Content
2019, Volume 9, Issue 11
- 1279-1289 Corruption and Doing Business in Emerging Markets
by Nicholas A Lash & Bala Batavia - 1290-1305 China’s Manufacturing Strategy Choice: An Integrated Strategic Analysis Framework Combining SWOT and Logical Growth Models
by Qiguo Gong & Limin Rong & Hui Wang
2019, Volume 9, Issue 10
- 1107-1123 Determinants of Financial Inclusion: Comparative Study of Asian Countries
by Thanh Tam Le & Nguyen Dieu Linh Dang & Thi Dieu Thu Nguyen & Thanh Son Vu & Manh Dung Tran - 1124-1135 Military Spending and the Sino-US Arms Race: An Analysis Using Bootstrap ARDL
by Mei-Chih Wang & Tienwei Lou - 1136-1146 Are Islamic Banks Less Efficient than other Banks? Evidence from Bangladesh
by Md Reiazul Haque & Md Nurul Islam Sohel - 1147-1159 Assessing the Impact of Terrorism in Trade Development in the SADC Region: A Gravity Model Approach
by Stacy Julius & Nnanna P Azu & Maimuna Y Muhammad - 1160-1170 The Interactive and Causal Relationship between Productivity and Profitability of Vietnam’s Formal Microfinance Institutions
by Van Duong Ha - 1171-1183 The Identification of Indonesia and Malaysia Company Performance Based on Intellectual Capital
by Salawati Sahari & Santy Mayda Batubara - 1184-1199 Domestic Value Creation in the Involvement in Global Value Chains in Asian Economies: Role of Supporting Industries
by Taguchi Hiroyuki & Pham Son Duong - 1200-1210 How Livelihood Diversification and Institutional Credit Help to Improve Household Well-Being in India?
by Zeeshan & Md. Riyazuddin Khan & Geetilaxmi Mohapatra & Arun Kumar Giri
2019, Volume 9, Issue 9
- 977-993 Managing Optimal Working Capital and Corporate Performance: Evidence from Vietnam
by Ha Thi Thuy Van & Dang Ngoc Hung & Vu Thi Thuy Van & Ngo Thanh Xuan - 994-1018 Are the Islamic Banks Really more Profitable than the Conventional Banks in a Financial Stable Period?
by Achraf Haddad & Anis El Ammari & Abdelfettah Bouri - 1019-1031 Commercial Diplomacy as a Part of National Transformation and its Impact on the Internationalization of SMEs: Evidence from Saudi Arabia
by Megbel Aleidan - 1032-1042 Modeling the Impact of Political Risk Components on Major Macroeconomic Variables
by Sahajdeep Kaur & Shah Krushali & C. G Accamma & Namitha K Cheriyan - 1043-1066 Rest Breaks Arrange Based on Empirical Studies of Productivity in Manufacturing Industry
by Feng Dong & Qiguo Gong & Hui Wang & Siyuan Yi & Yue Cai - 1067-1076 The Effect of Firm Growth on Brand Value: Evidence from Brand Finance Turkey-100
by Bilal Gerekan & Abdülkadir Pehlivan & Mahmut Koçan - 1077-1090 Relationship between Capital Requirement, Ownership Structure, and Financial Performance in Saudi Arabian Listed Companies
by Suha Alawi - 1091-1106 Non-Performing Loans of Commercial Banks in South Asian Countries: Adverse Selection and Moral Hazard Issues
by Md. Shahidul Islam & Shin-Ichi Nishiyama
2019, Volume 9, Issue 8
- 875-887 The Effect of Direct Foreign Investment on Stock Price Volatility in the Saudi Market
by Suha Alawi - 888-900 R&D Expenditure, Spillovers and Productivity-Empirical Study of Taiwanese Optoelectronic Industry
by Ting-Kun Liu - 901-912 The Impact of Banking Regulation on the Emergence of Crises in Emerging Countries
by Rim Mekki - 913-925 Revisiting Oil Prices, Producer Price Index (PPI), and the Purchasing Managers Index (PMI) Nexus: China and the USA
by Wang Mei-Chih & Tsangyao Chang - 926-935 Does Identity Theft Insurance Undermine Risk Perceptions and Increase Risky Behavioral Intentions?
