One challenge is the lack of data on CFO risk-taking
Research gap analysis derived from 4 economics papers in our local library.
The gap
One challenge is the lack of data on CFO risk-taking behavior in GCC countries. Another challenge is the complexity of measuring CFO risk-taking and its impact on corporate financial performance. The study also faces the challenge of identi
Evidence profile
Sourced from the future-work section and stated challenges of the source papers, classified as general, spanning 4 journals.
Research trend
Established — well-defined area with open sub-problems.
Supporting evidence — 5 representative gaps
- The Impact of CFO Risk-Taking Behaviour on Corporate Financial Performance: Evidence from the Industrial, Energy, and Petrochemical Sectors in Gulf Cooperation Council (GCC) Countries (2026) · Journal of Risk and Financial Management · doi
Future studies could explore the relationship between CFO risk-taking and corporate financial performance in other regions or industries. Future research could examine the impact of CFO risk-taking on other outcomes, such as firm survival or growth. Future studies could use alternative methods or models to examine the relationship between CFO risk-taking and corporate financial performance.
generalfuture-work sectionKeywords: future studies explore relationship between cfo risk-taking corporate - The Impact of CFO Risk-Taking Behaviour on Corporate Financial Performance: Evidence from the Industrial, Energy, and Petrochemical Sectors in Gulf Cooperation Council (GCC) Countries (2026) · Journal of Risk and Financial Management · doi
One challenge is the lack of data on CFO risk-taking behavior in GCC countries. Another challenge is the complexity of measuring CFO risk-taking and its impact on corporate financial performance. The study also faces the challenge of identifying the relationship between CFO risk-taking and firm performance in a capital-intensive industry.
generalstated challengesKeywords: one challenge lack data cfo risk-taking behavior gcc - Pengaruh Kinerja Keuangan terhadap Financial Distress dengan Komisaris Independen sebagai Variabel Moderasi (2026) · Jurnal Ilmiah Ekonomi, Akuntansi, dan Pajak · doi
The study suggests that future research could expand the object of study to include more companies and sectors. The study suggests that future research could examine the effect of other moderating variables on the relationship between financial performance and financial distress. The study suggests that future research could use different methodologies, such as qualitative approaches.
generalfuture-work sectionevidence 5/5Keywords: study suggests future research expand object include companies - Environmental Regulation and Financial Reallocation: Evidence from China’s Incentive Penalty Policy (2026) · Journal of Agricultural Policy and Transformation · doi
Future studies should examine the long-term effects of environmental regulation on corporate investment and financial behavior. Future studies should consider the potential interactions between environmental regulation and other policy mechanisms. Future studies should examine the effects of environmental regulation on different types of firms and industries.
generalfuture-work sectionevidence 4/5Keywords: future studies examine long-term effects environmental regulation corporate - Total Risk and Its Impact on Firm Performance and Sustained Growth: Empirical Evidence from Consumer Non-Cyclicals Manufacturing Companies on the Indonesia Stock Exchange (2026) · Green Inflation · doi
Future studies should examine the effect of total risk on firm performance and sustained growth in other sectors and markets. Future studies should investigate the relationship between systematic risk and firm performance in different contexts. Future studies should explore the implications of systematic risk for strategic decision-making and long-run value creation.
generalfuture-work sectionevidence 4/5Keywords: future studies examine effect total risk firm performance
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