Fraud diamond: Detection analysis on the fraudulent financial reporting SL Indarto, I Ghozali Risk Governance & Control: Financial Markets and Institution 6 (4-1), 116-123, 2016 | 143 | 2016 |
Corporate governance from the perspective of the past and the present and the need to fill an international GAP TT Yousif Alabdullah Risk Governance and Control: Financial Markets & Institutions 6 (4), 96-101, 2016 | 126 | 2016 |
An extensive exploration of theories of foreign direct investment PL Makoni Risk Governance and Control: Financial Markets & Institutions 5 (2-1), 77-83, 2015 | 88 | 2015 |
Risk management and internal audit: Evidence from Greece G Drogalas, S Siopi Risk Governance and Control: Financial Markets & Institutions 7 (3), 104-110, 2017 | 59 | 2017 |
Enterprise risk management: Factors associated with effective implementation W Mensah, G., Gottwald Risk Governance and Control: Financial Markets & Institutions 6 (4-1), 175-206, 2016 | 50* | 2016 |
Does public spending affect unemployment in an emerging market? VA Onodugo, KO Obi, OF Anowor, NG Nwonye, GN Ofoegbu Risk Governance and Control: Financial Markets & Institutions 7 (1), 32-40, 2017 | 47 | 2017 |
Comparative studies of risk, concentration and efficiency in transition economies K Djalilov, S Lyeonov, A Buriak Risk Governance and Control: Financial Markets and Institutions 5 (4), 178-187, 2015 | 46 | 2015 |
Formalization of factors that are affecting stability of Ukraine banking system T Vasilyeva, L Sysoyeva, A Vysochyna Risk Governance and Control: Financial Markets & Institutions 6 (4), 7-11, 2016 | 45 | 2016 |
Electronic fraud (cyber fraud) risk in the banking industry, Zimbabwe S Dzomira Risk governance & control: financial markets & institutions 4 (2), 17-27, 2014 | 44 | 2014 |
Examining the gender influence on Employees’ work engagement within a South African university MC Tshilongamulenzhe, N Takawira Risk Governance and Control: Financial Markets & Institutions 5 (2-1), 110-119, 2015 | 40 | 2015 |
The impact of perceived risk on on-line purchase behaviour C Gerber, S Ward, L Goedhals-Gerber Risk Governance and Control: Financial Markets & Institutions 4 (4-1), 99-106, 2014 | 39 | 2014 |
Comparative study of holt-winters triples exponential smoothing and seasonal Arima: Forecasting short term seasonal car sales in South Africa KD Makatjane, ND Moroke Risk Governance and Control: Financial Markets & Institutions 6 (1), 71-82, 2016 | 38 | 2016 |
The role of government spending on economic growth in a developing country MF Oladele, G Mah, I Mongale Risk Governance and Control: Financial Markets & Institutions 7 (2-1), 140-146, 2017 | 37 | 2017 |
Determinants of capital structure: A literature review AB Sibindi Risk Governance and Control: Financial Markets & Institutions 6 (4-1), 227-237, 2016 | 37 | 2016 |
The quality of institutions and financial development in mena countries: An empirical investigation K Gazdar, M Cherif Risk governance & control: financial markets & institutions 4 (4-1), 65-80, 2014 | 37 | 2014 |
Accounting fraud: A literature review M Tutino, M Merlo Risk Governance and Control: Financial Markets & Institutions 9 (1), 8-25, 2019 | 35 | 2019 |
Corporate governance in Saudi Arabia: An overview of its evolution and recent trends MAS Al-Faryan Risk Governance and Control: Financial Markets & Institutions 10 (1), 23-36, 2020 | 31 | 2020 |
The impact of dividend policy on firm performance: A case study of the industrial sector H Kamran, Khan Chakir Lamrani, S Khalid Risk Governance and Control: Financial Markets & Institutions 9 (3), 23-31, 2019 | 31 | 2019 |
A literature review on the impact of IAS/IFRS and regulations on quality of financial reporting W Newman, T Edmore, K Milondzo, VO Wadesango Risk Governance and Control: Financial Markets & Institutions 6 (4), 102-114, 2016 | 29 | 2016 |
The relationship between liquidity risk and probability of default: Evidence from the Euro area D Cucinelli Risk Governance and Control: Financial Markets & Institutions 3 (1), 42-50, 2013 | 29 | 2013 |