by Fan Liu - 936-945 Investigating Impact of Expansionary Fiscal Policy on Output in Bangladesh Economy: An Econometric Study
by Binata Rani Sen & Shamim Alam & Md. Maznur Rahman & Mohammad Iqbal Hossain - 946-963 Relationship between Experts and Enterprises Viewed via the IFRS Application: An Empirical Study in Vietnam
by Tu Chuc Anh & Ngoc Bùi Thị & Oanh Lê Thị Tú - 964-976 Relationship between Financial Income Tax Reform and Implicit Tax: Case of South Korean Bond Market
by Sang-Yeob Lee & SungMan Yoon
2019, Volume 9, Issue 7
- 743-751 Effect of Board Diversity on Financial Performance of the Vietnamese Listed Firms
by My Tran Ngo & Thi Hong Van Pham & Thi Thai Tam Luu - 752-765 Performance of Malaysian Financial Firms: An Intellectual Capital Perspective Using MVAIC Model
by Hapsah S Mohammad & Imbarine Bujang - 766-777 Financial Sector Reforms, Monetary and Output Uncertainties and the Behavior of Money Demand in Kenya: The Divisia Index Approach
by Hussin Abdullah & Shehu El-Rasheed - 778-788 Market Illiquidity Premium on Stock Returns: An Empirical Study of Taiwan Stock Markets
by Chia-Cheng Chen & Chia-Li Tai & Yi-Chun Cho - 789-806 Gender Inequality and its Implication for Inclusive Growth in Nigeria from 1980 to 2018
by Olukemi I Lawanson & Dominic I Umar - 807-823 The Role of Adaptive Ability in Firm Performance: Moderating Effect of Firm Size and Age
by Ngatno & Reni Shinta Dewi - 824-835 A Comparison of the Economic Volatility Spillover Effect of Hong Kong with China and USA
by Eric M.T Wong - 836-850 Fractional Integration in Corporate Social Responsibility Indices: A FIGARCH and HYGARCH Approach
by Quynh-Trang Nguyen & John Francis Diaz & Jo-Hui Chen & Ming-Yen Lee - 851-863 How Large is the Border Effect between the United States and China?
by Di Wang & Zhimin Wang & Yuying Xie - 864-874 The Effects of Financing Risk on the Value of Firm and Profitability: Evidence from Nigerian Commercial Banks
by Olalere Oluwaseyi Ebenezer & Md Aminul Islam & Mohd Zukime Mat Junoh & Wan Sallha Yusoff
2019, Volume 9, Issue 6
- 654-664 Risk Management, Capital Adequacy and Audit Quality for Financial Stability: Assessment from Commercial Banks of Pakistan
by Hafiz Waqas Kamran & Abdelnaser Omran & Shamsul Bahrain Mohamed-Arshad - 665-679 Systemic Risk in the Chinese Stock Market Under Different Regimes: A Sector-Level Perspective
by Haizhen Yang & Xiangjuan Cheng & Qiubin Huang & Qiao Wang - 680-690 Real Exchange Rate and Economic Growth: An Empirical Assessment for Vietnam
by DO Thi My Huong - 691-701 Growth Accounting for Saudi Arabia
by Mohammad Imdadul Haque - 702-711 Money and Inflation Nexus in Bangladesh
by Md. Nezum Uddin & Mohammed Jashim Uddin & Monir Ahmmed - 712-723 Internet Plus Strategy and Transformation and Upgrading of Traditional Enterprises
by Bin Li & Litao Duan & Geng Peng & Benfu Lv - 724-742 Economic Growth and Environmental Quality: Stylist Facts and Environmental Kuznets Curve : Case of Tunisia
by Jihène Sbaouelgi
2019, Volume 9, Issue 5
- 559-580 A Comparative Study of Operational Efficiency of Pakistani and Malaysian Islamic Banks: Data Envelopment Analysis Approach
by Muhammad Afaq Haider & Qasim Raza & Soniya Jameel & Khansa Pervaiz - 581-603 The Impact of Aid and Macroeconomic Policy on Growth in Nigeria: A Bounds Testing Approach
by Nuruddeen USMAN & Martins O APINRAN - 604-616 Macroeconomic Determinants of Credit Spreads: An Empirical Comparison between Chinese and American Corporate Bonds
by Rong-Xi Zhou & Ya-Hui Xiong & Tian-Hao Liu & Jing Li - 617-629 The Impact of Income Inequality on Economic Growth in Vietnam: An Empirical Analysis
