Content
May 2024, Volume 29, Issue 58
- 326-345 Does capital efficiency influence economic growth in Bangladesh? Application of the Harrod-Domar model
by Sakib Bin Amin & Bismi Iqbal Samia & Farhan Khan
March 2024, Volume 29, Issue 58
- 229-245 Evolution of trade and productive integration in Latin America, 1995–2015: an input-output analysis
by Raúl Vázquez-López
April 2024, Volume 29, Issue 58
- 246-262 The mediating role of marketing management in the relationship between online presence and product innovation among SMEs
by Allan Pérez-Orozco & Juan Carlos Leiva & Ronald Mora-Esquivel - 263-276 Financial technology and economic growth nexus in the East African community states
by Chi Aloysius Ngong & Kesuh Jude Thaddeus & Josaphat Uchechukwu Joe Onwumere - 277-293 Stock splits and reverse splits in the Brazilian capital market
by Daniel Werner Lima Souza de Almeida & Tabajara Pimenta Júnior & Luiz Eduardo Gaio & Fabiano Guasti Lima - 294-308 Islamic banks' contribution to Indonesia districts' economic growth and poverty alleviation
by Junaidi Junaidi - 309-325 Short-term effects of productive credit, savings and money demand on Ecuador’s economic growth, 2006–2020
by Armando Urdaneta Montiel & Emmanuel Vitorio Borgucci Garcia & Segundo Camino-Mogro
June 2024, Volume 29, Issue 58
- 346-365 A comparative analysis of consumer credit risk models in Peer-to-Peer Lending
by Lua Thi Trinh - 366-386 ESG and financial performance via uncertain mining technology: do Multilatinas contribute to the sustainability of the region?
by Carlos Alexander Grajales & Katherine Albanés Uribe
August 2024, Volume 29, Issue 58
- 387-409 Understanding determinants of outward foreign direct investment: the role of economic policy uncertainty, institutional quality, and globalization
by Fevzi Ölmez & Emre Bilgiç & Esra Aydın
February 2024, Volume 29, Issue 57
- 166-185 The relationship between dividend policy and earnings management: a causality analysis
by Olfa Ben Salah & Anis Jarboui - 186-204 The impact of relationship marketing practices on companies’ market and financial performance in emerging markets
by Vera Rebiazina & Elena Sharko & Svetlana Berezka
December 2023, Volume 29, Issue 58
- 210-228 At what age do Mexicans suffer the most financial stress?
by Osvaldo García Mata
November 2023, Volume 29, Issue 57
- 5-20 Impact of competition and concentration on bank income smoothing in Central and Eastern European countries
by Albulena Shala & Peterson K. Ozili & Skender Ahmeti - 21-41 Spillovers between cryptocurrencies, gold and stock markets: implication for hedging strategies and portfolio diversification under the COVID-19 pandemic
by Ahlem Lamine & Ahmed Jeribi & Tarek Fakhfakh - 42-56 Do credit risks deter FDI? Empirical evidence from the SAARC countries
by Md Badrul Alam & Muhammad Tahir & Norulazidah Omar Ali - 57-76 Impact of private and public initiatives on individuals' employment and income during the COVID-19 pandemic: evidence from Peru
by Samuel Arturo Mongrut & Vivian Cruz & Daniela Pacussich - 77-97 The specific factors of heterogeneity characterizing investors' beliefs
by Hajer Chenini & Anis Jarboui - 98-120 Foreign direct investment and local interpretable model-agnostic explanations: a rational framework for FDI decision making
by Devesh Singh
December 2023, Volume 29, Issue 57
- 121-145 The relationship between goodwill and capital structure and the moderating effect of financial market development
by Oli Ahad Thakur & Matemilola Bolaji Tunde & Bany-Ariffin Amin Noordin & Md. Kausar Alam & Muhammad Agung Prabowo - 146-165 Exploring the importance of the perceived value of port users: evidence from the public port system in Ecuador
by José Antonio Pedraza-Rodríguez & Martha Yadira García-Briones & César Mora-Márquez
November 2023, Volume 28, Issue 56
- 218-236 Institutional ownership, earnings management and earnings surprises: evidence from 39 years of U.S. data
by Justin G. Davis & Miguel García-Cestona - 237-256 Economic integration and stock market linkages: evidence from South Africa and BRIC
by Thabo J. Gopane - 287-302 Ownership structure and agency costs: evidence from the insurance industry in Jordan
by Mohammad Tayeh & Rafe’ Mustafa & Adel Bino - 303-318 A count model of financial inclusion in Ghana: evidence from living standards surveys
