Content
2015, Volume 5, Issue 3
- 820-832 Finding Obstacles to Growth: Is Infrastructure a Binding Constraint on African Light-Manufacturing Firms?
by Stefan Reppen - 833-842 Investment Activity of Natural Persons: Russian Experience of Tax Stimulation
by Smirnova Elena Evgenievna
2015, Volume 5, Issue 2
- 312-323 Portfolio Behaviour of Commercial Banks: The Expected Utility Approach: Evidence from Jordan
by Alaaeddin Al-Tarawneh & Mohmmad Khataybeh - 324-333 Long-run Overseas Portfolio Diversification Benefits and Opportunities of Asian Emerging Stock Markets and Developed Markets
by Kasilingam Lingaraja & Murugesan Selvam & Vinayagamoorthi Vasanth & Ramachandran Rajesh Ramkumar - 334-339 Firms' Size Moderating Financial Performance in Growing Firms: An Empirical Evidence from Pakistan
by Atif Abbasi, Qaisar Ali Malik - 340-353 The Roles of Institutional Investors and Insiders in Earnings Management around Initial Public Offering Firms in Taiwan
by Ming-Feng Hsu & Shiow-Ying Wen - 354-364 A Generalized Autoregressive Conditional Heteroskedasticity Examination of the Relationship between Trading Volume and Conditional Volatility in the Tunisian Stock Market: Evidence for the Information Flow Paradigm
by Fethi Belhaj & Ezzeddine Abaoub - 365-376 Assessment the Effect of Free Trade Agreements on Exports of Lao PDR
by Bounlert Vanhnalat & Phouphet Kyophilavong & Alay Phonvisay & Bouason Sengsourivong - 377-389 Earnings Response Coefficient as a Measure of Market Expectations: Evidence from Tunis Stock Exchange
by Mohamed Naceur Mahjoubi & Ezzeddine Abaoub - 390-398 Asymmetric GARCH Value-at-Risk over MSCI in Financial Crisis
by Han-Ching Huang & Yong-Chern Su & Jen-Tien Tsui - 399-409 An Assessment on Activities of Regional Development Agencies in Turkey
by Burcu Yavuz Tiftikcigil - 410-417 The Determinants of Banking Performance in Front of Financial Changes: Case of Trade Banks in Tunisia
by Makram Nouaili & Ezzeddine Abaoub & Anis Ochi - 418-426 Determinants of Target Dividend Payout Ratio: A Panel Autoregressive Distributed Lag Analysis
by Kartal Demirg ne - 427-433 Analysis of Factors Affecting Growth of Pension Mutual Funds in Turkey
by Ersin Acikgoz & Hasan Uygurturk & Turhan Korkmaz - 434-440 Does the Financial Development Spur Export Performance? Evidence from Turkish Firm-Level Data
by Serap Coban - 441-447 Government Health Expenditures and Economic Growth: A Feder Ram Approach for the Case of Turkey
by Serdar Kurt - 448-453 The Relation between Current Account Deficit and Tourism: The Case of Turkey
by El in Aykac Alp & Elif Guneren Genc - 454-460 Survey on Financial Market Frictions and Dynamic Stochastic General Equilibrium Models
by Madalin Viziniuc - 461-468 Influence of Psychographics and Risk Perception on Internet Banking Adoption: Current State of Affairs in Britain
by Muhammad Ali Nasir & Junjie Wu & Milton Yago & Haohong Li - 469-475 A Strategic Framework to Use Payback Period in Evaluating the Capital Budgeting in Energy and Oil and Gas Sectors in Oman
by Mawih Kareem Al-Ani - 476-481 Bank Specific and Macroeconomics Dynamic Determinants of Credit Risk in Islamic Banks and Conventional Banks
by Waeibrorheem Waemustafa & Suriani Sukri - 482-488 Empirical Evidence of Target Leverage, Adjustment Costs and Adjustment Speed of Non-Financial Firms in Selected African Countries
by Oyebola Fatima Etudaiye-Muhtar & Oyebola Fatima Etudaiye-Muhtar & Rubi Ahmad - 489-492 Does Capacity Utilization Rate Affect Imports of Raw Materials in Nigeria?
