Keyphrases
Reporting Practices
100%
Risk Reporting
100%
Insurance Industry
66%
Insurance Companies
44%
Australia
38%
Long-term Stock Returns
33%
Corporate Influence
33%
Atkinson Index
33%
Government Interference
33%
Time-varying Parameter Model
33%
Cybersecurity Risk Management
33%
Cyberrisk
33%
Insurance Sector
33%
Public Policy Development
33%
Bank of England
33%
Pension Scheme
33%
Firm Profitability
33%
Insurance Pension
33%
Square-root Process
33%
Frontier Markets
33%
Bank Cash Flow
33%
Informational Efficiency
33%
Liberalization Policy
33%
Fair Value Accounting
33%
Disclosure Regulation
33%
Information Load
33%
Foreign Portfolio Investment
33%
Common Risks
33%
Aggregation Bias
33%
Fair Value
33%
Regulatory Reporting
33%
Twain
33%
Edinburgh
33%
Capital Ratio
33%
Climate Risk
33%
Tax State
33%
Life Insurance Contracts
33%
Volatility Connectedness
33%
Spillover Transmission
33%
Return Spillovers
33%
Financial Systemic Risk
33%
Return Connectedness
33%
Repurchase Announcement
33%
Maxwell
33%
Law Reform
33%
Equity Sectors
33%
Sectoral Indices
33%
Volatility Transmission
33%
Sectoral Stock Returns
33%
Stochastic Frontier Analysis
33%
Board Ownership
33%
Systemic Risk
33%
Smart beta
33%
Petroleum Price
33%
Stock Market Participation
33%
European Insurance Companies
33%
Superannuation
33%
Value of Life
33%
Global Diversity
33%
Risk Classification System
33%
Cost of Equity
22%
Diversification Mechanism
22%
Generally Accepted Accounting Principles
22%
Foreign Institutional Investors
22%
Subordinated Debt
22%
ASEAN-5
22%
Insurance Contract
22%
Petroleum Sector
22%
Carhart Model
22%
Time-varying Autoregressive
16%
Inflation Dynamics
16%
Trend Component
16%
Inflation Process
16%
Gaussian Likelihood
16%
Firm Survival
16%
Hurst Exponent
16%
Market Opening
16%
Equity Prices
16%
Equity Markets
16%
Adaptive Market Hypothesis
16%
Foreign Participation
16%
Financial Ratios
16%
IAS 39
16%
IFRS 9
16%
European Insurance Markets
16%
Insurance Business
16%
X-efficiency
16%
Power Series Expansion
13%
Asset Returns
11%
Inequality Indices
11%
Channel Competition
11%
Stock Liquidity
11%
Market Liquidity
11%
Equity Stocks
11%
International Accounting Standards
11%
Banking Performance
11%
Statement of Cash Flows
11%
Northern Rock
11%
Economic Risk
11%
Investment Inflows
11%
Economics, Econometrics and Finance
Volatility
100%
Specific Industry
100%
Financial Crisis
97%
Investors
94%
IFRS
91%
Cash Flow
66%
Financial Risk
66%
Risk Factor
66%
Ownership
52%
Insurance Company
50%
Market Structure
50%
Capital Market Returns
50%
Share Repurchase
44%
Expenditure
41%
Accounting
38%
Capital Structure
38%
Managers
33%
Informational Efficiency
33%
Frontier Market
33%
Value Creation
33%
Value Reporting
33%
Merger
33%
Trade Credit
33%
Hedging
33%
Tax Avoidance
33%
Deregulation
33%
Ownership Structure
33%
Intergenerational Equity
33%
Accounting Standards
33%
Risk Management
33%
Climate Risks
33%
Life Insurance
33%
Value of Life
33%
Cybersecurity
33%
Aggregation Bias
33%
Tourism Industry
33%
Technical Efficiency
33%
Real Estate Price
33%
Stock Price
33%
Inflation
33%
Profit
33%
Immigrant
33%
Cost of Equity
33%
Efficient Market Hypothesis
33%
Market Share
33%
Foreign Portfolio Investment
33%
Monte Carlo Simulation
33%
Qualitative Method
33%
Public Policy
25%
Tax Policy
22%
Fair Value Accounting
22%
Taxation
22%
Spillover Effect
16%
Estimation Theory
16%
Public Sector
16%
Complexity Theory
16%
Financial Instrument
16%
Outlier
16%
Investment Decision
16%
Firm Size
16%
Returns to Scale
16%
Cost Function
16%
Corporate Insurance
16%
Financial Ratio
16%
Exchange Rate
16%
Financial Statement
16%
Export Price
16%
Capital Controls
16%
Time Series
16%
Institutional Infrastructure
16%
Asset Pricing
16%
Competitive Advantage
16%
Utility Theory
16%
Market Size
16%
Board Structure
13%
Information Asymmetry
12%
Measure of Dispersion
11%
Event Study
11%
Economic Globalization
11%
Corporate Management
11%
Tax Revenue
11%
Macroeconomic Variable
11%
Corporate Taxation
11%
Fiscal Consolidation
8%
Cash Flow Statement
8%
Financial Sustainability
8%
ARCH Model
8%
Bank Performance
8%
Wealth
8%
Dynamic Connectedness
6%
Interest Margin
5%
Multiple Equation Model
5%
Balance Sheet
5%
Cost Efficiency
5%
Social Sciences
UK
100%
London
66%
Financial Crisis
66%
Time Period
38%
Stochastics
33%
Legal Reform
33%
Contract Law
33%
Industrial Sector
33%
Occupational Career
33%
Occupations
33%
Case Study
33%
Tourism Industry
33%
Risk Management
33%
Volatility
33%
Value of Life
33%
Inflation
33%
Life Insurance
33%
Insurance
16%
Political Risk
16%
Social Exclusion
16%
Nationality
16%
Biographical Data
16%
Pension Fund
16%
Competitive Advantage
16%
Economic Risk
16%
Financial Instrument
13%
Accounting Standard
13%
International Accounting
13%
Gatekeeper
11%
Tax Revenue
11%
Spanish
11%
Development Policy
11%
Tourism Sector
11%
Government Policy
11%
Banks
11%
Complexity Theory
11%
Canada
6%
USA
6%