All Stories

  1. Machine Learning and Artificial Intelligence Method for FinTech Credit Scoring and Risk Management
  2. Digital divide and digitalization in Europe: A bibliometric analysis
  3. FinTech Credit Using CBDC
  4. The impact of unpredictable resource prices and equity volatility in advanced and emerging economies: An econometric and machine learning approach
  5. Evaluating the Return Volatility of Cryptocurrency Market: An Econometrics Modelling Method
  6. Global Financial Crisis in 21st Century: A Brief Analysis of Stock Exchanges
  7. Accessing the Equity Return Volatility Effect of East and South Asian Nations: The Econometrics Modelling Method
  8. A Study on the Volatility of the Bangladesh Stock Market — Based on GARCH Type Models
  9. Analysis of Credit Risk, Efficiency, Liquidity, and Profitability of Selected Non-Bank Financial Institution: An Empirical Study
  10. The Impacts of Non-Performing Loan on Profitability: An Empirical Study on Banking Sector of Dhaka Stock Exchange
  11. Non-Performing Loan on Profitability: Evidence from Banking Sector of Dhaka Stock Exchange