Paper Review Records
All Paper Review Records
20 valid samples · Newest publication first
Review days = acceptance date − received date. PDF, DOI, and publisher-page sources are retained.
Investor heterogeneity and stock market volatility: cross-country evidence from an extended heterogeneous agent model
AuthorsZhong-Qiang Zhou; Jie Li; Xiong Xiong; Chee-Wooi Hooy
Affiliations1. School of Applied Economics, Guizhou University of Finance and Economics, Guiyang, China; 2. Digital Economy Institute, Guizhou University of Finance and Economics, Guiyang, China; 3. School of Finance, Nanjing Audit University, Nanjing, China; 4. College of Management and Economics, Tianjin University, Tianjin, China; 5. Laboratory of Computation and Analytics of Complex Management Systems (CACMS), Tianjin University, Tianjin, China; 6. School of Management, Universiti Sains Malaysia, Gelugor, Malaysia
Bridging inverse participation ratio and portfolio theory
AuthorsLaura Molero González; Roy Cerqueti; Juan E. Trinidad Segovia; Miguel A. Sánchez Granero
Affiliations1. Department of Economics and Business, University of Almer´ıa, Almer´ıa, Spain; 2. Department of Social and Economic Sciences, Sapienza University of Rome, Rome, Italy; 3. GRANEM, University of Angers, Angers, France; 4. Department of Mathematics, University of Almer´ıa, Almer´ıa, Spain
The rise of co-arranged lending
AuthorsChanghwan Choi; Chune Young Chung
Affiliations1. Konkuk Business School, Konkuk University, Seoul, South Korea; 2. Faculty of Finance and Banking, Ton Duc Thang University, Ho Chi Minh City, Vietnam; 3. School of Business Administration, Chung-Ang University, Seoul, South Korea
Unveiling the success of PIX: a Brazilian mobile instant payment system
AuthorsLuiz Antonio Joia; Manuela Fortes Lorenzo; Tiago Azevedo Marot
Affiliations1. Brazilian School of Public and Business Administration at Getulio Vargas Foundation, Rio de Janeiro, Brazil
Exploring portfolio diversification possibilities in the precious metal market through cryptocurrencies: an empirical approach using global evidence
AuthorsAsanga Jayawardhana; Sisira Colombage
Affiliations1. Institute of Innovation, Science and Sustainability, Federation University Australia, Berwick, Australia
Are corporate cash holdings sensitive to neighborhood carbon emissions?
AuthorsXinya Wang; Xinzhi Zhang; Shupei Huang
Affiliations1. School of Economics and Management, Beijing University of Chemical Technology, Beijing, China; 2. School of Finance, Capital University of Economics and Business, Beijing, China; 3. School of Economics and Management, China University of Geosciences, Beijing, Beijing, China
The Role of Energy Market Uncertainties in Forecasting US State-Level Stock Market Volatility: A GARCH-MIDAS Approach
AuthorsAfees A. Salisu; Ahamuefula E. Ogbonna; Rangan Gupta; Oguzhan Cepni
Affiliations1. Centre for Econometrics and Applied Research, Ibadan, Nigeria; 2. Department of Economics, University of Pretoria, Hatfield, South Africa; 3. Department of Economics, Copenhagen Business School, Frederiksberg, Denmark; 4. Ostim Technical University, Ankara, Türkiye; 5. Center for Economics and Policy Studies, Istinye University, Istanbul, Türkiye; 6. Centre for Business, Climate Change, and Sustainability, University of Edinburgh Business School, Edinburgh, United Kingdom
Charting the future of auditing: a global latent Dirichlet allocation-based exploration (1988–2024)
AuthorsNazan Güngör Karyağdı; Mehmet Özçalıcı; Dragan Pamucar; Hasan Emin Gurler; Ahmet Kaya
Affiliations1. Department of Accounting and Taxation, Vocational School of Social Sciences, Bitlis Eren University, Bitlis, Turkey; 2. Department of International Trade and Logistics, Faculty of Economics and Administrative Sciences, Kilis 7 Aralık University, Kilis, Turkey; 3. Transport and Logistics Competence Centre, Vilnius Gediminas Technical University, Vilnius, Lithuania; 4. Department of Applied Mathematical Science, College of Science and Technology, Korea University, Sejong, Republic of Korea; 5. Department of Finance and Banking, Faculty of Applied Sciences, Akdeniz University, Antalya, Turkey
Capital market liberalization and stock price crash risk: a Shanghai-Hong Kong stock connect expansion perspective
AuthorsRuwei Zhao; Hansong Guo; Xiaotong Wang; Xiong Xiong
Affiliations1. Business School, University of Jinan, Jinan, China; 2. College of Management and Economics, Tianjin University, Tianjin, China
Volatility spillovers from the United States and China to Latin American stock markets
AuthorsWalter Bazán-Palomino; Diego Winkelried
Affiliations1. School of Economics and Finance, Center for China and Asia-Pacific Studies, Universidad del Pacífico, Lima, Peru
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