by Haruna Issahaku & Munira Alhassan Muhammed & Benjamin Musah Abu - 335-351 Behavioural finance: the decoy effect on stock investment decisions
by Bruno Uekane Okumura & Tabajara Pimenta Júnior & Márcia Mitie Durante Maemura & Luiz Eduardo Gaio & Rafael Confetti Gatsios - 386-403 Types of organizational culture and sustainability in ecotourism businesses in southern Mexico
by Efraín Medina-Álvarez & Patricia S. Sánchez-Medina - 404-419 SMEs growth and profitability, productivity and debt relationships
by Zélia Serrasqueiro & Beatriz Pinto & Filipe Sardo
June 2023, Volume 28, Issue 56
- 352-371 A recent review on optimisation methods applied to credit scoring models
by Elias Shohei Kamimura & Anderson Rogério Faia Pinto & Marcelo Seido Nagano
May 2023, Volume 28, Issue 56
- 257-272 Corruption's effect on BRICS countries' economic growth: a panel data analysis
by Beatrice D. Simo-Kengne & Siphiwo Bitterhout - 273-286 The effect of gender and code of ethics on budgetary slack ethical judgment: experimental evidence from Indonesia
by Jurica Lucyanda & Mahfud Sholihin - 319-334 The impact of omnichannel integrated marketing communications (IMC) on product and retail service satisfaction
by Vera Butkouskaya & Olga Oyner & Sergey Kazakov
July 2023, Volume 28, Issue 56
- 372-385 Estimation of the aggregate import demand function for Mexico: a cointegration analysis
by José Antonio Romero Tellaeche & Rodrigo Aliphat
March 2023, Volume 28, Issue 55
- 44-59 Market reaction to firms' investments in CSR projects
by Victoria Cherkasova & Elena Fedorova & Igor Stepnov
April 2023, Volume 28, Issue 55
- 6-26 The role of digitalization in the FDI – income inequality relationship in developed and developing countries
by Van Bon Nguyen - 27-43 Impact of ICT diffusion and financial development on economic growth in developing countries
by Anushka Verma & Prajakta Sandeep Dandgawhal & Arun Kumar Giri - 96-115 Sensitivities-based method and expected shortfall for market risk under FRTB: its impact on options risk capital
by Carlos Alexander Grajales & Santiago Medina Hurtado - 116-133 Prospect theory in the financial decision-making process: an empirical study of two Argentine universities
by Rogelio Ladrón de Guevara Cortés & Leticia Eva Tolosa & María Paula Rojo - 197-210 Cultural communication differences in initial public offering documentation: the case of China
by Anamari Irizarry Quintero & Javier Rodríguez Ramírez & Camille Villafañe-Rodríguez
June 2023, Volume 28, Issue 55
- 176-196 Airports’ public infrastructure and sources of inefficiency
by Ane Elixabete Ripoll-Zarraga
May 2023, Volume 28, Issue 55
- 60-78 Sustainable marketing activities, event image, perceived value and tourists’ behavioral intentions in the sports tourism
by Junfeng Wang & Vera Butkouskaya - 79-95 Consumers’ purchase intention of rapid COVID-19 tests
by Klender Cortez & Martha del Pilar Rodríguez-García & Christian Reich
December 2022, Volume 28, Issue 55
- 160-175 Strategic perspective of error management, the role of leadership, and an error management culture: a mediation model
by Margarida Freitas Oliveira & Eulália Santos & Vanessa Ratten
October 2022, Volume 28, Issue 55
- 134-159 Creation of shared value in cooperatives: informal institutions’ perspective of small-sized banana growers from Colombia
by Marcela Maestre Matos & Jahir Lombana-Coy & Francisco J. Mesías
November 2022, Volume 27, Issue 54
- 202-218 Assessing the possibility of winning a WTO dispute before being involved
by Nikolai Klishch & Alexander Larionov - 219-230 Analysing the linkage between total factor productivity and tourism growth in Latin American countries
by Panayiotis Tzeremes - 328-343 Risk-managed time-series momentum: an emerging economy experience
by Simarjeet Singh & Nidhi Walia & Stelios Bekiros & Arushi Gupta & Jigyasu Kumar & Amar Kumar Mishra - 364-375 Shadow economy in Palestinian territories using currency demand approach
by Mohammad Kamal Abuamsha & S. Shumali - 394-411 Reinvesting in equity crowdfunding: the case of digital workers
by Rayan Faisal A. Makki & Stefan Van Hemmen
May 2022, Volume 27, Issue 54
- 247-261 Is there a price bubble in the exchange rates of the developing countries? The case of BRICS and Turkey
