Content
2012, Volume 2, Issue 3
- 233-240 Democracy, Investment and Economic Growth
by Hadhek Zouhaier & Kefi Mohamed Karim - 241-245 The Impact of Structural Break(s) on the Validity of Purchasing Power Parity in Turkey: Evidence from Zivot-Andrews and Lagrange Multiplier Unit Root Tests
by Hakan Kum - 246-266 Tests of Parameters Instability: Theoretical Study and Empirical Analysis on Two Types of Models (ARMA Model and Market Model)
by Sahbi FARHANI - 267-271 Foreign Direct Investment and Growth Relationship in Georgia
by Faruk G rsoy & H seyin Kalyoncu - 272-280 Oil and S&P 500 Markets: Evidence from the Nonlinear Model
by Yen-Hsien Lee & Fang Hao - 281-295 Inflation and Corruption Relationship: Evidence from Panel Data in Developed and Developing Countries
by Hasim Ak a & Ahmet Yilmaz Ata & Coskun Karaca - 296-303 Is the EURO' a Defunct Currency?
by Constantinos Alexiou & Joseph Nellis - 304-311 The Casual Nexus of Banking Sector Development and Poverty Reduction in Bangladesh
by Gazi Salah Uddin & Phouphet Kyophilavong & Nasim Sydee - 312-319 Modelling the Errors of EIA's Oil Prices and Production Forecasts by the Grey Markov Model
by Gholam Hossein Hasantash & Hamidreza Mostafaei & Shaghayegh Kordnoori - 320-339 Labour Productivity Convergence in 52 Industries: A Panel Data Analysis of Some European Countries
by Tahir Mahmood - 340-347 Weak Form Efficiency of the Nigerian Stock Market: An Empirical Analysis (1984 2009)
by Pyemo Afego - 348-356 Inflation and Inflation Uncertainty Nexus: Empirical Evidence from Pakistan
by Sajid Amin Javed & Saud Ahmad Khan & Azad Haider & Farzana Shaheen - 357-372 Bank Savings and Bank Credits in Nigeria: Determinants and Impact on Economic Growth
by Orji Anthony - 373-378 Impacts of the Trilemma Policies on Inflation, Growth and Volatility in Greece
by Yu Hsing
2012, Volume 2, Issue 2
- 85-109 Exchange Rate Volatility and its Impact on Industrial Production, Before and After the Introduction of Common Currency in Europe
by Muhammad Jamil & Erich W. Streissler & Robert M. Kunst - 110-125 Value-at-Risk Analysis for the Tunisian Currency Market: A Comparative Study
by Aymen BEN REJEB & Ousama BEN SALHA & Jaleleddine BEN REJEB - 126-140 Fiscal Deficit, National Saving and Sustainability of Economic Growth in Emerging Economies: A Dynamic GMM Panel Data Approach
by Antonino Buscemi & Alem Hagos Yallwe - 141-178 Theoretical and Empirical Review of Asset Pricing Models:A Structural Synthesis
by Saban Celik - 179-183 Nonlinear Adjustment of Emerging Stock Market Returns: Symmetrical or Asymmetrical
by Seyyed Ali Paytakhti Oskooe - 184-189 The Relationship Between Macroeconomic Variables and ISE Industry Index
by Ahmet Ozcan - 190-200 Oil and Cars: The Impact of Crude Oil Prices on the Stock Returns of Automotive Companies
by Bettina Lis & Christian Ne ler & Jan Retzmann - 201-215 Export and Economic Growth in the Case of the Manufacturing Industry: Panel Data Analysis of Developing Countries
by Emine KILAVUZ & Bet l ALTAY TOPCU - 216-224 Efficiency Tests in Foreign Exchange Market
by Hsien-Yi Lee & Khatanbaatar Sodoikhuu - 225-232 Pakistan Intra-Industry Trade: A Panel Data Approach
by Muhammad Shahbaz & Nuno Carlos Leit o & Muhammad Sabihuddin Butt
2012, Volume 2, Issue 1
- 1-11 Capital Mobility: An Application of Savings-Investment Link for Tunisia
by Solarin Sakiru Adebola & Jauhari Dahalan - 12-20 Central Banks' Response to the Current Financial Crisis Between Costs and Benefits
by Teodora Cristina Barbu & Iustina Boitan - 21-26 Debt Ratio Analysis and Firm Investment: Evidence from Jordan
by Faris Nasif AL-Shubiri - 27-32 Modelling the Dependence Structure of MUR/USD and MUR/INR Exchange Rates using Copula
