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Content
2017, Volume 7, Issue 4
2017, Volume 7, Issue 3
- 1-8 International Financial Reporting Standard Adoption and Value Relevance of Accounting Information in Nigeria
by Uwalomwa Uwuigbe & Olubukola Ranti Uwuigbe & Moyosore Esther Durodola & Jimoh Jafaru & Rehimetu Jimoh
- 9-13 Is Ecuador Real Gross Domestic Product per Capita and Other Macroeconomic Variables Cointegrated? An Autoregressive Distribution Lag Bound Test Approach
by Jesser Roberto Paladines Amaiquema
- 14-19 Impact of Audit Committee on the Association Between Financial Reporting Quality and Shareholder Value
by Ahmad Ibrahim Karajeh & Mohd Yussoff B. Ibrahim
- 20-30 Evidence on the Extent of Cosmetic Earnings and Revenues Management by Jordanian Companies
by Ahmad Ahed Bader & Mousa Mohammad Abdullah Saleh
- 31-35 Effect of Managers' Illusion of Control and Corporate Governance Structure on the Sensitivity of Investment Cash Flow
by Ai-Chi Hsu & Hsu-Sheng Chen
- 36-42 The Impact of Kyoto Protocol on Environment Quality in the Free Trade Era: Case of G20 Countries
by Puspaning Buanawaty & Fithra Faisal Hastiadi
- 43-50 An Early Warning System for Currency Crisis: A Comparative Study for the Case of Jordan and Egypt
by Ghazi Al-Assaf
- 51-56 Construction of an Optimum Currency Area Index Anchored to the Gold Dinar: The Case of Selected Islamic Countries
by Memet Agustiar & Fariastuti Djafar & Afrizal
- 57-61 Social Capital in Moneylenders Phenomenon in Blimbing Traditional Market Malang Indonesia
by Bunga Hidayati & Naoyuki Yamamoto & Hideyuki Kano & Agus Suman & Asfi Manzilati
- 62-68 The Determinant of the Possibility of Merger in Indonesia
by Devina Ivo Mahendra & Nadia Asandimitra Haryono
- 69-81 Measuring the Nonmonetary Component of General Value for Goods and Services
by Sergey K. Aityan & Alexey K. Ivanov-Schitz & Eugenia Logunova
- 82-87 Measuring Earnings Quality Over Time
by Yohan An
- 88-96 Market Efficiency Based on Unconventional Technical Trading Strategies in Malaysian Stock Market
by Pick-Soon Ling & Ruzita Abdul-Rahim
- 97-104 Linkage between Foreign Direct Investment, Domestic Investment and Economic Growth: Evidence from Nigeria
by Hasan Gungor & Salim Hamza Ringim
- 105-112 Risk-free Yields, Risk Aversion, and Volatility
by Samih Antoine Azar
- 113-118 An Analysis of Determinants Affecting the Returns of Dow Jones Sustainability Index United States
by Electra Pitoska & Androniki Katarachia & Grigoris Giannarakis & Charalampos Tsilikas
- 119-127 The Use of Artificial Neural Networks for Quantifying the Relative Importance of the Firms' Performance Determinants
by Gholamhossein Mahdavi & Mohammad Sadeghzadeh Maharluie & Ahmad Shokrolahi
- 128-134 Cost Benefit Analysis the Participation of Indonesia in Asia Region Funds Passport
by Makmun Syadullah & Benny Gunawan Ardiansyah
- 135-144 Capital Intensity Effects on International Capital Flows and Current Account of Association of Southeast Asian Nations + 6 Countries
by Ni Putu Wiwin Setyari & I. Nengah Kartika & I. Wayan Wenegama & Ni Putu Martini Dewi & I. Ketut Sudiana
- 145-151 How People Apply Mental Accounting Philosophy to Investment Risk?
