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Keyphrases
Euro Area
100%
Financial Pressure
88%
Unlisted Firms
88%
Cash Holdings
88%
New Evidence
88%
Listed Companies
88%
Firm Employment
55%
Financial Development
44%
Banking Efficiency
44%
Eurozone Crisis
44%
Corporate Social Responsibility
44%
Chinese Firms
44%
Social Firms
44%
Firm Survival
44%
Development Efficiency
44%
Chinese Banks
44%
Financial Technology
44%
Firm Cash Holdings
44%
Net Trade Credit
44%
Management Motives
29%
Financial Development Level
29%
Precautionary Motive
29%
Financial Constraints
22%
State-owned Enterprises
22%
Individual Forecasting
22%
Recent Financial Crisis
14%
Different Specification
14%
High Sensitivity
14%
Internal Financing
14%
External Financing
14%
Pressure Measure
14%
Cash Flow
14%
Robustness Check
14%
Unbalanced Panel
14%
Small/medium Enterprises
14%
U-shaped Relationship
14%
Internal Funds
14%
Small Face
14%
Technology Development
14%
Euro Area Countries
14%
Survival Probability
14%
Capital Risk
14%
Profit Risk
14%
Commercial Banks
14%
Support Vector Regression Method
14%
Locally Weighted Support Vector Regression
14%
Support Vector Regression Model
14%
Metaheuristic Approach
14%
Corporate Social Responsibility Activity
14%
Cash Reserves
11%
Economics, Econometrics and Finance
Financial Crisis
97%
Financial Constraints
94%
Finance
88%
Cash Flow
88%
European Economy
88%
Firm Employment Decision
88%
Banking Efficiency
88%
Trade Credit
88%
Financial Development
88%
Corporate Social Responsibility
44%
Climate Risks
44%
Fintech
44%
Commercial Bank
44%
Stock
44%
Public Bond
44%
Firm Performance
44%
Metaheuristics
29%
Debt Crisis
23%
Optimal Portfolio
22%
State-Owned Enterprise
16%
Scientific Modelling
14%
Financial Intermediation
14%
ARMA Model
14%
European Union
11%
Threshold Regression Model
7%
Monetary Transmission
7%
Panel Study
7%
Instrumental Variable Analysis
5%
State Intervention
5%