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Finance Research Letters|January 17, 2022
Corporate social responsibility budgeting and spending during COVID-19 in Oman: A humanitarian response to the pandemicSaeed Rabea Baatwah, Adel Ali Al-Qadasi, Amer Mohammed Al-Shehri, et al.
Finance Research Letters|January 10, 2022
COVID-19 and cryptocurrency volatility: Evidence from asymmetric modellingNicholas Apergis
Finance Research Letters|January 11, 2022
The stock price reaction of the COVID-19 pandemic on the airline, hotel, and tourism industriesDavid Carter, Sharif Mazumder, Betty Simkins, et al.
Finance Research Letters|February 21, 2022
Corporate environmental governance scheme and investment efficiency over the course of COVID-19Haiyue Liu, Jie Jiang, Rui Xue, et al.
Finance Research Letters|September 27, 2021
COVID-19 and the cost of bond debt: The role of corporate diversificationKhadija S Almaghrabi
Finance Research Letters|September 27, 2021
Global financial crisis and COVID-19: Industrial reactionsHsuan-Chi Chen, Chia-Wei Yeh
Finance Research Letters|October 5, 2021
Comparing gold's and Bitcoin's safe-haven roles against energy commodities during the COVID-19 outbreak: A vine copula approachKhreshna Syuhada, Djoko Suprijanto, Arief Hakim
Finance Research Letters|April 26, 2022
Jumps and stock market variance during the COVID-19 pandemic: Evidence from international stock marketsQing Zeng, Xinjie Lu, Tao Li, et al.
Finance Research Letters|April 25, 2022
Effects of monetary policy announcements on term premia in the euro area during the COVID-19 pandemicRichhild Moessner, Jakob de Haan
Finance Research Letters|April 25, 2022
The gold-stock market relationship during COVID-19Pamela Peterson Drake
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