by Juan Mascare as & Fangyuan Yan
- 152-160 Economic Freedom Indicators and Higher Education Reforms: Evaluation and Planning Internationalization Process
by Khalid Zaman & Muhammad Qaiser Saleem & Mehboob Ahmad & Aamir Khan
- 161-165 Students' Economic Backgrounds in Meeting Living Costs of Higher Education: A Regression Analysis
by Seda Ozekicioglu
- 166-171 Analysis of Rice Distribution in South Sumatera, Indonesia
by Mohamad Adam & Taufiq Marwa & Azwardi & K.M. Husni Thamrin & Abdul Bashir
- 172-179 Linkages and Efficiency Between iTraxx Europe and Financial Market Dynamics in South-East Europe Capital Markets in Post-crisis Period
by Mariya Paskaleva & Ani Stoitsova-Stoykova
- 180-185 Political Connections and Debt Access: The Case of Tunisian Firms
by Fayrouz Bencheikh & Neila Boulila Taktak
- 186-195 Redenomination: Why is It Effective in One Country but Not in Another?
by Erwin Bramana Karnadi & Putu Rusta Adijaya
- 196-209 Financial Development and Economic Growth: The Empirical Evidence of the Southern Mediterranean Countries
by Mohamed Aydi & Abdelkader Aguir
- 210-219 Bankruptcy of Lehman Brothers: Determinants of Cross-country Impacts on Stock Market Volatility
by Daehwan Kim & Chi-Young Song
- 220-225 A Systematic Literature Review on Tax Amnesty in 9 Asian Countries
by Muhammad Alishahdani Ibrahim & Rita Myrna & Ira Irawati & J. B. Kristiadi
- 226-232 Innovation and Productivity of Vietnamese Small and Medium Enterprises: Firm Level Panel Data Evidence
by Pham Dinh Long & Ho Thi Mai Anh
- 233-246 Managers' Entrenchment, Governance and Bank Performance
by Aymen Mselmi & Boutheina Regaieg
- 247-253 Incorporating Stakeholder Engagement, Financial Implications and Values in Corporate Social Responsibility: A Proposed Model from an African Context
by Aminu Ahmadu Hamidu & Md. Harashid Haron & Azlan Amran
- 254-264 The Effect of Social Media on Customer Loyalty and Company Performance of Insurance Industry
by Narges Delafrooz & Marzieh Zendehdel & Maryam Fathipoor
- 265-269 The Importance of Green Supply Chain Management and Its Role in Marketing Management
by Moujan Shahriarpour & Akbar Alam Tabriz
- 270-275 The Effect of Surplus Free Cash Flow and Audit Quality on Earnings Management
by Saeid Nouri & Behnam Gilaninia
- 276-285 Investigate the Relationship between Institutional Ownership in Tehran Stock Exchange
by Mohammad Reza Pourhosein & Ahmad Aghazadeh Kama Kol & Bahram Molaheidari Vishkaii & Fatemeh Pouraskari Jourshari
- 286-291 Evaluating the Benefits of New Financial System (Accrual Accounting) Establishment in Medical and Health Care Sciences, Guilan University
by Mohammad Reza Pour Hosein & Morteza Hassanzadeh & Seyedeh Saeedeh Hashemi
- 292-298 Mediating Role of Family Ownership in Relationship between the Independent Board and the Company's Performance in Tehran Stock Exchange
by Sam Darvish Haghjoo & Abdolkarim Moghadam & Seyed Ahmad Mousavi
- 299-303 The Relationship between Level of Voluntary Disclosure in Internet and Information Asymmetry in Companies Listed on the Tehran Stock Exchange
by Omid Ahad Pour & Peyman Imanzadeh
- 304-308 The Impact of Audit Reports on Financial Information Content
by Alireza Vaziri & Kayhan Azadi
- 309-317 Adjusting Consumption Based Capital Asset Pricing Model within the Framework of an Open Economy: The Case of Iran
by Jaber Bahrami & Mosayeb Pahlavani & Reza Roshan & Saeed Rasekhi
- 318-325 Military Expenditure and Economic Growth in South Asian Countries: Empirical Evidences
by Saba Ismail
