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Econometric analysis of supply chain disruptions: financial performance in the European automotive sector
Published 2024-08-01Get full text
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Evaluation of Spatial Spillover Effect of Multidimensional Hybrid Financial Risk Contagion Based on the DAI Spatial Econometric Model
Published 2023-01-01“…Therefore, this paper aimed to analyze the spatial spillover effect of financial risk contagion based on the directed asymmetric (DAI) spatial econometric model. …”
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LISTING OF SHARES OF SOME COMMERCIAL BANKS AND FINANCIAL SERVICES COMPANIES IN POLAND
Published 2018-07-01Get full text
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Credit Cycles: Econometric Analysis and Evidence for Russia
Published 2014-04-01“…An econometrical models describing the influence of credit variables onto real GDP is estimated. …”
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Consumer Savings and Digital Remittance in Open Banking: Insights From Bibliometric and Geospatial Econometric Analysis
Published 2025-01-01“…Using a mixed methods design, we combine bibliometric analysis and geospatial econometric modeling on Scopus OB bibliographic data and consumer financial preferences data from 2021 to 2022 across 139 countries. …”
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Econometric Analysis of Macroeconomic to Age-Specific Mortality Rate in Malaysia: Evidence from Panel Data
Published 2022-01-01“…Insurance companies, actuaries, financial institutions, demographers, and the government may suffer catastrophic losses as a result of imprecise mortality estimates. …”
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Natural Resource Rent and Financial Development: Testing Financial Resource Curse Hypothesis in Iran
Published 2024-12-01“…Given the importance of the relationship between the financial sector and the abundance of natural resources for necessary policymaking on the path to economic growth and development, this study aims to examine and investigate the relationship between the abundance of natural resources and financial development in Iran using various financial development indicators and different econometric methods. …”
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Adaptive algorithms for change point detection in financial time series
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Research on Financial Accounting of GDP Index Based on Numerical Simulation
Published 2022-01-01“…Because the traditional GDP accounting method was difficult to meet the actual needs of governments for economic and social development, aiming at the problems of unclear data sources related to GDP and inconsistent GDP accounting results in the national economic accounting system, a GDP index financial accounting method based on numerical simulation was proposed. …”
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Exploring the nexus between economic growth and economic performance in Nepal
Published 2023-11-01Get full text
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Effectiveness of Inflation Targeting Strategy in Times of Financial Instability in Emerging Countries
Published 2024-12-01“… This paper aims to assess the effectiveness of inflation targeting policy in emerging economies during an economic crisis, particularly the 2007 financial and economic crisis. Thus, considering pre-crisis and crisis periods, an econometric model based on the difference-in-differences method (DID) was adopted. …”
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Digital Financial Inclusion, Spatial Spillover, and Household Consumption: Evidence from China
Published 2022-01-01“…Considering geographical connectivity characteristics, we examine the effects of digital financial inclusion on household consumption by applying spatial econometric models and using data from 31 provinces in China from 2013 to 2018. …”
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Financialized growth regime and capital accumulation in Brazil: geopolitical and institutional factors of the recent collapse and beyond
Published 2023-01-01“…This is representative of a hybrid war aimed at the Workers’ Party government. The econometric results, in addition to corroborating this interpretation, detected the existence of an export-led growth regime between 2001 and 2019 that articulates with financial interests. …”
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Can the new model of shared property rights promote better corporate financial performance in China?
Published 2025-02-01“…To answer this question, we obtained data from the China Stock Market and Accounting Research database for 904 Chinese enterprises that had implemented shared property rights for the first time between 2009 and 2021 and used a propensity score matching method and econometric models to evaluate their performance. The results indicated that shared property incentives improved corporate financial performance and that benefits increased gradually over time. …”
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Financial risk and renewable energy: exploring the influence of urbanization and natural resource rents across 112 countries
Published 2025-02-01“…Utilizing a global panel dataset comprising 112 countries, the study applies econometric techniques, including fixed-effects models, moderation effect models, and panel threshold models, to investigate how varying levels of financial risk impact renewable energy consumption across diverse economic and environmental contexts. …”
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Capital structure and practices of accrual-based earnings management among non-financial Vietnamese listed firms
Published 2023-11-01“…This paper’s primary goal is to examine the influence of a firm’s capital structures on practices of accrual-based earnings management by doing empirical research covering 51 non-financial Vietnamese listed companies during a period from 2013 to 2022. …”
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THE IMPACT OF GENDER DIVERSITY ON EARNINGS QUALITY OF LISTED FINANCIAL SERVICES FIRMS IN NIGERIA: ANALYSIS OF TWO-STAGE LEAST SQUARES
Published 2025-01-01“…Additionally, Generalized Least Squares (GLS) and Feasible Generalized Least Squares (FGLS) methods were applied to handle heteroskedasticity and autocorrelation issues. The econometric model assessed earnings quality as the dependent variable, with female financial experts, female CEOs, and female board members of foreign nationality. …”
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The Role of Digitalization in the Scientific and Educational Space Integration of the EAEU
Published 2023-03-01Get full text
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