Ahead of the Curve with Dr. Daryl V. Watkins

This story is originally published in our partner, the North American Business Press website. In a world where leadership is too often imagined as a single figure calling every shot, the conventional image—a conductor orchestrating an ensemble, or perhaps a commander directing troops—is increasingly out of step with how high-performing organizations actually function. In this

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Equity in Literacy Education Through Tier 2 Personalized Instruction Investigated in Recent Study

Equity in Literacy Education Through Tier 2 Personalized Instruction Investigated in Recent Study Dr. Earlisha Jenkins Whitfield, Assistant Professor of Reading at the University of Central Florida (UCF), has published a pivotal study in the Journal of Higher Education Theory and Practice. Her paper, Equity in Literacy Education: A Case Study of Tier 2 Personalized

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At the Forefront with Dr. Peter Bryant

At the Forefront with Dr. Peter Bryant At the Knowledge and Leadership Alliance, we believe in the power of knowledge and innovation to drive meaningful change. Our commitment to learning, leadership, and progress fuels our efforts to explore transformative approaches in education. One leader who exemplifies these values is Dr. Peter Bryant, Professor of Business

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Video: At the Forefront with Dr. Peter Bryant

At the Knowledge and Leadership Alliance, we are dedicated to showcasing thought leaders who drive meaningful change through education, leadership, and innovation. In this installment of At the Forefront, we feature Dr. Peter Bryant, Professor of Business Education and Associate Dean of Education at the University of Sydney Business School. With a career spanning over

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Pitipat Nittayakamolphun Explores Asymmetric Effects of Uncertainty and Commodity Markets on Sustainable Stocks in Emerging Markets

Assistant Professor Dr. Pitipat Nittayakamolphun, a lecturer in the Department of Economics at Buriram Rajabhat University, Thailand, has published a significant study in the Journal of Risk and Financial Management. Titled Asymmetric Effects of Uncertainty and Commodity Markets on Sustainable Stock in Seven Emerging Markets, the paper investigates how global economic policy uncertainty (EPU), market

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Journal Article Explores the Role of Airport Service Providers in Advancing Sustainable Development Goals

A recent study titled Airport Service Providers in Support of SDGs has been published in the peer-reviewed journal Businesses. The research underscores the potential of airport service providers to contribute to the United Nations Sustainable Development Goals (SDGs) through operational sustainability, innovative practices, and collaboration with key stakeholders. This pilot study focuses on a Romanian

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Economic Inequality Explored Through Scale-Free Complex Network Theory in New Study by John Ingersoll

John Ingersoll, a renowned expert in sustainable energy and former President of the Philosophical Society of Washington, has recently published groundbreaking research in Economies. Titled “Inequality in the Distribution of Wealth and Income as a Natural Consequence of the Equal Opportunity of All Members in the Economic System Represented by a Scale-Free Network,” the paper

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Dr. Ashok Panigrahi Explores Pandemic-Induced Market Volatility and Global Spillover Effects in New Study

Dr. Ashok Panigrahi, an Associate Professor and noted finance academic, has published a comprehensive analysis of stock market volatility in the wake of the COVID-19 pandemic alongside his co-authors. Titled Volatility Persistence and Spillover Effects of Indian Market in the Global Economy: A Pre- and Post-Pandemic Analysis Using VAR-BEKK-GARCH Model, the article appears in the

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Haitong Wei Develops Early-Warning Financial Risk Model for Chinese Enterprises

In a groundbreaking study, Haitong Wei and co-author Xinghai Wang have introduced a novel financial risk management early-warning model tailored for Chinese enterprises, published in the Journal of Risk and Financial Management. The research addresses a critical enterprise financial risk management gap by creating a comprehensive and universally applicable framework. Using financial data from A-share

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