by Augustine C. Osigwe & Kenneth Obi - 493-500 Financial Integration, Financial Dependence and Employment Growth
by Nurullah Gur - 501-514 Does Ownership Structure Influence Firm Value? An Empirical Research towards the Bucharest Stock Exchange Listed Companies
by Georgeta Vintila & tefan Cristian Gherghina - 515-522 Chaotic Structure of the BRIC Countries and Turkey's Stock Market
by Samet G nay - 523-530 The Impact of Developments in the Logistics Sector on Economic Growth: The Case of OECD Countries
by Pinar Hayaloglu - 531-543 Determination of Factors Affecting Individual Investor Behaviours: A Study on Bankers
by Mehmet Islamo lu & Mehmet Apan & Adem Ayvali - 544-551 Creative Accounting and Financial Reporting: Model Development and Empirical Testing
by Fizza Tassadaq & Qaisar Ali Malik - 552-565 Liberalization of Trade with the European Union and its Impact on the Reduction in Central European Free Trade Agreement 2006 Trade Balance Deficit
by Safet Kurtovic & Sead Talovic - 566-573 The Impact of Environmental Accounting on Strategic Management Accounting: A Research on Manufacturing Companies
by Ahmet Tanc & Kadir Gokoglan - 574-579 Credit Risk Management and Loan Performance: Empirical Investigation of Micro Finance Banks of Pakistan
by Sufi Faizan Ahmed & Qaisar Ali Malik - 580-589 The Effects of Behavioral Economics on Tax Amnesty
by Mehmet Nar - 590-602 Financial and Monetary Reforms and the Finance-Growth Relationship in Zimbabwe
by Takawira Tyavambiza & Davis Nyangara - 603-612 Empirical Evidence on the Long-Run Money Demand Function in the Gulf Cooperation Council Countries
by Helmi Hamdi & Ali Said & Rashid Sbia - 613-623 A Comparative Analysis on US Financial Stress Indicators
by Nimantha Manamperi - 624-628 Persistence of Profit in Energy Industry: Dynamic Evidence from Turkish Companies
by Onur Gozbasi & Alper Aslan
2015, Volume 5, Issue 1
- 1-10 Determining the Effects of Factors on FDI in Global Crisis Period
by Selahattin GURIS & Irem SACAKLI SACILDI & Elif GUNEREN GENC - 11-22 Fiscal Policies and Subnational Economic Growth in Mexico
by Arwiphawee Srithongrung & Isaac S nchez-Ju rez - 23-43 Effects of Board Composition on Financial Performance: Empirical Analysis of Companies Listed at the Nairobi Securities Exchange
by Eric M. Bosire & Vincent O. Ongore - 44-68 Economic Crises and the Substitution of Fiscal Policy by Monetary Policy
by Ioannis N. Kallianiotis - 69-74 Should IKEA Expand into Brazil: A Study of Brazilian Consumer Behaviours
by Hiroshi Ito & Nada AlElWeet & Rebecca Harrison & Alice Mitchell & Ellis Parker - 75-85 Determinants of Value Creation: An Empirical Examination from UAE Market
by B. Rajesh Kumar - 86-96 The Reasons of Eurozone Sovereign Debt Crisis and an Empirical Analysis over Permanency of the Crisis
by Gulbahar UCLER & Hale KIRMIZIOGLU - 97-110 Corporate Governance Ratings and Firm Value: Empirical Evidence from the Bucharest Stock Exchange
by Stefan Cristian Gherghina - 111-124 The Behavior of Conventional and Islamic Bank Deposit Returns in Malaysia and Turkey
by Serhan Cevik & Joshua Charap - 125-135 Market Reaction to Voluntary and Mandatory Announcements of Independent Director Appointments
by Hueh-Chen Lin & Chin-Sheng Huang & Jack J. W. Yang - 136-147 An Analysis on The Socio-Economic and Demographic Factors That Have an Effect on The Risk Taking Preferences of Personal Investors