- 326-330 Analysis Z-score to Predict Bankruptcy in Banks Listed in Indonesia Stock Exchange
by Muammar Khaddafi & Falahuddin & Mohd. Heikal & Ayu Nandari
- 331-341 Dynamic Relations between Stock Price and Exchange Rate: Evidence from South Asia
by Mostafa Ali & Gang Sun
- 342-351 The Effect of Oil Shocks on Foreign Trade under Inflation and Exchange Rate Targeting Policies (In the Form of a Dynamic Stochastic General Equilibrium Model for Iran)
by Mehdi Behrad-Amin & Gholamreza Zamanian & Marzie Esfandiari
- 352-361 From Population Age Structure and Savings Rate to Economic Growth: Evidence from Ecuador
by Joel Alejandro Rosado & Mar a Isabel Alvarado S nchez
- 362-370 Financial Development, Commercial Development, and Economic Growth in the Selected Emerging and the Middle Eastern Countries#
by Lotfali Agheli & Golnaz Hadian
- 371-376 The Feasibility of Productivity Improvement Using the Approach of Virtual Economy
by Samira Ranjbar & Ali Esmailzadeh Maghari
- 377-381 Determinants of Corporate Financial Factors on Tax Reporting Strategy
by Hashem Valipour & Saeid Homayoun & Fateme Piran
- 382-388 The Impact of Foreign-direct Investment on Economic Growth in Malaysia: The Role of Financial Development
by Ghaith Alzaidy & Mohd Naseem Bin Niaz Ahmad & Zakaria Lacheheb
- 389-397 Impact of Non-oil Export on Non-oil Economic Growth in Saudi Arabia
by Mohammed A Aljebrin
- 398-403 Does Complexity Audit Task, Time Deadline Pressure, Obedience Pressure, and Information System Expertise Improve Audit Quality?
by Inyoman Agus Wijaya & Mentari Tri Yulyona
- 404-410 Examining the Effect of Social and Intellectual Value on Organizational Performance Based on the Balanced Evaluation Method and Structural Equations in the Iranian Oil Terminals Company
by Abbas Taleb Bidokhti & Ali Akbar Esmailpour
- 411-422 Why do Firms Change Their Dividend Policy?
by Ijaz Ali & Ali Gohar & Omar Meharzi
- 423-428 The Impact of Telecom Infrastructure on the Economic Growth: The Case of Oil-producing and Non-Oil Producing Arab Countries
by Mamoun Mohamad Matalqah & Talib Mohamed Warad
- 429-436 The Impact of Macroeconomic and Internal Factors on Banking Distress
by Yulita Wulandari & Musdholifah & Suhal Kusairi
- 437-443 The Long Memory Behavior of the EUR/USD Forward Premium
by Nessrine Hamzaoui & Boutheina Regaieg
- 444-452 Do Inflation Targeting Really Reduced Exchange Rate Pass-through?
by Salsa Dilla & Noer Azam Achsani & Lukytawati Anggraeni
- 453-460 Can Inflation be Claimed as a Monetary Phenomenon? The Malaysian Experience
by Chor Foon Tang & Ilhan Ozturk
- 461-467 The Effects of Financial Development and Institutional Quality on Economic Growth with the Dynamic Panel Data Generalized Moment Method Method: Evidence from the Organization for Economical Cooperation and Development Countries
by Ali Ahmadpour Kacho & Nazar Dahmardeh
- 468-476 Characteristics of Firms Violating Annual Financial Disclosure Timing: The Case of Jordan
by Mansour I. Saaydah
- 477-488 Impact of Foreign Direct Investment on Sectoral Growth of Indian Economy
by Areej Aftab Siddiqui & Shahid Ahmed
- 489-500 Rebound Effects of Exchange Rate and Central Bank Interventions in Selected ECOWAS Countries
by Mustapha A. Akinkunmi
- 501-509 Structural Change and Labor Market Integration: Evidence from Ukraine
by Marianna Oliskevych & Iryna Lukianenko
- 510-515 Impact of the Financial Markets Development on Capital Structure of Firms Listed on Ho Chi Minh Stock Exchange
by Le Minh Tai
- 516-522 Petro Rents and Higher Education: A Cross-country Examination