by Quoc Hoi Le & Hoai Nam Nguyen - 630-641 Institutional Quality and Foreign Direct Investment Inflows: The Case of Vietnam
by Cao Hong Minh - 642-653 A Study of Interaction Effects of Political Influences and Earnings Management on Organisational Performance
by Muhammad Sadiq & Zaleha Othman & Ooi Chee Keong
2019, Volume 9, Issue 4
- 419-431 Impact of Bank Regulatory Change and Bank Specific Factors Upon Off-Balance-Sheet Activities Across Commercial Banks in South Asia
by Muhammad Farhan Basheer & Mohamad Helmi Hidthiir & Waeibrorheem Waemustafa - 432-449 Life Cycle Theory of the Capital Structure: Evidence from Tunisian SMEs
by Youssef Walid - 450-460 Reassessing the Efficacy of Foreign Aid and Grants in Poverty Reduction in Nigeria
by Tersoo Shimonkabir SHITILE & Abubakar SULE - 461-479 Privatisation and Financial Performance in Egypt Since 1991
by Marwan Mohamed Abdeldayem & Saeed Hameed AL Dulaimi - 480-490 The Role of Overconfidence and Past Investment Experience in Herding Behaviour with a Moderating Effect of Financial Literacy: Evidence from Pakistan Stock Exchange
by Saeed Ahmad Sabir & Hisham Bin Mohammad & Hanita Binti Kadir Shahar - 491-506 Leverage, Debt Maturity and Corporate Performance: Evidence from Chinese Listed Companies
by Ratnam Vijayakumaran & Sunitha Vijayakumaran - 507-516 Financial Structure Reform and Enterprise Debt Risk Prevention
by Bin Li & Geng Peng & Benfu Lv - 517-530 Should Firms Keep a Balance between State and Foreign Ownership? A Perspective on Financial Constraints and Investments in Vietnam
by Christopher Gan & Dao Le Trang Anh - 531-546 Determinants of Dividend Payout Policy in Emerging Markets: Evidence from the ASEAN Region
by Thi Thai Ha Le & Xuan Hung Nguyen & Manh Dung Tran - 547-558 The Effects of Business Efficiency to Disclose Information of Sustainable Development: The Case of Vietnam
by Nguyen Van Linh & Dang Ngoc Hung & Dang Thai Binh & Vu Thi Thuy Van & Nguyen Thi Mai Anh
2019, Volume 9, Issue 3
- 299-317 Empirical Analysis of Multiple Infrastructural Covariates: An Application of Gravity Model on Asian Economies
by Zahid Hussain & Nadia Hanif & Wasim Abbas Shaheen & Muhammad Nadeem - 318-328 Impact of Supplier Relational Capital on Supply Chain Performance in Pakistani Textile Industry
by Muhammad Shujaat Mubarik & Navaz Naghavi & Muhammad Faraz Mubarak - 329-338 Air Passengers Vertex Curve Theorem - Evidence from ASEAN Countries
by Mohd Azlan Abdul Majid & Faridah Pardi & Afizan Amer & Nor’ Azurah Md Kamdari & Sarah Mardhiah Selamat - 339-352 Systemic Risk in Vietnam Stock Market
by Thi Thuy Van Vu & Dang Kham Tran - 353-365 Listing and Firm Performance in a Transition Economy
by Nguyen Van Tan & Trinh Quoc Trung - 366-388 The Impact of Financial Development and Globalisation on Economic Growth: Evidence from a Macro Panel of Ten Countries
by José Alberto Fuinhas & António Cardoso Marques & Cátia Lopes - 389-401 The Effects of Risks on the Stability of Tunisian Conventional Banks
by Khemais Zaghdoudi - 402-418 Has Equitization Actually Led to Improve Firm Performance in a Transition Economy?
by Nguyen Van Tan & Trinh Quoc Trung
2019, Volume 9, Issue 2
- 155-165 An Econometric Time-Series Analysis of the Dynamic Relationship among Trade, Financial Development and Economic Growth in India
by Nenavath Sreenu - 166-175 Relationship between Macroeconomic Variables and their Impact on Non-Performing Loans in Jordanian Banks
by Amjad Qwader - 176-190 Stock Performance, Corporate Governance, and Efficiency of China and Taiwan Banks: Is there a Relationship?