by Fatih B. GUMUS & Yusuf DAYIOGLU - 148-157 Understanding the Cash Flow-Fundamental Ratio
by Chyi-Lun Chiou - 158-171 The Determinants of Capital Structure: Evidence from the Turkish Manufacturing Sector
by Songul KAKILLI ACARAVCI - 172-187 Cyclical Properties of Workers' Remittances: Evidence from Bosnia and Herzegovina
by Nedzad ISAKOVIC & Erkan ILGUN - 188-198 R&D Expenditures and Economic Growth Relationship in Turkey
by Cuma BOZKURT - 199-211 The Validity of Export-Led Growth Hypothesis for Jordan: A Bounds Testing Approach
by Ghazi Al-Assaf & Bashier Al-Abdulrazag - 212-229 Are Linear and Nonlinear Exchange Rate Exposures Aggravating Agents to Corporate Bankruptcy in Nigeria? New Evidence from the U Test Analysis
by Abdulkadir Abdulrashid Rafindadi & Zarinah Yusof - 230-239 Analysis of Convergence Criteria in a Proposed Monetary Union: A Study of the Economic Community of West African States
by Jimoh Olakunle SAKA & Ibiyemi Ajoke ONAFOWOKAN & Adekunle Ademayowa ADEBAYO - 240-248 Does Fiscal Illusion Impact Budget Policy? A Panel Data Analysis
by Tchouassi G rard & Ngwen Ngangu - 249-259 The Determinants of Bank Liquidity: Case of Tunisia
by Mohamed Aymen Ben Moussa - 260-272 Using Stepwise Reality Check to Analyze Open-end Fund Investors'Herding Redemption in Taiwan
by Nan-Yu Wang & Chih-Jen Huang & Ying-Lin Hsu & Shian-Chang Huang - 273-280 The Effect of Military Spending on Economic Growth and Unemployment in Mediterranean Countries
by Suna Korkmaz - 281-287 A Mark-Up Model of Inflation for Morocco
by Hicham Bennouna - 288-296 Does Developmental Aid Impact or Impede on Growth: Evidence from Nigeria
by Iyabo A. Olanrele & Taofik Mohammed Ibrahim
2014, Volume 4, Issue 4
- 698-704 Does Currency Substitution Affect Exchange Rate Volatility?
by Hisao Kumamoto & Masao Kumamoto - 705-713 Volatility Transmission and Spillovers among Gold, Bonds and Stocks: An Empirical Evidence from Turkey
by Hatice Gaye Gencer & Zafer Musoglu - 714-725 Purchase and Redemption Decisions of Mutual Fund Investors of Variable Life Insurance-Using Quantile Regression
by Nan-Yu Wang & Sen-Sung Chen & Chih-Jen Huang & Cheng-Hsin Yen - 726-734 London Metal Exchange: Causality Relationship between the Price Series of Non-Ferrous Metal Contracts
by Mustafa Serdar Basoglu & Turhan Korkmaz & Emrah Ismail Cevik - 735-744 The Importance of Cultural and Gastronomic Tourism in Local Economic Development: Zile Sample
by Mehmet Kocaman & Emel Memis Kocaman - 745-757 Exchange Regime Choice with Multinomial Panel Data: Case of the North Africa Countries
by Esmak Hassan & Firano Zakaria - 758-772 Relocation and Inequalities between Skilled and Unskilled in Northern Countries: Simulation Using a CGE Model
by Radouane RAOUF & Hicham HAFID - 773-783 Labor Productivity, Demographic Traits and ICT A Demo-Tech Productivity Model for Asian Region
by Bilal Mehmood & Parvez Azim & Syed Hassan Raza & Huma Sohaib - 784-800 The Impact of Misalignment on FDI in the Developing Countries
by Abdessalem GOUIDER & Ridha NOUIRA - 801-818 Impact of Liquidity Level on the Monetary Policy Transmission Effectiveness of the Moroccan Central Bank (Bank Al Maghrib)
by Nicolas Moumni & Benaissa Nahhal - 819-835 An Econometric Estimation and Prediction of the Effects of Nominal Devaluation on Real Devaluation: Does the Marshal-Lerner (M-L) Assumptions Fits in Nigeria?