by Shahin Javadi & Mahmood Motevaseli & Jahangir Yadolahi Farsi
- 523-526 The Effect of Product Market Competition on the Relationship between Capital Structure and Financial Performance of Companies
by Mahmoud Mahmoudzadeh & Ali Seyfi
- 527-533 The Effect of Stock Prices and Exchange Rates on Economic Growth in Indonesia
by La Saidi & Pasrun Adam & Rostin & Zainuddin Saenong & Muh. Yani Balaka & Gamsir & Asmuddin & Salwiah
- 534-536 Composite Stock Price Index (IHSG) Macro Factor in Investment in Stock (Equity Funds)
by Andi Desfiandi1 & Alvin Desfiandi & Hapzi Ali
- 537-541 Economic Impact on Financial Ratios of Food Industry at Istanbul Stock Exchange Listed Firms
by Metin Atmaca & Engin Demirel
- 542-547 The Relationship between Non-financial Factors, Capital Structure and the Performance of the Listed Companies on the Stock Exchange
by Safiye Bakhshani
- 548-554 Investigating Risk Effect and Profit Management on Bank Credit Risk
by Seyedeh Mahtab Farhadvand & Omid Jalilian
- 555-560 Analysis of Factors Affecting the Adoption and Use of Environmental Management Accounting to Provide a Conceptual Model
by Zohre Karimi & Mohsen Dastgir & Mehdi Arab Saleh
- 561-568 An Investigation of the Relationship between the Audit Quality and the Cost of Equity with Sustainable Profits
by Khosro Barzegarnezhad & Babak Jamshidinavid
- 569-574 Modelling and Forecasting Recessions in Oil-exporting Countries: The Case of Iran
by Shahram Fattahi & Kiomars Sohaili & Hamed Monkaresi & Fatemeh Mehrabi
- 575-580 The Causal Relationship between Economic Growth, Banking Sector Development and Stock Market Development in Selected Middle-East and North African Countries
by Vahid Puryan
- 581-585 Influence of Country Factors on Entry Mode Through Knowledge and Transactional Cost Economics: Market Entry: Evidence from Construction Firms
by Kausar Yasmeen & Kuperan Viswanathan
- 586-593 Synergistic Role of Balanced Scorecard/Activity Based Costing and Goal Programming Combined Model on Strategic Cost Management
by Mohammad Taleghani
- 594-601 Price Transmission in Iranian Wholesale-retail Meat Market: Implications for Market Power
by Mohammad Omrani & Mohammad Nabi Shahiki Tash & Ahmad Akbari
- 602-608 A Hybrid Model for Portfolio Optimization Based on Stock Clustering and Different Investment Strategies
by Siamak Goudarzi & Mohammad Javad Jafari & Amir Afsar
- 609-612 Structure and Intensity Based Approach in Credit Risk Models: A Literature Review
by Adithi Ramesh & C. B Senthil Kumar
- 613-624 Financial Markets Integration: Appraising the Developed and Emerging Markets Nexus
by Adegbemi Babatunde Onakoya & Adedotun Victor Seyingbo
- 625-631 How Terrorism Affects Foreign Direct Investment in Pakistan
by Hashmat Ali & Wang Qingshi & Irfan Ullah & Zulfiqar Ali
- 632-638 Trading Volume Levels and Stock Returns: Empirical Behavioral Analysis
by Ouarda Moatemri & Abdelfeteh El-Bori
- 639-661 Are International Portfolio Diversification Opportunities Decreasing? Evidence from Principal Component Analysis
by Galin K. Todorov
- 662-670 The Impact of Working Capital Management on Firm's Profitability: Evidence from Malaysian Listed Manufacturing Firms
by Sin Huei Ng & Chen Ye & Tze San Ong & Boon Heng Teh
- 671-675 Empirical Analysis of Operating Efficiency and Firm Value: A Study of Fast Moving Consumer Goods and Pharmaceutical Sector in India
by Pritpal Singh Bhullar
- 676-683 The Effect of Ownership Composition on Stock's Liquidity: Evidence from Weak Corporate Governance Setting
by Majd Iskandrani & Asma'a Al-Amarneh
