Simon Grima

Department of Insurance and Risk Management, Faculty of Economics Management and Accountancy, University of Malta, Msida, Malta;
Faculty of Business Management and Economics, University of Latvia, Riga, Latvia
Professor in Risk Management, Professor in Finance, Deputy Dean, Head of Department

Scopus profile: link
Researcher ID: Q-9505-2019
ID ORCID:
https://orcid.org/0000-0003-1523-5120

Selected Publications:

  1. Inder, S., Sood, K., Grima, S. (2022). Antecedents of Behavioural Intention to Adopt Internet Banking Using Structural Equation Modelling. Journal of Risk and Financial Management, 15 (4), 157. doi: https://doi.org/10.3390/jrfm15040157

  2. Ersoy, E., Swiecka, B., Grima, S., Özen, E., Romanova, I. (2022). The Impact of ESG Scores on Bank Market Value? Evidence from the U.S. Banking Industry. Sustainability, 14 (15), 9527. doi: https://doi.org/10.3390/su14159527

  3. Sood, K., Seth, N., Grima, S. (2022). Portfolio Performance of Public Sector General Insurance Companies in India: A Comparative Analysis. Contemporary Studies in Economic and Financial Analysis, 215–230. doi: https://doi.org/10.1108/s1569-37592022000108b043 

  4. Inder, S., Sood, K., Grima, S. (2022). Antecedents of Behavioural Intention to Adopt Internet Banking Using Structural Equation Modelling. Journal of Risk and Financial Management, 15 (4), 157. doi: https://doi.org/10.3390/jrfm15040157 

  5. Grima, S., Spiteri, J., Romānova, I. (2020). A STEEP framework analysis of the key factors impacting the use of blockchain technology in the insurance industry. The Geneva Papers on Risk and Insurance - Issues and Practice, 45 (3), 398–425. doi: https://doi.org/10.1057/s41288-020-00162-x 

  6. Grima, S., Spiteri, J. V., Thalassinos, E. (2020). Editorial: Risk Management Models and Theories. Frontiers in Applied Mathematics and Statistics, 6. doi: https://doi.org/10.3389/fams.2020.00008 

  7. Özen, E., Özdemir, L., Grima, S. (2020). The Relationship between the Exchange Rate, Interest Rate and Inflation: The Case of Turkey. Scientific Annals of Economics and Business, 67 (2), 259–275. doi: https://doi.org/10.47743/saeb-2020-0014 

  8. Citaku, Sh., Asllani, G., Luboteni, G., Grima, S. (2020). Financial Integration, Banking Supervision and Sustainability of the Western Balkan Countries. International Journal of Economics and Business Administration, VIII (1), 3–14. doi: https://doi.org/10.35808/ijeba/404 

  9. Swiecka, B., Yeşildağ, E., Özen, E., Grima, S. (2020). Financial Literacy: The Case of Poland. Sustainability, 12 (2), 700. doi: https://doi.org/10.3390/su12020700 

  10. Grima, S., Kizilkaya, M., Rupeika-Apoga, R., Romānova, I., Dalli Gonzi, R., Jakovljevic, M. (2020). A Country Pandemic Risk Exposure Measurement Model. Risk Management and Healthcare Policy, 13, 2067–2077. doi: https://doi.org/10.2147/rmhp.s270553 

  11. Camilleri, S. J., Grima, L., Grima, S. (2019). The effect of dividend policy on share price volatility: an analysis of Mediterranean banks’ stocks. Managerial Finance, 45 (2), 348–364. doi: https://doi.org/10.1108/mf-11-2017-0451 

  12. Asllani, G., Grima, S. (2019). Property Tax and Local Finance of Kosovo- An Overview. International Journal of Economics and Business Administration, VII (3), 213–227. doi: https://doi.org/10.35808/ijeba/320 

  13. Grima, S., Pavia, S. (2019). Retirement Planning by Maltese Nationals: A Study of Influential Factors. Contemporary Issues in Behavioral Finance, 227–259. doi: https://doi.org/10.1108/s1569-375920190000101016 

  14. Pavia, S., Grima, S. (2019). Retirement Planning: A Literature Review. Contemporary Issues in Behavioral Finance, 97–138. doi: https://doi.org/10.1108/s1569-375920190000101008