by Chang-Sheng Liao - 191-212 Capital Controls, Entrepreneurship and Economic Growth in Selected Developing Countries
by Folorunsho M Ajide & Rufus A Ajisafe & Olabode P Olofin - 213-231 Impact of Banking Supervision on the Cost-Efficiency of Banks: A Study of Five Developing Asian Countries
by Liang Lien-Wen & Dash Altankhuyag - 232-242 Research on Factors Affecting the Disclosure of Sustainable Development Report: Experimental at Vietnam National Petroleum Group
by Le Anh Tuan & Phan Thanh Hai & Nguyen Xuan Hung & Vo Van Nhi - 243-256 Predicting Stock Market Indices Using Classification Tools
by Minjae Park & Mi Lim Lee & Jinpyo Lee - 257-266 Exchange Rate Pass-Through (ERPT) and its Implications for Vietnam: Vector Autoregressive Approach from Vietnam-Korea Trade Data
by DO Thi My Huong & CAO Hong Minh - 267-284 Estimation and Analysis of the Output Gap for the Saudi Economy; Econometric Study (1970-2016)
by Mohamed A. M Sallam & Mohamed R Neffati - 285-298 Relationship between Environmental Financial Accounting Practices and Corporate Financial Risk: Evidence from Listed Companies in Vietnams Securities Market
by Nguyen La Soa
2019, Volume 9, Issue 1
- 1-29 The Impact of Trade, Technology and Growth on Environmental Deterioration of China and India
by Hongzhong Fan & Md Ismail Hossain & Mollah Aminul Islam & Yassin Elshain Yahia - 30-41 Household Leverage and Stock Market Investment Decisions
by Pengfei Li & Zhengwei Wang - 42-51 Causal Relationship of Money Supply and Inflation: A Study of Bangladesh
by Nair Sultana & Rabiunnesa Koli & Mahamuda Firoj - 52-63 Does Really Economic Freedom Matter for Growth in South Asia? Empirical Evidences from Pre-Economic Crises and Post-Economic Crises Period
by Muhammad Nadeem & Yang Jun & Tahseen Akhtar & Wanlu Dong & Momna Niazi - 64-77 Analyzing the Barriers to Innovation Development in Emerging Economies: Vietnamese Small and Medium Enterprises (SMEs) as an Empirical Case
by Tran Thi Bach Yen & Le Binh Minh & Tran Thu Huong - 78-90 Determinants Influencing Financial Performance of Listed Firms: Quantile Regression Approach
by Thi Viet Ha Hoang & Ngoc Hung Dang & Manh Dung Tran & Thi Thuy Van Vu & Quang Trung Pham - 91-108 Determinants of Profitability in Banking Industry: A Case Study of Indonesia
by Sapto Jumono & Sugiyanto & Chajar Matari Fath Mala - 109-117 Link from Organizational Financial Performance to Reputation: The Role of Board Composition
by Quang Linh Huynh - 118-132 Shariah Governance Framework of Islamic Banks in Bangladesh: Practices, Problems and Recommendations
by Md. Kausar Alam & Suhaimi Ab Rahman & Hasri Mustafa & Sabarina Mohammed Shah & Md. Shamim Hossain - 133-154 Agency Costs, Ownership, and Internal Governance Mechanisms: Evidence from Chinese Listed Companies
by Ratnam Vijayakumaran
2018, Volume 8, Issue 12
- 1384-1393 Does Globalization Affect the Economic Growth of Bangladesh? - An Econometric Analysis
by Md. Sabbir Hossain & Md. Golam Kibria & Md. Shafiqul Islam - 1394-1405 Application of Forward Contract and Crop Insurance as Risk Management Tools of Agriculture: A Case Study in Bangladesh
by Md. Bokhtiar Hasan & Md. Delowar Hossain & Abu N.M Wahid - 1406-1414 Exploring the Nexus of Coal Consumption, Economic Growth, Energy Prices and Technological Innovation in Turkey
by Feride OZTURK & Suat OZTURK - 1415-1421 Corporate Governance and Firm Performance: Empirical Evidence from Emerging Market
by Saseela Balagobei - 1422-1438 Ownership Structure and Bank Performance: Empirical Evidence from the UAE
by George Owusu-Antwi & Rachna Banerjee & Patrick Ofei - 1439-1456 Finding Hidden Pattern of Financial Time Series Based on Score Matrix in Sequence Alignment
by Yong Shi & Ye-Ran Tang & Wen Long & Ying-Jie Tian & Wen-Ning Yang - 1457-1471 Financial Literacy, Risk Tolerance and Stock Market Participation
by Rajesh Mishra - 1472-1481 Structural Breaks and the Expectations Hypothesis of the Term Structure: Some Empirical Evidence for the Philippines (2001-2017)
by Marco Tronzano - 1482-1505 Modelling the Effect of Stock Market Volatility and Exchange Rate Volatility on Foreign Direct Investment in Nigeria: A New Framework Approach
by Jokosenumi Saidat Omolola & Adesete Ahmed Adefemi - 1506-1531 Consequences of Basel Accords on Bank Risk-Taking and Profitability: Evidence from Asian Countries
by Dina Hosam Gabr & Mona A ElBannan
2018, Volume 8, Issue 11
- 1298-1312 The Capital Structure Choice: Evidence of Debt Maturity Substitution By GCC Firms
by Lamia A Obay - 1313-1339 Public Finance and Rural Development in Nigeria: Empirical Evidence from the Structural Equation Modeling
by Abdulkadir Abdulrashid Rafindadi & Kondo Augustine Kondo - 1340-1353 Remittance Inflow and GDP Growth: Evidence from Bangladesh, India and Pakistan
by Sonia Afrin Ale & Rasheda Akter & MD. Shafiqul Islam - 1354-1364 Islamic (Participation) Banking and Economic Growth: Empirical Focus on Turkey
by Gonca Atici - 1365-1383 Do Board Characteristics Impact the Market Performance of Indian Banks?