by Abdulkadir Abdulrashid Rafindadi & Zarinah Yusof - 836-848 Value-at-Risk Analysis in the Presence of Asymmetry and Long Memory: The Case of Turkish Stock Market
by Mesut BALLIBEY & Serpil T RKYILMAZ - 849-858 Some Empirical Evidence on the Stability of Money Demand in Kenya
by Moses C. Kiptui - 859-869 Comparative Human Development and Gender Equality Performance Analysis of Middle Eastern and North African Countries with Turkey
by Hakan MIHCI & Mehmet Tolga TANER - 870-885 Individual Fund Manager Sentiment, Fund Performance and Performance Persistence
by Ying-Fen Fu - 886-908 Are the Periods of Currency Collapse an Impediment to Entrepreneurship and Entrepreneurial Haven? Evidence from Regional Comparison
by Abdulkadir Abdulrashid Rafindadi & Zarinah Yusof - 909-919 Is Implied Taylor Rule Interest Rate Applicable as a Carry Trade Strategy?
by Gokcen Ogruk - 920-929 Measuring Liquidity in an Emerging Market: The Tunis Stock Exchange
by Emna Rouetbi & Chokri Mamoghli - 930-945 The Determinants of Capital Structure: An Empirical Investigation of Malaysian Listed Government Linked Companies
by Siti Nur Aqilah Ab Wahab & Nur Ainna Ramli - 946-955 Regional Differences and Financial Ratios: A Comparative Approach on Companies of ISE City Indexes
by Ali DERAN & Omer ISKENDEROGLU & Incilay ERDURU - 956-959 An Examination of Fisher Effect for Selected New EU Member States
by Harun UCAK & Ilhan OZTURK & Alper ASLAN
2014, Volume 4, Issue 3
- 449-456 Investment Cash Flow Sensitivity and Effect of Managers' Ownership: Difference between Central Owned and Private Owned Companies in China
by Yuanyao Ding & Xu Qian - 457-464 Co-movement of Foreign Direct and Portfolio Investments in Central and Eastern Europe
by Yaman O. Erzurumlu & Giray Gozgor - 465-475 An Empirical Analysis of Allocative Efficiency of Nigerian CommercialBanks: A DEA Approach
by Usman Owolabi Akeem & Fadipe Moses - 476-493 Corruption and Education: Empirical Evidence
by Mohamed Dridi - 494-500 Long Run Tendencies and Short Run Adjustments Between Official and Black Market Exchange Rates in MENA Countries
by Ferit Kula & Alper Aslan & lhan zt rk - 501-513 Transboundary Pollution, R&D Spillovers, Absorptive Capacity and International Trade
by Zeineb Dinar - 514-526 Modelling the Macroeconomic Determinants of Workers' Remittances: The Case of Jordan
by Ghazi Al-Assaf & Abdullah M. Al-Malki - 527-538 Behavioral Finance: An Empirical Study of the Tunisian Stock Market
by Mustapha Chaffai & Imed Medhioub - 539-548 Sberbank's Entrance into Turkish Banking Sector and Reasons of This Decision
by Kemal Yaman - 549-563 Influence of Risk Management on Performance: An Empirical Study of International Islamic Bank
by Girish Karunakaran Nair & Harsh Purohit & Nidhi Choudhary - 564-571 Analyzing the Sustainability of Current Account in ASEAN Countries: Test of Intertemporal Borrowing Constraints
by H seyin Kalyoncu & Muhittin Kaplan - 572-579 Directions of the State Effect on the Development of Communication Systems of the Agrarian Sector Enterprises
by Alex Granate - 591-596 Clustering As the Mechanism of Enhancement of the Technological Competitive Ability of the Enterprise
by Inna Milko - 597-611 Impact of Migrant Remittances on Economic Empowerment of Women: A Macroeconomic Investigation