- 684-705 Association of South-East Asian Nations-US Stock Market Associations in and Around US 2007-09 Financial Crisis: An Autoregressive Distributed Lag Application for Policy Implications
by Ranjan Dasgupta
- 706-712 Bankruptcy and Insolvency: An Exploration of Relevant Theories
by Adegbemi Babatunde Onakoya & Ayooluwa Eunice Olotu
- 713-720 The Determinants of Foreign Direct Investment in Somalia
by Mohamed Isse Ibrahim & Zahir Mohamed Omar & Ali Yassin Sheikh Ali3
- 721-728 Financial Performance of Healthcare Firms: The Case of Korea
by Jun Woo Park & Seyoung Guahk
- 729-737 Performance Analysis of Commercial Banks in the Kingdom of Bahrain (2001-2015)
by Iqbal Thonse Hawaldar & Lokesha & K. Abhaya Kumar & Prakash Pinto & Sheila M. Sison
- 738-745 The Relationship among Gross Barter Terms of Trade, Exchange Rates, and Economic Growth: A Case in Turkey
by Ay e Ergin & Filiz Yetiz
- 746-751 The Impact of Government's Foreign Debt on Fiscal Sustainability of Indonesia
by Yohanes Maria Vianey Mudayen
- 752-759 Banking Institutions Governance and Stock Market and Financial Performance
by Aymen Mselmi & Boutheina Regaieg
- 760-767 Cyberspace Enhanced Payment Systems in the Zimbabwean Retail Sector: Opportunities and Threats
by Ishmael Mugari
- 768-778 Tax Reforms and Tax Yield in Nigeria
by Bassey Okon Ebi & Oluwafemi Ayodele
- 779-785 Loss Given Default Estimating by the Conditional Minimum Value
by Mustapha Ammari & Ghizlane Lakhnati
2017, Volume 7, Issue 2
- 1-6 Management of Corporate Business Process Cost Performance Based on Key Costs Data
by Alexander N. Vizgunov & Yuri V. Trifonov
- 7-10 Are Amman Stock Exchange Investors Overconfident?
by Abu Khalaf K. Bashar & Firas Y. Hammash
- 11-24 Relationship between Exchange Rates and Stock Prices GCC Perspectives
by Jassim Al-Daham
- 25-31 The Development of Productive Economy Cluster through Siparti 3-S and Triple Helix in Lumajang Regency, Indonesia
by Dwi Wulandari & Mit Witjaksono & Thomas Soseco & Bagus Shandy Narmaditya
- 32-39 Housing Loans: What about Personality Traits?
by Elisa Gambetti & Fiorella Giusberti
- 40-51 Impact of Inclusion into and Exclusion from the Shariah Index on a Stock Price and Trading Volume: An Event Study Approach
by Nawal Seif Kassim & Roslily Ramlee & Salina Kassim
- 52-58 Theoretical and Empirical Studies of Economic Growth Processes of Agricultural Production in Russian Federation
by Marina Yegorovna Anokhina & Galina Mikhailovna Zinchuk & Aleksandr Vladimirovich Butov
- 59-67 Development of Domestic and Foreign Industrial Enterprises in Russia
by Andrei Trifonov & Alexandr Mikhalchuk & Vladislav Spitsin & Marina Ryzhkova & Lubov Spitsina & Anton Boznyakov
- 68-72 Sustainability of the Current Account: Evidence from Pakistan
by Shabbir Ahmad
- 73-80 The Role of Business Risk and Non Debt Tax Shields to Debt to Equity Ratio on Pharmacy Listed Companies in Indonesia
by Suratno & Syahril Djaddang & Imam Ghozali
- 81-85 Equilibrium and Disequilibrium Exchange Rate: Case of Rupiah Exchange Rate
by Agus Budi Santosa
- 86-93 The Relationship between Solvency Ratios and Profitability Ratios: Analytical Study in Food Industrial Companies listed in Amman Bursa
by Abdul Aziz A. Abdul Rahman
- 94-102 The Risk-sensitivity of Bank Capital Requirements: The Moderating Effects of Capital Regulation and Supervisory Power
by Mohamed Albaity & Mohammadmahdi Toobaee
- 103-108 The Role of Tourism Sector in Economic Growth: An Empirical Evidence From Palestine
by Mosab I. Tabash
- 109-117 Can Social Capital Investment Reduce Poverty in Rural Indonesia?
