| |
original article |
Date |
Title |
Authors Max. 6 Authors |
| 1 |
[GO] |
2026―Feb―19 |
Adaptive risk assessment: How massive disruption moderates risk propensity and organisational risk management strategies-lessons from COVID-19 |
Daniel A. Sanchez-Loor, Trang Thi Thuy Huynh, Wei-Shiun Chang |
| 2 |
[GO] |
2025―Nov―24 |
Financial stability and investor behavior amid climate and COVID-19 uncertainties: evidence from Asian emerging markets |
Naveed Jan, Waheed Ullah Shah, Magdalena Radulescu, Branimir Kalas |
| 3 |
[GO] |
2025―Oct―10 |
Weathering storms: a study of the U.S. insurance market resilience against the global financial crisis and Covid-19 |
Elena Nebolsina |
| 4 |
[GO] |
2023―May―18 |
Correction: Impact of COVID-19 on the contagion effect of risks in the banking industry: based on transfer entropy and social network analysis method |
Wang Yijun, Zhang Yu, Usman Bashir |
| 5 |
[GO] |
2023―Apr―05 |
Impact of COVID-19 on the contagion effect of risks in the banking industry: based on transfer entropy and social network analysis method |
Wang Yijun, Zhang Yu, Usman Bashir |
| 6 |
[GO] |
2022―Aug―27 |
Oil tail-risk forecasts: from financial crisis to COVID-19 |
Wei Kuang |
| 7 |
[GO] |
2022―Apr―19 |
Revisiting the value of a statistical life: an international approach during COVID-19 |
Nadia J. Sweis |
| 8 |
[GO] |
2021―Apr―30 |
Covid-19 and high-yield emerging market bonds: insights for liquidity risk management |
Mariya Gubareva |
| 9 |
[GO] |
2021―Apr―14 |
Are stock prices driven by expected growth rather than discount rates? Evidence based on the COVID-19 crisis |
Pascal Böni, Heinz Zimmermann |