by Aomar Ibourk & Jabrane Amaghouss - 612-621 The Suitable Exchange Rate Regime for the Moroccan Economy
by Omar Bakkou - 622-627 Moroccan Banks Analysis Using CAMEL Model
by El Mehdi Ferrouhi - 2014-03-13 Board Structure and Firm Performance: Evidence from French Firms Listed in SBF 120
by Aymen Ammari & Mohamad Kadria & Abderrazak Ellouze - 2014-03-18 Government Ownership and Firm Performance: The Case of Vietnam
by Ngo My Tran & Walter Nonneman & Ann Jorissen
2014, Volume 4, Issue 2
- 231-242 Corruption and Foreign Direct Investment in East Asia and South Asia: An Econometric Study
by Rahim M. Quazi - 243-257 Exports and Firm Productivity in Turkish Manufacturing: An Olley-Pakes Estimation
by M. Akif Arvas & Burak Uyar - 258-263 Impact of Financial Development on Exchange Rate Volatility and Long-Run Growth Relationship of Bangladesh
by Humyra Jabeen Bristy - 264-276 Equity Returns, Firm-Specific Characteristics and Sector Rotation: Evidence from Turkey
by Selahattin GURIS & Aynur PALA - 277-285 Monetary Integration and Optimum Currency Area in ASEAN+3: What We Need for a New Framework?
by Reza Moosavi Mohseni & M. Azali - 286-294 Optimal Size of Government in Turkey
by Taner Turan - 295-308 The Determinant of Commercial Banks' Interest Margin in Indonesia: An Analysis of Fixed Effect Panel Regression
by Pamuji Gesang Raharjo & Dedi Budiman Hakim & Adler Hayman Manurung & Tubagus N.A. Maulana - 309-322 Money, Inflation and Growth Relationship: The Turkish Case
by Cuma BOZKURT - 323-335 Have Exchange Traded Funds Influenced Commodity Market Volatility?
by Shaen Corbet & Cian Twomey - 336-343 Development of European Union and China Bilateral Trade After The 2008 Financial Crisis: A Cluster Analysis
by Serkan TASTAN & Halil OZEKICIOGLU - 344-352 Ageing, Longevity and Savings: The Case of Morocco
by Ghizlan Loumrhari - 353-362 Can Bank be a Cause of Contagion during the Global Financial Crisis?
by Nadhem Selm & Nejib Hachicha - 363-375 Democracy: A Determinant Factor in Reducing Inflation
by Mohamed Fenira - 376-381 Worker's Remittances and GDP Growth in Pakistan
by Rashid Hussain & Ghulam Abbas Anjum - 382-399 Dividend-Yield Trading Strategies: Evidence from the Chinese Stock Market
by Chin-Sheng Huang & Chun-Fan You & Hueh-Chen Lin - 400-410 Long Memory Behavior in the Returns of Pakistan Stock Market: ARFIMA-FIGARCH Models
by Serpil TURKYILMAZ & Mesut BALIBEY - 411-426 Quantifying the Effects of the Inclusion and Segregation of Contracts for Difference in Australian Equity Markets
by Shaen Corbet & Cian Twomey - 427-439 The Effects of the Marshall Plan Aids to the Development of the Agricultural Sector in Turkey, the 1948-1953 Period
by Mehmet Halis OZER
2014, Volume 4, Issue 1
- 1-7 Testing Nonlinear Inflation Convergence for the Central African Economic and Monetary Community
by Emmanuel Anoruo & Vasudeva N.R. Murthy - 8-15 Effects of Currency Unions on Foreign Direct Investment Inflows: The European Economic and Monetary Union Case
by Cuneyt KILIC & Y lmaz BAYAR & Feyza ARICA - 16-26 Long Memory Analysis: An Empirical Investigation
by Rafik Nazarian & Esmaeil Naderi & Nadiya G. Alikhani & Ashkan Amiri - 27-34 Pre-Consolidation and Post-Consolidation of Nigerian Banking Sector: A Dynamic Comparison
by Anthonia T. Odeleye - 35-39 Unemployment Hysteresis in Turkey: Does Education Matter?