by Ernan Rustiadi & Ahmadriswan Nasution
- 118-124 Asymmetric Oil Price Shocks and Economic Activity in Developing Oil-importing Economies: The Case of Jordan
by Noura Abu Asab
- 125-128 Analysis of Economic Growths and Development Gaps between Cities in Southeast Sulawesi
by Abd Azis Muthalib
- 129-137 Tourism an Engine of Wealth Creation in Zimbabwe
by Sanderson Abel & Pierre Le Roux
- 138-144 Investment Earnings as a Countercyclical Tool: Evidence from U.S. State Governments
by Sungchan Kim & Soyoung Park
- 145-154 The Investigation and Elimination of Public Procurement Fraud in Government Sectors (A Case Study in Indonesia's Procurement System: Cases from 2006 to 2012)
by Ach Maulidi
- 155-165 The Impacts of Non-linear Oil Price Shocks on Saudi Savinginvestment Behavior: An Empirical Investigation
by Abdulaziz Hamad Algaeed
- 166-174 Investigate the Effect of Exchange Rate Volatility on the Demand for Life Insurance in Iran
by Maryam Hosseinzadeh & Saeed Daei-Karimzadeh
- 175-181 Domestic or Foreign Banks? Who Wields more Market Power?
by Sanderson Abel & Hlalefang Khobai & Pierre Le Roux
- 182-187 Macroeconomic Fundamental and Stock Price Index in Southeast Asia Countries: A Comparative Study
by Sugeng Wahyudi & H. Hersugondo & Rio Dhani Laksana & R. Rudy
- 188-195 Corporate Governance and Malaysian Politics: Theoretical Framework for Accounting Quality
by Nor Farizal Mohammed & Zuraidah Mohd Sanusi & Fahdah Sultan Alsudairi
- 196-201 The Relative Impact of Bank Credit on Manufacturing Sector in Nigeria
by Kalu Ebere Ume & Alice Chinwe Obasikene & Chioma Dorothy Oleka & Augustina Ogoma Nwadike & Chinwe Okoyeuzu
- 202-207 Analysis Determinant Factors Effect on Migrant Workers' Remittances Flow to the CLMV Countries
by Chantha Hor & Pheara Pheang
- 208-214 Overconfidence Bias, Over/Under-reaction of Financial Analysts on the Tunisian Stock Market, and Their Impacts on the Earnings Forecasts
by Ahmed Bouteska & Boutheina Regaieg
- 215-222 Influencing Factors of Poverty in Pakistan: Time Series Analysis
by Rizwan Akhtar & Hongman Liu & Amjad Ali
- 223-226 Sutte Indicator: A Technical Indicator in Stock Market
by Ansari Saleh Ahmar
- 227-235 Malaysian Financial Stress Index and Assessing its Impacts on the Economy
by Hussin Abdullah & Jauhari Dahalan & Khaw Lee Hwei & Mohammed Umar & Md Mohan Uddin
- 236-242 Mutual Fund Flows and Benchmark Portfolio Returns
by Joakim Kvamvold
- 243-248 Research Gap of Entrepreneurship, Innovation, Economic Development, Business Incubators Studies in Indonesia
by Lina Gozali & Maslin Masrom & Habibah Norehan Haron & Teuku Yuri M Zagloel
- 249-258 Market Concentration Index and Performance: Evidence from Indonesian Banking Industry
by Sapto Jumono & Abdurrahman & Chajar Matari Fath Mala
- 259-265 Correlation Based Clustering of the Amman Stock Exchange
by Hussein A. Abdoh
- 266-270 Comparative Analysis of Profit Sharing Financing Between Islamic Banks (BUS) and Islamic Rural Bank (BPRS) in Indonesia
by Sa'adah Yuliana & Suhel & Abdul Bashir
- 271-276 The Implementing Activity-based Costing Technique and Its Impact on Profitability: A Study of Listed Manufacturing Companies in Jordan
by Laith Akram Muflih Al-Qudah & Yusuf Ali Khalaf Al-Hroot
- 277-282 Effect of Solow Variable to the Economic Growth in Southeast Asia
by Ady Soejoto & Hendry Cahyono & Ni'matush Solikhah
