Now showing items 41-57 of 57

      Subject
      Corporate governance, Financial performance, GMM estimation; Liquidity ratios, Moderation effect [1]
      Corporate governance, Firms’ performance, Indian tourism sector [1]
      Corporate investment, economic policy uncertainty, GMM, governance quality [1]
      corporate investment, financial development, GCC countries, GMM, macroeconomic [1]
      COVID-19, Data envelopment analysis, Optimization, Super-efficiency, UAE, Working capital management [1]
      COVID-19, DY methodology, Returns, Spillovers, U.S sector indices [1]
      COVID-19, EGARCH, financial markets, GARCH, GJR-GARCH, volatility [1]
      COVID-19, Financial setback, Investment behavior, Pakistan non-financial sector, Pandemic impact [1]
      COVID-19, Frequency dynamics spillovers, GCC markets, Global financial crisis, Islamic and conventional banks [1]
      COVID-19, IRF, Oil prices and stock market indices, Stock market indices, Transmission mechanism between OP and ER, Unrestricted VAR framework, Variance decomposition in VAR [1]
      COVID-19, psychological effects, stress theory, unemployment [1]
      CR revenues, Dynamic spectrum allocation, Licensed incentive, Utilization-dependent Spectrum Price [1]
      Credit policy, Financial performance, Payables, Receivables [1]
      credit risk, Jordanian banks, default loans, internal explicit knowledge, logistic analysis. JEL Classification: E51, G32, D81, E47 [1]
      cross-sectional, panel, Gulf Cooperation Council (GCC), financial ratios, banks operating, financial statements [1]
      Crude oil, Shariah compliant index, VIX, Volatility spillover [1]
      Customer Satisfaction, Marketing Performance, Social Media Analysts, Social Media Performance, Social Media Strategies [1]