by Ferit KULA & Alper ASLAN - 40-53 Measuring Liquidity Risk in an Emerging Market: Liquidity Adjusted Value at Risk Approach for High Frequency Data
by Rouetbi Emnal & Mamoghli Chokri - 54-70 Price Limit and Financial Contagion: Protection or Illusion? The Tunisian Stock Exchange Case
by Halim DABBOU & Ahmed SILEM - 71-82 Foreign Direct Investments: Asian and European Transition Economies
by Suat TEKER & Hayri TUZLA & Aynur PALA - 83-92 The Contagion Effects of Sovereign Downgrades: Evidence from the European Financial Crisis
by Shaen Corbet - 93-106 State Dependence in Unemployment
by Nisar Ahmad - 107-121 Hedging Strategy Using Copula and Nonparametric Methods: Evidence from China Securities Index Futures
by Zhiyuan Pan & Xianchao Sun - 122-134 Exchange Rate Policy in Morocco and Persistence of Real Exchange Rate Misalignments
by Mohamed BOUZAHZAH & Radouane BACHAR - 135-143 The Relationship Between Economic Growth and Income Inequality
by Nasfi Fkili Wahiba & Malek El Weriemmi - 144-151 Determinants of India's Manufactured Exports to South and North: A Gravity Model Analysis
by Suresh K G & Neeraj Aswal - 152-169 SMEs Record Keeping in Ghana: Has VAT Made It Better?
by Philip Kofi Adom & Kwaku Amakye & Edinam Doh & Regina Anku - 170-182 Conditional Correlations and Volatility Links Among Gold, Oil and Istanbul Stock Exchange Sector Returns
by Hatice Gaye GENCER & Erdem KILIC - 183-195 Insider Ownership and the Value of the Bucharest Stock Exchange Listed Companies: Convergence-of-Interest or Entrenchment Effect?
by Georgeta Vintila & Stefan Cristian Gherghina - 196-216 Stock Prices and Implied Abnormal Earnings Growth
by Hafiz Imtiaz AHMAD & Pascal ALPHONSE - 217-230 The European Financial Market Stress Index
by Shaen Corbet
2013, Volume 3, Issue 4
- 772-787 Exchange Rate Volatility and U.S. Auto-Industry Exports: A Panel Cointegration Approach
by Veysel Avsar & Kemal Turkcan - 788-798 The Impact of Stock Market Performance upon Economic Growth
by Najeb M.H. Masoud - 799-812 Globalizing Production Structure and Intra-Industry Trade: The Case of Turkey
by Emine Kilavuz & Hatice Erkekoglu & Bet l Altay Topcu - 813-826 Channelling The Nigeria's Foreign Exchange Reserves into Alternative Investment Outlets: A Critical Analysis
by Asimiyu Gbolagade Abiola & Francis Ojo Adebayo - 827-843 The Dynamic Relationship of Stock Indexes on Interbank Money Market Rates: Evidence from Thailand
by Zongjun Wang & Gongkhonkwa Rujira - 844-851 Financial Performance Ranking of the Automotive Industry Firms in Turkey: Evidence from an Entropy-Weighted Technique
by Berna Bulgurcu - 852-860 Micro and Macro Determinants of Non-performing Loan
by Ahlem Selma Messai & Fathi Jouini - 861-873 Is There Life After Death' for the Greek Economy
by Constantinos Alexiou & Joseph Nellis - 874-884 The Interest Rate Channel in Turkey: An Investigation with Kalman Filter Approach
by Taha Bahadir Sarac & OkYAY Ucan - 885-900 Board of Directors Independence and Firm Value: Empirical Evidence Based on the Bucharest Stock Exchange Listed Companies
by Georgeta Vintila & Stefan Cristian Gherghina - 901-909 Ownership Structure and Corporate Social Responsibility Disclosure in Bangladesh
