# | Title | Journal | Year | Citations |
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1 | Refined Measures of Dynamic Connectedness based on Time-Varying Parameter Vector Autoregressions | Journal of Risk and Financial Management | 2020 | 517 |
2 | Suspending Classes Without Stopping Learning: China’s Education Emergency Management Policy in the COVID-19 Outbreak | Journal of Risk and Financial Management | 2020 | 481 |
3 | Risk Management of COVID-19 by Universities in China | Journal of Risk and Financial Management | 2020 | 278 |
4 | Consumer 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 Behaviour | Journal of Risk and Financial Management | 2020 | 239 |
5 | GARCH Modelling of Cryptocurrencies | Journal of Risk and Financial Management | 2017 | 199 |
6 | Long- and Short-Term Cryptocurrency Volatility Components: A GARCH-MIDAS Analysis | Journal of Risk and Financial Management | 2018 | 172 |
7 | Risk Management: Rethinking Fashion Supply Chain Management for Multinational Corporations in Light of the COVID-19 Outbreak | Journal of Risk and Financial Management | 2020 | 116 |
8 | A Statistical Analysis of Cryptocurrencies | Journal of Risk and Financial Management | 2017 | 109 |
9 | Digitalization of the EU Economies and People at Risk of Poverty or Social Exclusion | Journal of Risk and Financial Management | 2020 | 108 |
10 | A Gated Recurrent Unit Approach to Bitcoin Price Prediction | Journal of Risk and Financial Management | 2020 | 101 |
11 | Foreign Direct Investment and Economic Growth in the Short Run and Long Run: Empirical Evidence from Developing Countries | Journal of Risk and Financial Management | 2019 | 96 |
12 | An Exploratory Study Based on a Questionnaire Concerning Green and Sustainable Finance, Corporate Social Responsibility, and Performance: Evidence from the Romanian Business Environment | Journal of Risk and Financial Management | 2019 | 94 |
13 | What 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 Management | 2020 | 92 |
14 | Enterprise Risk Management Practices and Firm Performance, the Mediating Role of Competitive Advantage and the Moderating Role of Financial Literacy | Journal of Risk and Financial Management | 2018 | 88 |
15 | The Impact of Innovation and Information Technology on Greenhouse Gas Emissions: A Case of the Visegrád Countries | Journal of Risk and Financial Management | 2021 | 84 |
16 | Intellectual Capital Performance and Profitability of Banks: Evidence from Pakistan | Journal of Risk and Financial Management | 2019 | 83 |
17 | Prevention Is Better Than the Cure: Risk Management of COVID-19 | Journal of Risk and Financial Management | 2020 | 81 |
18 | Asymmetric Effects of Policy Uncertainty on the Demand for Money in the United States | Journal of Risk and Financial Management | 2019 | 78 |
19 | A Survey on Efficiency and Profitable Trading Opportunities in Cryptocurrency Markets | Journal of Risk and Financial Management | 2019 | 74 |
20 | Dependency Relations among International Stock Market Indices | Journal of Risk and Financial Management | 2015 | 72 |
21 | Blockchain-Based ICOs: Pure Hype or the Dawn of a New Era of Startup Financing? | Journal of Risk and Financial Management | 2018 | 71 |
22 | Natural Resources Volatility and Economic Growth: Evidence from the Resource-Rich Region | Journal of Risk and Financial Management | 2021 | 67 |
23 | Sustainability in the European Union: Analyzing the Discourse of the European Green Deal | Journal of Risk and Financial Management | 2021 | 66 |
24 | Volatility in International Stock Markets: An Empirical Study during COVID-19 | Journal of Risk and Financial Management | 2020 | 64 |
25 | Non-Fungible Token: A Systematic Review and Research Agenda | Journal of Risk and Financial Management | 2022 | 64 |
26 | Spillover Risks on Cryptocurrency Markets: A Look from VAR-SVAR Granger Causality and Student’s-t Copulas | Journal of Risk and Financial Management | 2019 | 63 |
27 | Are There Any Volatility Spill-Over Effects among Cryptocurrencies and Widely Traded Asset Classes? | Journal of Risk and Financial Management | 2018 | 62 |
28 | Ensemble Learning or Deep Learning? Application to Default Risk Analysis | Journal of Risk and Financial Management | 2018 | 61 |
29 | An Analysis of Bitcoin’s Price Dynamics | Journal of Risk and Financial Management | 2018 | 60 |
30 | Next-Day Bitcoin Price Forecast | Journal of Risk and Financial Management | 2019 | 59 |
31 | Is Artificial Intelligence Ready to Assess an Enterprise’s Financial Security? | Journal of Risk and Financial Management | 2020 | 59 |
32 | The Perceived Effectiveness of Blockchain for Digital Operational Risk Resilience in the European Union Insurance Market Sector | Journal of Risk and Financial Management | 2021 | 59 |
33 | CO2 Emissions, Energy Consumption, and Economic Growth: New Evidence in the ASEAN Countries | Journal of Risk and Financial Management | 2019 | 58 |
34 | Predicting the Impact of COVID-19 on Australian Universities | Journal of Risk and Financial Management | 2020 | 58 |
35 | Regulatory Responses by Countries to Banking/Financial Crises | Journal of Risk and Financial Management | 2020 | 58 |
36 | Do Traditional Financial Distress Prediction Models Predict the Early Warning Signs of Financial Distress? | Journal of Risk and Financial Management | 2019 | 57 |
37 | A Survey on Empirical Findings about Spillovers in Cryptocurrency Markets | Journal of Risk and Financial Management | 2019 | 55 |
38 | The Impacts of the Russia–Ukraine Invasion on Global Markets and Commodities: A Dynamic Connectedness among G7 and BRIC Markets | Journal of Risk and Financial Management | 2022 | 55 |
39 | Risk and Financial Management of COVID-19 in Business, Economics and Finance | Journal of Risk and Financial Management | 2020 | 53 |
40 | Effects of the COVID-19 Global Crisis on the Working Capital Management Policy: Evidence from Poland | Journal of Risk and Financial Management | 2021 | 53 |
41 | Regulation of the Crypto-Economy: Managing Risks, Challenges, and Regulatory Uncertainty | Journal of Risk and Financial Management | 2019 | 52 |
42 | Corporate Green Bond Issuances: An International Evidence | Journal of Risk and Financial Management | 2020 | 52 |
43 | Environmental Kuznets Curve Hypothesis on CO2 Emissions: Evidence for China | Journal of Risk and Financial Management | 2021 | 52 |
44 | Trend Prediction Classification for High Frequency Bitcoin Time Series with Deep Learning | Journal of Risk and Financial Management | 2019 | 50 |
45 | The 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-19 | Journal of Risk and Financial Management | 2022 | 50 |
46 | The Burr X Pareto Distribution: Properties, Applications and VaR Estimation | Journal of Risk and Financial Management | 2018 | 49 |
47 | The 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 Technology | Journal of Risk and Financial Management | 2021 | 49 |
48 | International Tourism Development in the Context of Increasing Globalization Risks: On the Example of Ukraine’s Integration into the Global Tourism Industry | Journal of Risk and Financial Management | 2020 | 48 |
49 | Adjusted Net Savings of CEE and Baltic Nations in the Context of Sustainable Economic Growth: A Panel Data Analysis | Journal of Risk and Financial Management | 2020 | 48 |
50 | Globalization and the Outbreak of COVID-19: An Empirical Analysis | Journal of Risk and Financial Management | 2021 | 48 |