by Ankur Shukla & N. Sivasankaran & Shilpee A Dasgupta
2018, Volume 8, Issue 10
- 1211-1225 The Impact of Luxury Housing on Neighborhood Housing Prices in Taipei City
by Chun-Chang Lee & Chih-Min Liang & Cheng-Huang Tung & Yu-Jian Lu - 1226-1238 Remittances and Real Exchange Rates in South Asia: The Case of Nepal
by Musa Essayyad & Mercy Palamuleni & Chandrakala Satyal - 1239-1256 Efficacy of Monetary Policy Instruments on Economic Growth: Evidence from Nigeria
by Moses K Tule & Oloruntoba S Ogundele & Martins O Apinran - 1257-1273 Fiscal Policy and Macroeconomic Fluctuations in a Fixed Exchange Rate Regime
by Chung-Fu Lai - 1274-1297 Effect of Retail Investor Attention on Chinas A-Share Market Under a Strengthening Financial Regulatory Policy
by Han Wang & Geng Peng & Benfu Lv
2018, Volume 8, Issue 9
- 1140-1157 Corporate Cash Holdings and Product Market Competition: The Effects of Stock-Based Executive Compensation
by Chia-Hao Lee & Pei-I Chou - 1158-1174 Exchange Rate and Trade Balance in Vietnam: A Time Series Analysis
by Thom Dang Thi Xuan - 1175-1184 Maqasid Sharia Index, Banking Risk and Performance Cases in Indonesian Islamic Banks
by Sutrisno & Agus Widarjono - 1185-1195 Co-Movement between Macroeconomic Variables and Capital Flight
by Ahmed Imran Hunjra & Hasnain Mehmood & Haroon Bakari - 1196-1210 Comparative Analysis of Impact of Foreign Direct Investment, Exports and Employment on Growth of Manufacturing Industries in India
by Areej Aftab Siddiqui & Deep Parikh
2018, Volume 8, Issue 8
- 1026-1041 Sub-National Location Determinants of Inward Foreign Direct Investment: A Statistical Appraisal Across Regions in India
by Gourab Chakraborty - 1042-1074 Do Capital Regulations and Risk-Taking Behavior Affect Bank Performance? Evidence from Bangladesh
by Aklima Akter & Md. Tofael Hossain Majumder & Mohammad Jashim Uddin - 1075-1085 Corruption and FDI Inflows: Evidence from a Small Developing Economy
by Hamad A Kasasbeh & Metri F Mdanat & Raed Khasawneh - 1086-1101 Causal Relationship between Economic Growth, Financial Deepening, Foreign Direct Investment and Innovation: Evidence from China
by Mollah Aminul Islam & Haiyun Liu & Muhammad Asif Khan & Sultanuzzaman MD Reza & Yassin Elshain Yahia & Layla Nasrin - 1102-1110 Revisiting the Tourism-Led Growth Hypothesis in a Dual Model Using Mwald Granger Causality Analysis
by Sung Yu-Chi - 1111-1125 The Effect of Corporate Governance Mechanisms on Bank Performance Evidence from Saudi Banking Sector
by Naif AlSagr & Samir Belkhaoui & Abdullah Aldosari - 1126-1139 Earnings Management in IPO Bound Firms: Evidence From Indian SME Exchanges
by Avinash Ghalke & Chhatradhari Chakravorty & S.V D Nageswara Rao
2018, Volume 8, Issue 7
- 853-869 Monetary Policy and Financial Performance of Nigerian Deposit Money Banks
by Julius Babatunde ADESINA & Michael Barine NWIDOBIE & Agatha Nkem AMADI - 870-893 Why Does the Controlling Shareholder Transfer its Privatized Shares after Full Privatization? Evidence from China
by Tingting Zhou & Dandan Hu & Jing Yu - 894-913 The Journey towards Integrated Reporting in Bangladesh
by Mohammad Nakib & Pappu Kumar Dey - 914-924 Idiosyncratic Risk, Stock Returns and Investor Sentiment
by Tsung-Yu Hsieh & Huai-I Lee & Ying-Ru Tsai - 925-945 Managerial Behavior and Capital Structure Decisions; Do Overconfidence, Optimism and Risk Aversion Matter?