- 283-291 The Impact of Creative Accounting Techniques on the Reliability of Financial Reporting with Particular Reference to Saudi Auditors and Academics
by Ahmed Yousif Adam Ismael
- 292-300 What Would Influence Firm Valuation? Financial Reporting and Shareholder Governance
by Manel Hessayri & Malek Sa hi
- 301-308 The Corporate Social Responsibility and Firms' Financial Performance: Evidence from Financial Sector of Pakistan
by Tanveer Bagh & Muhammad Asif Khan & Tahir Azad & Shamila Saddique & Muhammad Atif Khan
- 309-318 The Effects of Earnings Quality, Conservatism, and Real Earnings Management on the Company's Performance and Information Asymmetry as a Moderating Variable
by Nera Marinda Machdar & Adler Haymans Manurung D. R. M & Etty Murwaningsari
- 319-324 Incorrect Pricing Impact on Investment and the Capital Structure of Companies with Financial Constraints
by Khalil Abbasi Museloo & Shaker Abartavi
- 325-329 Comparison of Risk Management in Non-profit Banks and Financial Institutions versus Other Conventional Banks and Financial Institutions in Iran
by Khalil Abbasi Museloo & Noormohammd Toraj
- 330-337 Changing Priority of Industrial Activities in Sistan and Baluchestan Province (Application of Input-output Table)
by Marziyeh Esfandiari & Gholamreza Keikha
- 338-347 An Analysis of the Relationship of Imports and Economic Growth in Iran (Comparison of Systematic and Unsystematic Cointegration Methods with Neural Network)
by Nasser Ebrahimi
- 348-354 Trade Openness and Inclusive Economic Growth: Poverty Reduction through the Growth Unemployment Linkage
by Taleb Awad-Warrad & Buthaina M. A. Muhtaseb
- 355-364 Determinants of Factors that Affecting Inflation in Malaysia
by Rabiul Islam & Ahmad Bashawir Abdul Ghani & Emil Mahyudin & Narmatha Manickam
- 365-369 Palestine and Saudi Arabia, Two Different Countries with Two Different Conditions: Are the Determinants of Capital Structure of Corresponding Markets the Same?
by Bashar K. Abu Khalaf & Bara' Al-Nees & Lilana Sukkari
- 370-376 Dividend Payment and its Impact on the Value of Firms Listed on Istanbul Stock Exchange: A Residual Income Approach
by Akram Budagaga
- 377-383 Analyzing the Effects of Fiscal Policy on Income Distribution: A Comparison between Developed and Developing Countries
by Hale Balseven & Can Tansel Tugcu
- 384-396 Estimation of Volatility and Correlation with Multivariate Generalized Autoregressive Conditional Heteroskedasticity Models: An Application to Moroccan Stock Markets
by Yassine Belasri & Rachid Ellaia
- 397-407 A New Perspective on the Relationship between Trading Variables and Volatility in Futures Markets
by scar Carchano & Julio Lucia & ngel Pardo
- 408-414 The Effects of Clients' Characteristics on Auditor Independence: A Perceptual Study
by Toto Rusmanto
- 415-425 Default-implied Asset Correlation: Empirical Study for Moroccan Companies
by Mustapha Ammari & Ghizlane Lakhnat
- 426-436 Empirical Testing of Month of the Year Effect on Selected Commercial Banks and Services Sector Companies Listed on Bahrain Bourse
by Iqbal Thonse Hawaldar & B. Shakila & Prakash Pinto
- 437-447 Exchange Rate Movements, Stock Prices and Volatility in the Caribbean and Latin America
by Andre Yone Haughton & Emma M. Iglesias
- 448-452 Poverty as an Obstacle for Travel: Domestic Tourism Activities in Spain
by Volkan Altintas & Demet Tuzunkan
- 453-459 Emerging Markets: Evaluating Graham's Stock Selection Criteria on Portfolio Return in Saudi Arabia Stock Market