by Vandna Jowaheer & Nafeessah Z. B. Ameerudden - 33-40 Domestic and Foreign Banks' Profitability:Differences and Their Determinants
by Muhammad AZAM & Sana SIDDIQUI - 41-53 Contagion in International Stock Markets during the Sub Prime Mortgage Crisis
by Hsien-Yi Lee - 54-70 Productivity Growth in Some Energy Intensive Manufacturing Industries in India: An Analytical Assessment
by Sarbapriya Ray - 71-78 Macroeconomic Variables and Unemployment: The Case of Turkey
by Taylan Taner Dogan - 79-84 Impact of NAFTA on the Preference for Meat Consumption in USA: An Inverse Demand System Approach
by Sooriyakumar Krishnapillai
2011, Volume 1, Issue 4
- 145-152 Inflation and Financial Sector Correlation: The Case of Bangladesh
by Abu N. M. Wahid & Muhammad Shahbaz & Pervaz Azim - 153-162 Testing the Weak Form Efficiency of Pakistani Stock Market (2000 2010)
by Abdul Haque & Hung-Chun Liu & Fakhar-Un-Nisa - 163-171 The Export Supply Model of Bangladesh: An Application of Cointegration and Vector Error Correction Approaches
by MD. Moniruzzaman & Mahmudul Mannan Toy & A. B. M. Rashedul Hassan - 172-179 Estimating Pakistan's Time Varying Non-Accelerating Inflation Rate of Unemployment: An Unobserved Component Approach
by Farzana Shaheen & Azad Haider & Sajid Amin Javed - 180-198 Turkey's Population Dynamics As A Candidate Country For EU Membership
by Harun Ucak - 199-210 Private and Public Investment in Malaysia: A Panel Time-Series Analysis
by Sallahuddin Hassan & Zalila Othman & Mohd Zaini Abd Karim - 211-219 Investigating Seasonal Patterns in Developing Countries: The Case of FYROM Stock Market
by Andreas Georgantopoulos & Anastasios Tsamis - 220-228 The Relationship between Interest Rate, Exchange Rate and Stock Price: A Wavelet Analysis
by Mohamed Essaied Hamrita & Abdelkader Trifi
September 2011, Volume 1, Issue 3
- 78-87 Perspectives of Corporate Governance in Croatian Banking Sector
by Tea Golja & Marinela Krstinic Nizic & Morena Pauli ic - 88-98 Governance Mechanisms and Buyer Supplier Relationship:Static and Dynamic Panel Data Evidence from Tunisian Exporting SMEs
by Bellouma Meryem - 99-122 Effects of Selected Corporate Governance Characteristics on Firm Performance: Empirical Evidence from Kenya
by Vincent O. Ongore & Peter O. K'Obonyo - 123-132 When the Bough Breaks Making Sense of the Greek Economic Waterloo'
by Constantinos Alexiou - 133-138 Monetary-Fiscal-Trade Policy and Economic Growth in Pakistan: Time Series Empirical Investigation
by Syed Tehseen Jawaid & Faisal Sultan Qadri & Nasir Ali - 139-144 Wage Tendency in Albania; The Reaction to the Global Economic and Financial Crisis
by Imelda Sejdini
June 2011, Volume 1, Issue 2
- 19-32 Financial Liberalization and Banking Profitability: A Panel Data Analysis for Tunisian Banks
by Hakimi Abdelaziz & Djelassi Mouldi & Hamdi Helmi - 33-45 Value Relevance of Accounting Information in the United Arab Emirates
by Jamal Barzegari Khanagha - 46-53 Can E-Payment Systems Revolutionize Finance of the Less Developed Countries? The Case of Mobile Payment Technology
by Helmi Hamdi - 54-73 Application of Method of Financial Risk in Serbian Companies - Survey Sample Company
by Jelisavka Bulatovic - 74-77 Competitive Environment Hypothesis in Turkish Banking System
by Alper Aslan & Kemal Koksal & Oguz Ocal
2011, Volume 1, Issue 1
- 1-11 Firm Size and Capital Structure Decisions: Evidence From Turkish Lodging Companies
by Erdinc Karadeniz & Serkan Yilmaz Kandir & Omer Iskenderoglu & Yildirim Beyazit Onal - 12-18 The Stock Market and Macroeconomic Variables in a BRICS Country and Policy Implications
by Yu Hsing