by Marwan M Abdeldayem & Doaa S Sedeek - 946-963 Critical Success Factors and Performance Evaluation Model for the Development of the Urban Public Bicycle System
by Chun-An Chen & Hsien-Li Lee - 964-985 Technological Innovation, Infrastructure and Industrial Growth in Bangladesh: Empirical Evidence from ARDL and Granger Causality Approach
by Hongzhong Fan & Hossain Md Ismail & Sultanuzzaman Md Reza - 986-998 Innovation and Performance in Latin-American Small Family Firms
by Gonzalo Maldonado-Guzmán & José Trinidad Marín-Aguilar & Marisela García-Vidales - 999-1012 Demystifying the Financial Inclusion Penetration by Customised Financial Instruments - A Demand Side Study Done on Rural Customers of India
by P. Baba Gnanakumar - 1013-1025 The Impact of Perceived Credibility and Perceived Quality on Trust and Satisfaction in Mobile Banking Context
by Mohamad Noorman Masrek & Muhammad Syafiq Abdul Halim & Asad Khan & Ishak Ramli
2018, Volume 8, Issue 6
- 717-732 Development of Inward Foreign Direct Investments in Thailand: Determinants, Effects and Implications
by Hsiang-Hsi Liu & Pitprapha Dejphanomporn - 733-744 Impacts of Regional and Global Financial Crises on Employment Cycles and Industrial Structures: A Case Study of Cities in the Pearl River Delta
by Yu Zhang & Miao Fu & Taozi Xu - 745-761 Asymmetric Effects of Chinas Monetary Policy on the Stock Market: Evidence from a Nonlinear VAR Mode
by Yunpeng Sun & Xueying Wang - 762-774 Validity of Expectation Hypothesis: Information Content of Term Structure
by Sumeet Roy & Krishna Prasanna - 775-789 Long-Term Event Study on Earnings Surprises and Practical Portfolio Construction
by Tianxiang Liu - 790-798 Testing Weak form Market Efficiency: Empirical Evidence from Selected Asian Stock Markets
by Riyashad Ahmed & Md Delowar Hossain - 799-814 Financial Sector Development and Economic Growth: Empirical Evidence from Bangladesh
by Md. Nurul Kabir Biplob & Papi Halder - 815-831 Impact of Operational Risk Toward the Efficiency of Banking - Evidence from Taiwans Banking Industry
by Cheng-Ping Cheng & Manh Trung Phung & Chun-Lin Hsiao & Da-Bai Shen & Bih-Shiow Chen - 832-842 Obstacles toward Adopting Electronic Government in an Emerging Economy: Evidence from Kuwait
by Abdullah AL-Mutairi & Kamal Naser & Fatema Fayez - 843-852 Insurance - Economic Growth Nexus: Evidence from Botswana
by Basetsana Oitsile & Obonye Galebotswe & Lesego Sekwati
2018, Volume 8, Issue 5
- 571-585 Green Banking for Environmental Sustainability-Present Status and Future Agenda: Experience from Bangladesh
by Chen Zhixia & Md. Miraj Hossen & Sayed Sami Muzafary & Mareum Begum - 586-598 Capital Structure and Financial Performance: A Study on Commercial Banks in Sri Lanka
by Logavathani Sivalingam & Lingesiya Kengatharan - 599-617 Does Financial Development Leads Economic Growth? Evidence from Emerging Asian Markets
by Hamna Nasir & Sadaf Majeed & Abdul Aleem - 618-640 Comparative Capability of Migrant and Non-Migrant Households: Evidence from Rural Bangladesh
by Md. Hashibul Hassan & Lubna Jebin - 641-652 Why Should the Authority Care about the Immigration Policy Uncertainty?
