Volume 13, Issue 2, 2023


The Linear and Non-Linear Effects of External Debt on Economic Growth in MENA Countries: An Empirical Investigation
Adel Necib
International Journal of Finance, Insurance and Risk Management, Volume 13, Issue 2, 3-29, 2023
The Crucial Macroeconomic and Microeconomic Determinants of Retail and Corporate Credit Risks
Karim Farag, Taha Kassem, Yasmine Ramzy
International Journal of Finance, Insurance and Risk Management, Volume 13, Issue 2, 30-41, 2023
The Effects of Executives’ Agility Decision-Making in COVID-19 Pandemic Period on Companies’ Performance
Adel Necib
International Journal of Finance, Insurance and Risk Management, Volume 13, Issue 2, 42-64, 2023
The Role of Education Level in the Buying of Halal Food among Ghanaian Millennials
Edward Markwei Martey, Isaac Toryni, Patricia Cretsil
International Journal of Finance, Insurance and Risk Management, Volume 13, Issue 2, 65-85, 2023
Analysis and Risk Assessment of FAAMG Stocks
Aryan Kasera
International Journal of Finance, Insurance and Risk Management, Volume 13, Issue 2, 86-104, 2023
The Effect of Corporate Governance Mechanisms on Integrated Reporting (IR) Quality: The Case of FTSE100 Companies
Adel Necib, Jarboui Anis
International Journal of Finance, Insurance and Risk Management, Volume 13, Issue 2, 105-131, 2023
Measuring the Extent of Liquidity's Impact on the Financial Structure
Ali Abdulhassan Abba, Ayat Amer Hadi, Amna Abbas Muhammad
International Journal of Finance, Insurance and Risk Management, Volume 13, Issue 2, 132-166, 2023
Rational Investors or Rational Expectations in Efficient Market Hypothesis?
Magdalena Mikolajek-Gocejna, Tomasz Urbas
International Journal of Finance, Insurance and Risk Management, Volume 13, Issue 2, 167-188, 2023