| A systematic review of blockchain |
17 |
| Alternative measure of financial development and investment-cash flow sensitivity: evidence from an emerging economy |
15 |
| Institutions and FDI: evidence from developed and developing countries |
14 |
| Predicting the daily return direction of the stock market using hybrid machine learning algorithms |
10 |
| Estimating stock closing indices using a GA-weighted condensed polynomial neural network |
9 |
| Sustainable strategy for corporate governance based on the sentiment analysis of financial reports with CSR |
8 |
| Forecasting cryptocurrency returns and volume using search engines |
8 |
| Herding behavior in Ramadan and financial crises: the case of the Pakistani stock market |
8 |
| Determinants of foreign direct investment in fast-growing economies: evidence from the BRICS and MINT countries |
7 |
| A dynamic credit risk assessment model with data mining techniques: evidence from Iranian banks |
7 |
| Has expansion of mobile phone and internet use spurred financial inclusion in the SAARC countries? |
7 |
| Portfolio optimization by improved NSGA-II and SPEA 2 based on different risk measures |
7 |
| Effect of family control on corporate dividend policy of firms in Pakistan |
7 |
| Financial constraints and investment decisions of listed Indian manufacturing firms |
6 |
| Climate change and financing adaptation by farmers in northern Nigeria |
6 |
| Indian stock market prediction using artificial neural networks on tick data |
6 |
| The interaction between stock prices and interest rates in Turkey: empirical evidence from ARDL bounds test cointegration |
6 |
| Remittances, financial development and economic growth in sub-Saharan African countries: evidence from a PMG-ARDL approach |
5 |
| Cointegration between macroeconomic factors and the exchange rate USD/CNY |
5 |
| Can we have a general theory of financial innovation processes? A conceptual review |
5 |
| Examination of the profitability of technical analysis based on moving average strategies in BRICS |
4 |
| An integrated new threshold FCMs Markov chain based forecasting model for analyzing the power of stock trading trend |
4 |
| A chemical-reaction-optimization-based neuro-fuzzy hybrid network for stock closing price prediction |
4 |
| Co-movement in crypto-currency markets: evidences from wavelet analysis |
4 |
| Financial frictions and the cash flow - external financing sensitivity: evidence from a panel of Pakistani firms |
4 |
| Estimating the effects of financial access on poor farmers in rural northern Nigeria |
4 |
| Determinants of corporate cash holdings in tranquil and turbulent period: evidence from an emerging economy |
4 |
| Impact of risk management strategies on the credit risk faced by commercial banks of Balochistan |
3 |
| Forecasting investment and consumption behavior of economic agents through dynamic computable general equilibrium model |
3 |
| Does abnormal lending behavior increase bank riskiness? Evidence from Turkey |
3 |
| Nexus between financial innovation and economic growth in South Asia: evidence from ARDL and nonlinear ARDL approaches |
3 |
| Impact of global financial crunch on financially innovative microfinance institutions in South Asia |
3 |
| Does financial depth impact economic growth in North Cyprus? |
3 |
| Do migrant remittances matter for financial development in Kenya? |
3 |
| A hybrid Bayesian-network proposition for forecasting the crude oil price |
3 |
| Credit margin of investment in the agricultural sector and credit fungibility: the case of smallholders of district Shikarpur, Sindh, Pakistan |
3 |
| Stock market and macroeconomic variables: new evidence from India |
2 |
| Uncertainty and energy-sector equity returns in Iran: a Bayesian and quasi-Monte Carlo time-varying analysis |
2 |
| Evaluation of forecasting methods from selected stock market returns |
2 |
| Modeling and forecasting time series of precious metals: a new approach to multifractal data |
2 |
| Evaluation of the robusticity of mutual fund performance in Ghana using Enhanced Resilient Backpropagation Neural Network (ERBPNN) and Fast Adaptive Neural Network Classifier (FANNC) |
2 |
| A statistical learning approach for stock selection in the Chinese stock market |
2 |
| Value chain financing and plantain production in Nigeria: an ex-ante approach |
2 |
| Factors influencing the internet banking adoption decision in North Cyprus: an evidence from the partial least square approach of the structural equation modeling |
2 |
| Is money going digital? An alternative perspective on the current hype |
2 |
| A group decision model for credit granting in the financial market |
1 |
| Savings, investment, and growth in Nepal: an empirical analysis |
1 |
| Household behavior in practicing mental budgeting based on the theory of planned behavior |
1 |
| Forecasting risk using auto regressive integrated moving average approach: an evidence from S&P BSE Sensex |
1 |
| Beta through the prism of wavelets |
1 |