by Kai Shi & Zhen An & Li Nie & Meng Yan - 653-668 Re-Examining the Mean Reversion of Inflation Rate in ECOWAS
by DRAMA Bedi Guy Hervé - 669-681 Momentum Effect, Value Effect, Risk Premium and Predictability of Stock Returns - A Study on Indian Market
by Arindam Banerjee & Anupam De & Gautam Bandyopadhyay - 682-690 Does Stock Split Influence to Liquidity and Stock Return? (Empirical Evidence in the Indonesian Capital Market)
by R. Adisetiawan & Atikah - 691-703 Sensitivity of Trade Balance to Exchange Rate Depreciation: Evidence from Indo-U.S. Bilateral Trade
by B. Venkatraja - 704-716 The Expectations Hypothesis of the Term Structure in the Philippines: An Empirical Note (2001-2017)
by Marco Tronzano
2018, Volume 8, Issue 4
- 449-465 An Empirical Evidence of Over Reaction Hypothesis on Karachi Stock Exchange (KSE)
by Muhammad Kashif & Sanyah Saad & Imran Umer Chhapra & Farhan Ahmed - 466-477 Finance-Growth Volatility Nexus: Evidence from Lebanon
by Salah Abosedra & Bernard Ben Sita - 478-486 Does Corporate Governance Affect Financial Performance: A Study of Select Indian Banks
by Rekha Handa - 487-498 Predicting Continuance Usage Intention of Mobile Payment: An Experimental Study of Bangladeshi Customers
by Md. Alamgir Hossain & Md. Shakhawat Hossain & Nusrat Jahan - 499-514 Competition, Contestability and Market Structure for Securities Firms in Taiwan
by Chang-Sheng Liao - 515-524 The Co-Movement between Shariah Compliant and Sectorial Stock Indexes Performance in Bursa Malaysia
by Mohammad Sahabuddin & Junaina Muhammad & Mohamed Hisham Dato' hjYahya & Sabarina Mohammed Shah & Mohammad Mizanur Rahman - 525-536 A Study of Determinants of Predictive Accuracy of Analysts? Estimates of Earnings in Indian Markets
by Shweta Sharma & Anand - 537-551 Causal Relationship between Foreign Direct Investment and Export: The Case of Developing Economies of Asia
by Ünal ARSLAN & Yıldız SAĞLAM ÇELİKÖZ & Arif Eser GÜZEL - 552-564 Monopoly Exploitation and Rent-Seeking as an Inevitability of Capital Concentration
by Ismar Velić & Ljerka Cerović & Dario Maradin - 565-570 Corporate Responsibility and ROA: Evidence from the Italian Stock Exchange
by Francesco Bollazzi & Giuseppe Risalvato
2018, Volume 8, Issue 3
- 308-330 How Does Unconventional Monetary Policy Influence the Economy in Japan?
by Kansho Piotr Otsubo - 331-340 The Reasons for Foreign Exchange Reserves Accumulation in Hong Kong: A Cointegration and Vector Error Correction Approach
by Cheng Jiang - 341-352 Investor Attention, Market Liquidity and Stock Return: A New Perspective
by Bin Wang & Wen Long & Xianhua Wei - 353-365 Supply Chain Collaboration (SCC) - A Pilot Study of Small and Medium Enterprises (SMEs) in Danang
by Le Thi Minh Hang & Nguyen Thuy Hang - 366-377 The Influence of Peg and F_Score on Stock Return by Valued Investment Portfolios: Empirical Evidence from Vietnam
by Hoa Thi Tuyet Le & Vinh Tuan Tran & Nhan Thi Pham Nguyen & Nam Sy Ngo & Toan Luu Duc Huynh - 378-393 Governance Indicators for Strategic Business Decisions: Diversity of Western Asian Countries in Terms of Democracy
by Omar Jraid Mustafa Alhanaqtah & Veronika Vladimir Alexey Alhanaqtah - 394-405 The Impact of Major Terrorist Attacks on Stock Prices: The Case of Karachi Stock Exchange
by Seema Rehman & Jameel Ahmed Khilji & Muhammad Kashif & Raja Rehan - 406-423 Corporate Finance Practices in Sri Lanka
by Lingesiya Kengatharan - 424-432 How Does the Credit Rating React to the Function of D&O Insurance?
