Financial Econometrics and Quantitative Economic Analysis (Sergej Gričar,.pdf
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英文,内容丰富,240多页。
Preface .................................................... ix
Sergej Griˇcar, Nemanja Lojanica and Tamara Backovi´c
Financial Econometrics and Quantitative Economic Analysis
Reprinted from: J. Risk Financial Manag. 2025, 18, 166, https://doi.org/10.3390/jrfm18030166 . . 1
Sergej Gricar
Tourism Forecasting of “Unpredictable” Future Shocks: A Literature Review by the PRISMA
Model
Reprinted from: J. Risk Financial Manag. 2023, 16, 493, https://doi.org/10.3390/jrfm16120493 . . 5
Andrejs Cirjevskis ˇ
Exploring Competence-Based Synergism in Strategic Collaborations: Evidence from the Global
Healthcare Industry
Reprinted from: J. Risk Financial Manag. 2024, 17, 93, https://doi.org/10.3390/jrfm17030093 . . . 18
Enkeleda Lulaj, Mirela Tase, Concei¸c ˜ao Gomes and Luc´ılia Cardoso
Navigating Financial Frontiers in the Tourism Economies of Kosovo and Albania during and
beyond COVID-19
Reprinted from: J. Risk Financial Manag. 2024, 17, 142, https://doi.org/10.3390/jrfm17040142 . . 38
Heni Boubaker and Ben Saad Zorgati Mouna
Transmission of Inflation and Exchange Rate Effects: The Markov Switching Vector Autoregressive Methodology
Reprinted from: J. Risk Financial Manag. 2024, 17, 221, https://doi.org/10.3390/jrfm17060221 . . 57
Maroua Zineelabidine, Fadwa Nafssi and Hamza Ayass
The Determinants of the Efficiency of Microfinance Institutions in Africa
Reprinted from: J. Risk Financial Manag. 2024, 17, 318, https://doi.org/10.3390/jrfm17080318 . . 87
Andrejs Cirjevskis ˇ
Exploring the Usefulness of Real Options Theory for Foreign Affiliate Divestments: Real
Abandonment Options’ Applications
Reprinted from: J. Risk Financial Manag. 2024, 17, 438, https://doi.org/10.3390/jrfm17100438 . . 107
Carlos J. Rincon and Darko B. Vukovic
Assessing the Impact of Federal Reserve Policies on Equity Market Valuations: An Instrumental
Variables Approach
Reprinted from: J. Risk Financial Manag. 2024, 17, 442, https://doi.org/10.3390/jrfm17100442 . . 124
Khwazi Magubane
The Stability of the Financial Cycle: Insights from a Markov Switching Regression in South
Africa
Reprinted from: J. Risk Financial Manag. 2025, 18, 76, https://doi.org/10.3390/jrfm18020076 . . . 160
Recep Ali K ¨u¸c ¨uk¸colak, G ¨ozde Bozkurt, Necla Ilter K ¨ ˙ u¸c ¨uk¸colak, Adnan Veysel Ertemel and
Sami K ¨u¸c ¨uko ˘glu
Corruption Control as a Catalyst for Financial Development: A Global Comparative Study
Reprinted from: J. Risk Financial Manag. 2025, 18, 79, https://doi.org/10.3390/jrfm18020079 . . . 190
v
Imed Medhioub
Impact of Geopolitical Risks on Herding Behavior in Some MENA Stock Markets
Reprinted from: J. Risk Financial Manag. 2025, 18, 85, https://doi.org/10.3390/jrfm18020085 . . . 217



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