by Nadisah Zakaria & Fariza Hashim
- 460-468 The Impact of Stock Market Performance on Foreign Portfolio Investment in China
by Muhammad Afaq Haider & Muhammad Asif Khan & Shamila Saddique & Shujahat Haider Hashmi
- 469-476 Audit Fee and Audit Quality: An Empirical Analysis in Family Firms
by Saeid Homayoun & Maryam Hakimzadeh
- 477-484 Profitability of Saudi Commercial Banks: A Comparative Evaluation between Domestic and Foreign Banks using Capital Adequacy, Asset Quality, Management Quality, Earning Ability and Liquidity Parameters
by Abdulazeez Y. H. Saif-Alyousf & Asish Saha & Rohani Md-Rus
- 485-491 Value Balance and General Equilibrium Model
by Truong Hong Trinh
- 492-499 Implementation of Reinganum's Investment Strategy in Long Term Equity Fund in the Stock Exchange of Thailand
by Kamphol Panyagometh
- 500-506 Optimization of Monetary Corporate Social Responsibility Value Added in Reducing Financial Distress in Indonesia
by Nila Tristiarini & Yulita Setiawanta & Ririh Dian Pratiwi
- 507-512 Order Flow and Exchange Rate Dynamics in Continuous Time: New Evidence from Martingale Regression
by Zi-Yi Guo
- 513-517 The Impact of Deposit Money Bank's Agricultural Credit on Agricultural Productivity in Nigeria: Evidence from an Error Correction Model
by Jonathan E. Ogbuabor & Cynthia A. Nwosu
- 518-523 Exam nat on of the Dynam c Relationship Between Poverty and Inequal ty: Ev dence from N ger a M cro Data
by Richardson Kojo Edeme & Evelyn Osaretin Ogbeide & A. Ifelunini Innocent & Sam Ugwu
- 524-529 The Social Impacts of Information and Communication Technology in Nigeria
by Jonathan E. Ogbuabor & Monica N. Agu & Ugbor I. Kalu
- 530-535 Does Chief Executive Officer Succession Affect Firms Financial Performance in Nigeria?
by Stephen A. Ojeka & Dorcas T. Adetula & Dick O. Mukoro & Oyintinane P. Kpokpo
- 536-543 The Transmission Mechanism of Bilateral Relationship Between Exports and Economic Growth in Vietnam
by Phan The Cong & Nguyen Quang Hiep
- 544-550 How Does Monetary Policy Affect Economic Vulnerability to Oil Price Shock as against US Economy Shock?
by Fatemeh Razmi & Azali Mohamed & Lee Chin & Muzafar Shah Habibullah
- 551-555 Corporate Regulation of Unethical Practices: Assessment of Nigeria's Commercial Banking Industry
by Olabode A. Oyewunmi & Olamide Olusanmi & Olusola J. Olujobi & Folashade Adegboye
- 556-561 The Impact of Dow Jones Sustainability Index on US Dollar Value
by Grigoris Giannarakis & Alexandros Garefalakis & Christos Lemonakis & Nikolaos Sariannidis
- 562-567 Evaluation of the Added Value from Risk Diversification Through AEC Capital Market Integration using Stochastic Dominance
by Aekkachai Nittayagasetwat & Jiroj Buranasir
- 568-573 Does Quality of Financial Statement Affected by Internal Control System and Internal Audit?
by Cecilia Lelly Kewo & Nunuy Nur Afiah
- 574-584 Bank Specific and Macroeconomic Determinants of Bank Profitability: Evidence from Turkey
by Mehmet Sabri Topak & Nimet Hulya Talu
- 585-600 Earnings Management, Equity-based Compensation, Economic Conjuncture and Governance Mechanisms: A Comparative Study between France and the United States
by Mehdi Bouras & Mohamed Imen Gallali
- 601-607 Trade Policies, Exchange Rate and Developing Country's Real Sector Export Performance
by Richardson Kojo Edeme & Nelson C. Nkalu & Chisom Emecheta & Sam Ugwu