by Mohammad Abu Sufian & Muslima Zahan - 910-922 An Assessment on the Relationship Between Informal Economy and Educational Level in Turkey
by Mehmet Ela - 923-931 Financial Decision of Tunisian Firms in the Context of Market Timing Theory
by Ramzi Drissi & Tarek Ghazouani & Assaad Ghazouani - 932-937 The Calculation of Structural Budget Balance: Case of Morocco
by Abdelmonaim Tlidi - 938-948 The Effects of Market Diversification Activities on Bangladesh RMG Export
by Redwan Ahmed & Md. Tawhidul Islam & Md. Al-Amin - 949-963 Global Financial Crisis: Did Exchange Rate Politics Help Emerging Countries To Be More Resilient
by Feryel Ouerghi - 964-972 Agricultural Development of Eastern Europe Countries: Investments in this Sector their way out of Crisis: Case of Albania
by Dudie Suli & Ilir Binaj - 973-976 Purchasing Power Parity in the Case of Romania: Evidence from Structural Breaks
by Oguz OCAL
2013, Volume 3, Issue 3
- 559-569 Comparative Analysis of Profitability Determinants of Domestic and Foreign Islamic Banks in Malaysia
by Muhamad Muda & Amir Shaharuddin & Abdelhakim Embaya - 570-579 An Empirical Investigation of Budget and Trade Deficits: The Case of Bangladesh
by Asrafuzzaman & Amit Roy & Sanat Das Gupta - 580-590 Women's Changing Participation in the Labor Force of Moroccan Economy: An Analysis of the Sensitivity on the Results of CGE Mode
by Mohamed Karim & Mohamed Bouzahzah - 591-601 Speed of Convergence to Market Efficiency: Example of Top loser Stocks
by Han-Ching Huang & Yong-Chern Su & Chun-Chi Shih - 602-605 Asian Economic Community with Selected Macroeconomic Variables for Exports Sustainability
by Suppanunta Romprasert - 606-624 The Development of Stock Markets: In Search of a Theory
by Kamal A. El-Wassal - 625-636 The Capital Structure through the Trade-Off Theory: Evidence from Tunisian Firm
by Tarek Ghazouani - 637-661 Dynamic Conditional Correlation Analysis of Stock Market Contagion: Evidence from the 2007-2010 Financial Crises
by Zouheir Mighri & Faysal Mansouri - 662-672 Measuring the Efficiency and the Effect of Corporate Governance on the Biotechnology and Medical Equipment Industries in Taiwan
by Yen-Hsien Lee & Ya-Ling Huang & Shiuh-Sheng Hsu & Chien-Han Hung - 673-682 The Analysts' Forecast of IPO Firms during the Global Financial Crisis
by Chang-Yi Hsu & Jean Yu & Shiow-Ying Wen - 683-693 Study of Speculative Bubbles: The Contribution of Approximate Entropy
by Imen Mahmoud & Kamel Naoui & Hatem Jemmali - 694-700 Testing Unemployment Persistence in Central and Eastern European Countries
by Giray Gozgor - 701-709 Stock Prices and Monetary Policy: An Impulse Response Analysis
by Guglielmo Maria Caporale & Alaa M. Soliman - 710-722 Financial Development and Economic Growth Nexus in Emerging European Economies: New Evidence from Asymmetric Causality
by Selim Yildirim & Bilge Kagan zdemir & Burhan Dogan - 723-733 Mean Aversion in and Persistence of Shocks to the US Dollar: Evidence from Nine Foreign Currencies
by Samih Antoine Azar - 734-742 Factors Influencing the Selection of Methods and Determination of Transfer Pricing in Multinational Companies: A Case Study of United Kingdom
by Zeki Dogan & Ali Deran & Ayse G l K ksal - 743-751 Foreign Aid and Economic Growth in Egypt: A Cointegration Analysis
