to reduce the use of fossil fuels and to drive a transition toward a bioeconomy. However, these early-stage technical concepts also carry sustainability risks at ecological, social and economic levels due to large-scale biomass flows when scaled to...
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The economic consequences of tariffs and trade policy uncertainty
Gréus, Christian; Heil, Philipp; Potrafke, Niklas; … - 2025
This Policy Brief examines economic experts' expectations about the macroeconomic effects of import tariffs and trade policy uncertainty, based on the 2025Q2 and 2025Q3 waves of the Economic Expert Survey (EES). The survey collected responses from over 600 economists across EU member states and...
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Assessing the influence of geopolitical risks and Indian uncertainty index on energy sector with VECM
Meher, Bharat Kumar; Anand, Abhishek; Frank, Daniel; … - In: International Journal of Energy Economics and Policy : IJEEP 15 (2025) 4, pp. 481-489
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How do climate-related risks and opportunities affect portfolio allocation and asset pricing?
Asal, Maher; Li, Xiaoni; Shi, Yin - In: Managerial and decision economics : MDE ; the … 46 (2025) 5, pp. 2746-2765
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Geopolitical risk, cost of equity, and bank lending: evidence from the Ukrainian war
Sanders, Emiel; Vander Vennet, Rudi - 2025
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Narrative disclosure tone and bank risk : the role of economic policy uncertainty
Albert, Acheampong; Ibeji, Ngozi; Owusu, Freeman Brobbey; … - In: Managerial and decision economics : MDE ; the … 46 (2025) 6, pp. 3428-3447
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Risk taking on behalf of others : does the timing of uncertainty revelation matter?
Cappelen, Alexander W.; Sørensen, Erik Ø.; Tungodden, … - 2025
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Returns to education with earnings uncertainty and employment risk over the life cycle
Liu, Kai; Mogstad, Magne; Salvanes, Kjell G. - 2025
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Exploring the non-linear impact of information and communication technology, globalization, and geopolitical risks on poverty in Pakistan
Khurshid, Nabila; Akram, Nabila; Rashid, Mudassar - In: Research in globalization 10 (2025), pp. 1-11
The discussion around globalization often overlooks historical context and real-world dynamics, especially in the context of global development. This study examines the relationship between information and communication technology (ICT), geopolitical risks (GPR), and globalization in Pakistan...
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ETF resilience to uncertainty shocks : a cross-asset nonlinear analysis of AI and ESG strategies
Gheorghe, Cătălin; Panazan, Oana; Alnafisah, Hind; … - In: Risks : open access journal 13 (2025) 9, pp. 1-24
This study investigates the asymmetric responses of AI and ESG Exchange Traded Funds (ETFs) to geopolitical and financial uncertainty, with a focus on resilience across market regimes. The NASDAQ-100 and MSCI ESG Leaders indices are used as proxies for thematic ETFs, and their dynamic...
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Climate policy uncertainty and dynamic volatility spillovers in Chinese stock market : based on sectoral evaluation
Zhang, Zhiwei; Xu, Yahua; Su, Fei - In: Journal of management science and engineering 10 (2025) 3, pp. 332-347
This study examines volatility spillovers among climate-policy-relevant sectors in the Chinese stock market across both time and frequency domains. It further explores the impact of climate policy uncertainty on the risk spillover effect in the Chinese stock market and its underlying mechanisms....
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Systemic financial risk analysis of the U.S. based on the complex network
Qiu, Yujiao; Sun, Xiaolei; Xiong, Xiong; Si, Shubin - In: Journal of management science and engineering 10 (2025) 3, pp. 414-433
This paper proposes a new framework for measuring systemic financial risk, which combines the Diebold and Yilmaz spillover index model, complex network, and dimensionality reduction method. This framework simulates the process of risk contagion through network dynamics, accounting for the...
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Robust tail risk estimation in cryptocurrency markets : addressing GARCH misspecification with block bootstrapping
Christodoulou-Volos, Christos - In: Risks : open access journal 13 (2025) 9, pp. 1-19
This study examines the use of Filtered Historical Simulation (FHS) to estimate tail risk in cryptocurrency markets for the optimization of robustness in this area under model misspecification. An ARMA-GARCH model is employed on the daily returns on Binance Coin and Litecoin in order to compare...
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Financial institutions of emerging economies : contribution to risk assessment
Popova, Yelena; Cernisevs, Olegs; Popovs, Sergejs; … - In: Risks : open access journal 13 (2025) 9, pp. 1-18
Conventional risk assessment frameworks usually define risk as a function of vulnerabilities and threats, but they frequently lack a single quantitative model that incorporates the unique features of each element. In order to close this gap, this paper creates a flexible, open, and theoretically...
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Financial systemic risk and the COVID-19 pandemic
Huang, Xin - In: Risks : open access journal 13 (2025) 9, pp. 1-28
The COVID-19 pandemic has caused market turmoil and economic distress. To understand the effect of the pandemic on the U.S. financial systemic risk, we analyze the explanatory power of detailed COVID-19 data on three market-based systemic risk measures (SRMs): Conditional Value at Risk, Distress...
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A note on how demand uncertainty matters for emissions regulation in energy markets
Gomez-Trejos, Felipe - In: Economics letters 254 (2025), pp. 1-5
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Die now of hunger or later of thirst : understanding climate change adaptation decisions in vulnerable contexts
Nava, Lucrezia; Chiapetti, Jorge; Rocha, Rui Barbosa da; … - In: Strategic management journal 46 (2025) 8, pp. 1861-1893
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Absolute, average-based, and rank-based aspirations
Denrell, Jerker; Zeijen, Axel; Romagnoli, Manuel; … - In: Strategic management journal 46 (2025) 8, pp. 1930-1946
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Numerical calculation of finite-time ruin probabilities in the dual risk model
Cardoso, Rui M. R.; Melo, Andressa C. O. - In: Risks : open access journal 13 (2025) 9, pp. 1-17
In the dual risk model, while the ultimate ruin probability has an exact and straightforward formula, the mathematics becomes significantly more complex when considering a finite time horizon, and the literature on this topic is scarce. As a result, there is a need for numerical approximations....
