Journal of Risk Finance
Issue(s) available: 117 – From Volume: 1 Issue: 1, to Volume: 25 Issue: 3
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Does the Too-Big-To-Fail status affect depositor’s discipline: a Gaussian mixture model algorithm approach
Arushi JainThis study empirically demonstrates a contradiction between pillar 3 of Basel norms III and the designation of Systemically Important Banks (SIBs), also known as Too Big to Fail…
Is tax avoidance one of the purposes of financial data manipulation? The case of Romania
Isabella Lucut Capras, Monica Violeta Achim, Eugenia Ramona MaraCompanies avoid taxes in a variety of ways and use different methods to do that, one of the most common being earnings management. The purpose of this paper is to investigate…
ISSN:
1526-5943Online date, start – end:
1999Copyright Holder:
Emerald Publishing LimitedOpen Access:
hybridMerged from:
Balance SheetEditor:
- Nawazish Mirza