by Hoda Abd El Hamid Ali - 752-762 Competition and Stability: An Analysis of the Turkish Banking System
by mer skenderoglu & Serpil Tomak - 763-771 A Note on the Effectiveness of Pairs Trading For Individual Investors
by Fabio Pizzutilo
2013, Volume 3, Issue 2
- 253-275 Testing the CAPM for the Brazilian Stock Market Using Multivariate GARCH between 1995 and 2012
by Lucas Lucio Godeiro - 276-293 Macroeconomic Uncertainty and Private Investment in Ghana:An Empirical Investigation
by William Bekoe & Philip Kofi Adom - 294-304 Oil Prices and the Kuwaiti and the Saudi Stock Markets:The Contrast
by Samih Antoine Azar & Loucine Basmajian - 305-318 Financial Development: A Fillip or Impediment to Nigeria's Economic Growth
by Taofik M. Ibrahim & Mohammed I. Shuaibu - 319-323 An Investigation of Co-Integration and Causality between Trade Openness and Government Size in Turkey
by Ismail Aydogus & Mert Topcu - 324-336 Africa's Development: Institutions, Economic Reforms and Growth
by Aloysius Ajab AMIN - 337-344 Empirical Analysis of Remittance Inflow: The Case of Nepal
by Karan Singh THAGUNNA & Saujanya ACHARYA - 345-354 Market Structure and Performance of Tunisian Banks
by In s Ayadi & Abderrazak Ellouze - 355-369 Efficiency and Stock Performance of Banks in Transition Countries: Is There A Relationship?
by G lin Vardar - 370-375 Trade Liberalization and Fight Against Poverty
by Mohamed Ali Trabelsi & Naoufel Liouane - 376-385 The Effect of Trade Openness and Economic Freedom on Economic Growth: the Case of Middle East and East Asian Countries
by Mohammad Javad Razmi & Ramiar Refaei - 386-408 Understanding and Measuring the Role of Investors' Social Capital Level in the Development Process: A Case Study from Turkey
by Bahar Burtan Dogan - 409-419 Can Child-Care Support Policies Halt Decreasing Fertility?
by Masaya Yasuoka - 420-425 Analysis for the Implementation of the Business Process Management in Selected Turkish Enterprises
by Caner Cebeci & Ebru Kol - 426-434 Evaluating the Overall Technical Efficiency of Islamic Banks Operating in the MENA Region During the Financial Crisis
by Ali Said - 435-446 Financial Sector Development and Economic Growth: Evidence from Zimbabwe
by Godfrey Ndlovu - 447-465 Determinants of Banking Competition in Morocco and Evaluation of the Structural Reforms
by Afifa Hakam & Filali Adib Fatine & Firano Zakaria - 466-475 Do Dynamic Neural Networks Stand a Better Chance in Fractionally Integrated Process Forecasting?
by Majid Delavari & Nadiya Gandali Alikhani & Esmaeil Naderi - 476-485 Is There a Link Between Monetary Policy and Risk Perception in Eastern European Countries Implementing Inflation Targeting Regime?
by Aydan Kansu & Nurtac Yildirim & Oguzhan Ozcelebi - 486-495 On the Sustainability of Current Account Deficits in Cameroon
by Edouard T. Djeutem & Pierre E. Nguimkeu - 496-502 Testing for the Fisher Hypothesis under Regime Shifts in Turkey: New Evidence from Time-Varying Parameters
by Ibrahim Arisoy - 503-511 Remittances, Banking Sector Development and Economic Growth in Fiji
by Janesh Sami - 512-518 The Impact of Overconfidence on Capital Structure in Turkey
by Serpil Tomak - 519-524 FDI and Economic Growth Relationship Based on Cross-Country Comparison
by Faruk G rsoy & Ahmet Sekreter & H seyin Kalyoncu