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BOHR International Journal of Finance and Market Research (BIJFMR) is an open access peer-reviewed journal that publishes articles which contribute new results in all the areas of Finance and Market Research. Authors are solicited to contribute to the journal by submitting articles that illustrate research results, projects, surveying works and industrial experiences that describe significant advances in this area.
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insurance policies
management
foreign exchange markets
modelling equity prices
macro economics
consumer finance
market research
finance
service quality
biggest and fastest growing financial industry
bank services
paypul
samsung pay
mobile wallet
apple pay
google pay
utility bill payment
online shopping
money transfer
predictions
learning
education system
education
analysis of the data
market
sustainability
underperformance
ipos
accepting deposit
online banking
home banking
foreign currency exchange
check/cheque payment
atms services
customer service quality
financial econometrics: theory and applications
international securities markets
market risk: measurement and analysis
rational and magic 鍖nance
purely virtual
keynes and the instability of capitalism
back and forth
power and global inequality
virtual environmen
economics and finance
financial capitalism
dangerous
parkinsons and epilepsy
momentum strategy
survivorship bias
portfolio investment
jel codes: g11 g12 g14
portuguese market
momentum effect
momentum strategy portfolio
e high-minus-low effect (hml)
risk-free rate (rm-rf)
small-minus-big (smb)
fama and french three factors model
loser portfolios
portuguese stocks market
geographical regions
m-wallet
payment
platforms
cashless economy
digital india
swaps
credit risk
bank performance
credit management
emerging markets
economics
marketing
institutions
trade liberalization
economic growth
political institutions
economic institutions
autoregressive distributed lag
market risk
measurement and analysis
green skill development progra
green industry
economic development
job creation
selfemployment
bse sensex
s&p 500
granger causality test
augmented dickeyfuller test
fintech
financial literacy
millennial
cluster analysis
anova
fintech awareness
millennium generation
wilful default
bayesian approach
survival model
hazard rate
green finance
green bonds
global warming
climate change
risk culture
risk management
regulator
strategy
banks
option
neural network
volatility
high frequency data
price prediction
motherboard industry
digital transformation
maturity assessment
fuzzy ahp
business environment
industry
economy
benchmarking
geographical indications (gi)
intellectual property (ip)
associated states
theory of clubs
financial econometrics
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