2.4(top 20%)
impact factor
2.6K(top 10%)
papers
15.0K(top 10%)
citations
44(top 20%)
h-index
2.8(top 20%)
extended IF
2.7K
all documents
17.5K
doc citations
71(top 20%)
g-index

Top Articles

#TitleJournalYearCitations
1Refined Measures of Dynamic Connectedness based on Time-Varying Parameter Vector AutoregressionsJournal of Risk and Financial Management2020517
2Suspending Classes Without Stopping Learning: China’s Education Emergency Management Policy in the COVID-19 OutbreakJournal of Risk and Financial Management2020481
3Risk Management of COVID-19 by Universities in ChinaJournal of Risk and Financial Management2020278
4Consumer Behaviour during Crises: Preliminary Research on How Coronavirus Has Manifested Consumer Panic Buying, Herd Mentality, Changing Discretionary Spending and the Role of the Media in Influencing BehaviourJournal of Risk and Financial Management2020239
5GARCH Modelling of CryptocurrenciesJournal of Risk and Financial Management2017199
6Long- and Short-Term Cryptocurrency Volatility Components: A GARCH-MIDAS AnalysisJournal of Risk and Financial Management2018172
7Risk Management: Rethinking Fashion Supply Chain Management for Multinational Corporations in Light of the COVID-19 OutbreakJournal of Risk and Financial Management2020116
8A Statistical Analysis of CryptocurrenciesJournal of Risk and Financial Management2017109
9Digitalization of the EU Economies and People at Risk of Poverty or Social ExclusionJournal of Risk and Financial Management2020108
10A Gated Recurrent Unit Approach to Bitcoin Price PredictionJournal of Risk and Financial Management2020101
11Foreign Direct Investment and Economic Growth in the Short Run and Long Run: Empirical Evidence from Developing CountriesJournal of Risk and Financial Management201996
12An Exploratory Study Based on a Questionnaire Concerning Green and Sustainable Finance, Corporate Social Responsibility, and Performance: Evidence from the Romanian Business EnvironmentJournal of Risk and Financial Management201994
13What Future for the Green Bond Market? How Can Policymakers, Companies, and Investors Unlock the Potential of the Green Bond Market?Journal of Risk and Financial Management202092
14Enterprise Risk Management Practices and Firm Performance, the Mediating Role of Competitive Advantage and the Moderating Role of Financial LiteracyJournal of Risk and Financial Management201888
15The Impact of Innovation and Information Technology on Greenhouse Gas Emissions: A Case of the Visegrád CountriesJournal of Risk and Financial Management202184
16Intellectual Capital Performance and Profitability of Banks: Evidence from PakistanJournal of Risk and Financial Management201983
17Prevention Is Better Than the Cure: Risk Management of COVID-19Journal of Risk and Financial Management202081
18Asymmetric Effects of Policy Uncertainty on the Demand for Money in the United StatesJournal of Risk and Financial Management201978
19A Survey on Efficiency and Profitable Trading Opportunities in Cryptocurrency MarketsJournal of Risk and Financial Management201974
20Dependency Relations among International Stock Market IndicesJournal of Risk and Financial Management201572
21Blockchain-Based ICOs: Pure Hype or the Dawn of a New Era of Startup Financing?Journal of Risk and Financial Management201871
22Natural Resources Volatility and Economic Growth: Evidence from the Resource-Rich RegionJournal of Risk and Financial Management202167
23Sustainability in the European Union: Analyzing the Discourse of the European Green DealJournal of Risk and Financial Management202166
24Volatility in International Stock Markets: An Empirical Study during COVID-19Journal of Risk and Financial Management202064
25Non-Fungible Token: A Systematic Review and Research AgendaJournal of Risk and Financial Management202264
26Spillover Risks on Cryptocurrency Markets: A Look from VAR-SVAR Granger Causality and Student’s-t CopulasJournal of Risk and Financial Management201963
27Are There Any Volatility Spill-Over Effects among Cryptocurrencies and Widely Traded Asset Classes?Journal of Risk and Financial Management201862
28Ensemble Learning or Deep Learning? Application to Default Risk AnalysisJournal of Risk and Financial Management201861
29An Analysis of Bitcoin’s Price DynamicsJournal of Risk and Financial Management201860
30Next-Day Bitcoin Price ForecastJournal of Risk and Financial Management201959
31Is Artificial Intelligence Ready to Assess an Enterprise’s Financial Security?Journal of Risk and Financial Management202059
32The Perceived Effectiveness of Blockchain for Digital Operational Risk Resilience in the European Union Insurance Market SectorJournal of Risk and Financial Management202159
33CO2 Emissions, Energy Consumption, and Economic Growth: New Evidence in the ASEAN CountriesJournal of Risk and Financial Management201958
34Predicting the Impact of COVID-19 on Australian UniversitiesJournal of Risk and Financial Management202058
35Regulatory Responses by Countries to Banking/Financial CrisesJournal of Risk and Financial Management202058
36Do Traditional Financial Distress Prediction Models Predict the Early Warning Signs of Financial Distress?Journal of Risk and Financial Management201957
37A Survey on Empirical Findings about Spillovers in Cryptocurrency MarketsJournal of Risk and Financial Management201955
38The Impacts of the Russia–Ukraine Invasion on Global Markets and Commodities: A Dynamic Connectedness among G7 and BRIC MarketsJournal of Risk and Financial Management202255
39Risk and Financial Management of COVID-19 in Business, Economics and FinanceJournal of Risk and Financial Management202053
40Effects of the COVID-19 Global Crisis on the Working Capital Management Policy: Evidence from PolandJournal of Risk and Financial Management202153
41Regulation of the Crypto-Economy: Managing Risks, Challenges, and Regulatory UncertaintyJournal of Risk and Financial Management201952
42Corporate Green Bond Issuances: An International EvidenceJournal of Risk and Financial Management202052
43Environmental Kuznets Curve Hypothesis on CO2 Emissions: Evidence for ChinaJournal of Risk and Financial Management202152
44Trend Prediction Classification for High Frequency Bitcoin Time Series with Deep LearningJournal of Risk and Financial Management201950
45The Impact of Corporate Governance on the Financial Performance of the Banking Sector in the MENA (Middle Eastern and North African) Region: An Immunity Test of Banks for COVID-19Journal of Risk and Financial Management202250
46The Burr X Pareto Distribution: Properties, Applications and VaR EstimationJournal of Risk and Financial Management201849
47The Development and Adoption of Online Learning in Pre- and Post-COVID-19: Combination of Technological System Evolution Theory and Unified Theory of Acceptance and Use of TechnologyJournal of Risk and Financial Management202149
48International Tourism Development in the Context of Increasing Globalization Risks: On the Example of Ukraine’s Integration into the Global Tourism IndustryJournal of Risk and Financial Management202048
49Adjusted Net Savings of CEE and Baltic Nations in the Context of Sustainable Economic Growth: A Panel Data AnalysisJournal of Risk and Financial Management202048
50Globalization and the Outbreak of COVID-19: An Empirical AnalysisJournal of Risk and Financial Management202148