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Factor structure of Green, Grey, and Red EU securities
Kottas, Ferdinantos - In: Risks : open access journal 13 (2025) 9, pp. 1-25
This study examined the factor structure of Green, Grey, and Red EU securities using extended asset pricing models built on the Fama–French and Carhart frameworks. The findings show improved return predictability and consistently negative risk-adjusted alpha across categories post-Global...
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Digital transformation and entrepreneurial risk-taking : navigating affordance and apprehension in SME intentions
Skandalis, Konstantinos S.; Skandali, Dimitra - In: Risks : open access journal 13 (2025) 9, pp. 1-17
Digitalization is reshaping entrepreneurship, yet the mechanisms that translate new technological possibilities into entrepreneurial intention remain poorly understood, especially for resource-constrained small and medium-sized enterprises (SMEs). Building on the Theory of Planned Behaviour,...
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Exploring European hydrogen demand variations under tactical uncertainty with seasonal hydrogen storage
Hummelen, Sebastian Emil; Hordvei, Erlend; Petersen, … - In: Energy strategy reviews 61 (2025), pp. 1-22
Achieving a net-zero energy system in Europe by 2050 will likely require large-scale deployment of hydrogen and seasonal energy storage to manage variability in renewable supply and demand. This study addresses two key objectives: (1) to develop a modeling framework that integrates seasonal...
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Robust portfolio optimization in crypto markets using second-order Tsallis entropy and liquidity-aware diversification
Șerban, Florentin; Dedu, Silvia - In: Risks : open access journal 13 (2025) 9, pp. 1-18
In this paper, we propose a novel optimization model for portfolio selection that integrates the classical mean-variance criterion with a second-order Tsallis entropy term. This approach enables a trade-off between expected return, risk, and diversification, extending Markowitz's theory to...
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Climate policy uncertainty and sovereign credit risk : a multivariate quantile on quantile regression analysis
Naifar, Nader - In: Risks : open access journal 13 (2025) 9, pp. 1-22
This study investigates the nonlinear and regime-dependent relationship between climate policy uncertainty (CPU) and sovereign credit default swap (CDS) spreads across a panel of developed and emerging economies from February 2010 to March 2025. Utilizing the Quantile-on-Quantile Regression...
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Economic policy uncertainty exposure and the valuation of non-financial assets : an analysis of Australian listed firms
Liu, Chang; Hu, Fang; Yao, Daifei; Li, Bin - In: China Accounting and Finance Review 27 (2025) 4, pp. 520-547
This study aims to explore how a firm's exposure to economic policy uncertainty (EPU) affects the use of fair value (FV) measurement for non-financial assets.The analysis focuses on the selection of FV models for different types of non-financial assets. It examines how internal factors and...
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State-level economic policy uncertainty and bank loan pricing
Cox, Justin S. - In: Accounting and finance 65 (2025) 2, pp. 1614-1634
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Storylines : a science-based method for assessing and measuring future physical climate-related financial risk
Fiedler, Tanya; Wood, Nick; Grose, Michael R.; Pitman, … - In: Accounting and finance 65 (2025) 2, pp. 1908-1931
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The societal determinants of climate risk : a refugee corridor analysis of hazard exposure, vulnerability and coping capacity
Fransen, Sonja; Schewel, Kerilyn - 2025
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Household income expectations : the role of unexpected income changes and aggregate conditions
Bucciol, Alessandro; Easaw, Joshy Z.; Trucchi, Serena - In: Journal of economic behavior & organization 236 (2025), pp. 1-28
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Addressing CSR red flags as a strategic response to economic policy uncertainty
Dai, Yunhao; Tan, Weiqiang; Yao, Daifei - In: Accounting and finance 65 (2025) 3, pp. 2778-2804
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Artificial intelligence innovation and stock price crash risk
Zhang, Junru; Cui, Chen; Zheng, Chen; Taylor, Grantley - In: The journal of financial research : the journal of the … 48 (2025) 2, pp. 503-543
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Estimating background risk hedging demands from cross-sectional data
Brugler, James; Inkmann, Joachim; Rizzo, Adrian - In: The journal of financial research : the journal of the … 48 (2025) 2, pp. 579-604
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The taxonomy of tail risk
Stoja, Evarist; Polanski, Arnold; Nguyen, Linh - In: The journal of financial research : the journal of the … 48 (2025) 2, pp. 701-724
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Strategic uncertainty and sequential play
Avoyan, Ala; Valdivia, Daniela - 2025
The paper examines how the timing of decisions shapes outcomes in coordination settings. Theoretically, the outcomes become predictable and efficient when decisions are made sequentially rather than simultaneously. Our experimental evidence shows that sequential moves promote remarkably high...
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Challenges for energy transition : incorporating maritime and geopolitical risks
Vögele, Stefan; Alvre, Judith; Ross, Andrew G.; … - In: The world economy : the leading journal on … 48 (2025) 8, pp. 1850-1862
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Quantile time-frequency spillovers among climate policy uncertainty, energy markets, and stock markets
He, Zhifang; Qian, Wanchuan; Miftah, Badir; Abedin, … - In: International review of economics & finance : IREF 103 (2025), pp. 1-32
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