by Ya-Fang Wang - 433-448 An Investigation into the Relationship between Degree of Financial Leverage and Financial Risk of Firms: A Comparative Study between Listed MNCs and Domestic Companies of Bangladesh
by Syed Mohammad Khaled Rahman & Mohammad Ashraful Ferdous Chowdhury & Khan Md Mohiuddin
2018, Volume 8, Issue 2
- 131-144 Bilateral J-Curve between Philippines and Trading Partners: Linear and Non-Linear Approach
by Hanafiah Harvey - 145-171 State Divestitures and Bank Performance: Empirical Evidence from the Middle East and North Africa Region
by Noorhan Elkhayat & Mona A ElBannan - 172-188 Has Financial Liberalisation Promoted Economic Growth in Nigeria? Evidence from Auto-Regressive Distributed Lag (ARDL) Approach
by Aniekan Okon Akpansung & Shall Erinus Waziri - 189-204 Secondary Equity Offerings Long Run Underperformance: Puzzle or Mistake
by Wong Pik Har & Karthiyayini Visvanathan - 205-230 Does Bank Corporate Governance Matter for Bank Performance and Risk-Taking? New Insights of an Emerging Economy
by Syed Moudud-Ul-Huq & Changjun Zheng & Anupam Das Gupta - 231-247 Effect of Human Capital Efficiency on Bank Risk-Taking Behavior and Capital Regulation: Empirical Evidence from a Developing Country
by Changjun Zheng & Anupam Das Gupta & Syed Moudud-Ul-Huq - 248-268 The Suitability of Proxy Levered Beta in Business Valuation: Evidence from Vietnam
by Kim-Duc NGUYEN & Sinh HAY & Ngoc-Thuy-Duong HUYNH & Cong-Nguyen-Bao TO - 269-278 Earnings Quality with Reputation and Performance
by Quang Linh Huynh - 279-293 Income Diversification and Bank Risk-Return Trade-Off on the Nepalese Commercial Banks
by Som Raj Nepali - 294-307 The Study of Factors Affecting the Timeliness of Financial Reports: The Experiments on Listed Companies in Vietnam
by Hoang Thi Viet Ha & Dang Ngoc Hung & Nguyen Thi Thanh Phuong
2018, Volume 8, Issue 1
- 1-8 The Determinants of Long Run Economic Growth in Nigeria
by Bello Malam Saidu & Bello Abba Ahmed & Aminu Hassan Jakada - 9-21 Revisiting Quantile Granger Causality Between the Stock Price Indices and Exchange Rates for G7 Countries
by Tienwei Lou & Wuchang Luo - 22-37 Do Human Capital and Cost Efficiency Affect Risk and Capital of Commercial Banks? An Empirical Study of a Developing Country
by Changjun Zheng & Anupam Das Gupta & Syed Moudud-Ul-Huq - 38-51 Performance and Profitability of Islamic Banks in Saudi Arabia: An Empirical Analysis
by Saima Javaid & Suha Alalawi - 52-62 Bankruptcy Via Earning Volatility: Does it Integrate in Financial Institutions?
by Protap Kumar Ghosh & Mahfuja Khatun & Prosenjit Tarafdar - 63-70 Analysis of Macroeconomic Factors Which Affect Performance of Global Finance Centers
by Tahsin Karabulut & Gülşah Şen - 71-89 Government Size and Economic Growth in Asia - Evidence from China and Japan
by Thi Bich Nguyet Phan & Duc Nam Phung - 90-102 Accounting Information Comparability and Debt Capital Cost Empirical Evidence from Chinese Listed Companies
by Roger Su & Zhonghai Yang & Amitabh Dutta - 103-116 A Panel Data Analysis of Chinas Trade Pattern with OPEC Members: Gravity Model Approach
by Muhammad Saqib Irshad & Qi Xin & Saleh Shahriar & Hamza Arshad - 117-130 External Debt-Growth Nexus in Nigeria Revisited
by Adamu Jibir & Salihu Abdullahi & Musa Abdu & Abdullahi Buba & Bello Ibrahim
2017, Volume 7, Issue 12
- 1144-1152 Effects of Changes in Foreign Exchange Reserves and Real Effective Exchange Rate on Industrial Output Growths in Bangladesh
by Matiur Rahman & Prashanta K Banerjee - 1153-1166 Corporate Valuation Modeling for Strategic Financial Decisions
by Truong Hong Trinh & Lo Tran Ngoc Thao - 1167-1178 Firm Characteristics and Bank Internationalization in an Emerging Economy
by Bipasha Barua - 1179-1196 Regional Trade Between India and Pakistan: Prospect of Most Favourite Nation (MFN)
by Jibran Hussain & Ahsan Ali & Muhammad Haseeb - 1197-1210 Assessing Moderation of Employee Engagement on the Relationship between Work Discretion, Job Clarity and Business Performance in the Banking Sector of Pakistan
by Umair Ahmed & Nadeem Khalid & Ammar Ahmed & Muzafar Hussain Shah - 1211-1226 Bank Disclosures and their Impact on Credit Risk: Evidence from Bangladesh
by Changjun Zheng & Niluthpaul Sarker & Shamsun Nahar - 1227-1241 An Analysis of Investment Strategies and Excess Returns in the China (Shanghai) Stock Market
by Ming-Chin Chin & Ya-Chuan Chan - 1242-1255 Measuring the Impact of Population Health and Education on Foreign Direct Investment: Panel Evidence from 46 Countries
by Md. Zayeed Hasan Talukdar & Md. Al-Amin Parvez - 1256-1302 Economic Liberalization and Economic Growth: An Empirical Analysis of Pakistan
by Qazi Muhammad Adnan Hye & Wee-Yeap Lau