by Hakan Yildirim & Saffet Akdag & Andrew Adewale Alola - 262-276 The impact of real exchange rates on real stock prices
by Hock Tsen Wong - 294-312 Return and volatility spillover between India and leading Asian and global equity markets: an empirical analysis
by Aswini Kumar Mishra & Saksham Agrawal & Jash Ashish Patwa
March 2022, Volume 27, Issue 54
- 344-363 Pakistan: a study of market's returns and anomalies
by Sana Tauseef & Philippe Dupuy
June 2022, Volume 27, Issue 54
- 277-293 Economic policy uncertainty of China and investment opportunities: a tale of ASEAN stock markets
by Hassanudin Mohd Thas Thaker & Mohamed Asmy Mohd Thas Thaker & Muhammad Rizky Prima Sakti & Imtiaz Sifat & Anwar Allah Pitchay & Hafezali Iqbal Hussain
April 2022, Volume 27, Issue 54
- 231-246 Determination of the world stock indices' co-movements by association rule mining
by Burcu Kartal & Mehmet Fatih Sert & Melih Kutlu - 313-327 Testing the market efficiency in Indian stock market: evidence from Bombay Stock Exchange broad market indices
by Rajesh Elangovan & Francis Gnanasekar Irudayasamy & Satyanarayana Parayitam
October 2022, Volume 27, Issue 54
- 376-393 Financial fragility and financial stress during the COVID-19 crisis: evidence from Colombian households
by Raúl Armando Cardona-Montoya & Vivian Cruz & Samuel Arturo Mongrut
February 2022, Volume 27, Issue 53
- 52-67 Health expenditures (total, public and private) and per capita income in the BRICS+T: panel bootstrap causality analysis
by Şerif Canbay & Mustafa Kırca - 86-104 Credit rating announcement and bond liquidity: the case of emerging bond markets
by Amir Saadaoui & Anis Elammari & Mohamed Kriaa - 105-123 Macroeconomic determinants of fiscal policy in East Africa: a panel causality analysis
by Joseph Mawejje & Nicholas M. Odhiambo - 154-174 Benford's law for integrity tests of high-volume databases: a case study of internal audit in a state-owned enterprise
by Héctor Rubén Morales & Marcela Porporato & Nicolas Epelbaum - 175-194 Pemex: oil price and financial management in the context of elevated fiscal burden
by Angélica Tacuba
March 2022, Volume 27, Issue 53
- 6-33 Using single impact metrics to assess research in business and economics: why institutions should use multi-criteria systems for assessing research
by Sergio Olavarrieta - 34-51 Reassessing the feasibility of adopting dollarization in Latin America
by León Padilla - 68-85 Impact of financial stress in advanced and emerging economies
by Flavio César Valerio Roncagliolo & Ricardo Norberto Villamonte Blas - 139-153 Impact of internal remittance on households' use of bank services: evidence from Vietnam
by Thu Thi Hoai Nguyen & Hung Manh Le & Le Quoc Hoi & Hang Thu Pham
November 2021, Volume 27, Issue 53
- 124-138 Do public and internal debt cause income inequality? Evidence from Kenya
by Wilkista Lore Obiero & Seher Gülşah Topuz
November 2021, Volume 26, Issue 52
- 197-221 Value-at-risk predictive performance: a comparison between the CaViaR and GARCH models for the MILA and ASEAN-5 stock markets
by Ramona Serrano Bautista & José Antonio Núñez Mora - 317-332 Capital structure, stock exchanges in Chile: 2007 to 2016
by Marcelo Rabelo Henrique & Sandro Braz Silva & Antonio Saporito - 358-375 The impact of customer performance on IMC outcomes: firm size moderation in the inter-country context
by Vera Butkouskaya & Joan Llonch-Andreu & María-del-Carmen Alarcón-del-Amo
September 2021, Volume 26, Issue 52
- 282-299 Quadrinomial trees with stochastic volatility to value real options
by Freddy H. Marín-Sánchez & Julián A. Pareja-Vasseur & Diego Manzur
August 2021, Volume 26, Issue 52
- 182-196 The effectiveness of risk management system and firm performance in the European context
by Louai Ghazieh & Nadia Chebana - 222-236 Deviations from fundamental value and future closed-end country fund returns
by Luis Berggrun & Emilio Cardona & Edmundo Lizarzaburu - 237-251 Linkages between gold and Latin American equity markets: portfolio implications
by Imran Yousaf & Hasan Hanif & Shoaib Ali & Syed Moudud-Ul-Huq - 252-267 The effect of macroeconomic variables on the robustness of the traditional Fama–French model. A study for Mexico using different portfolios
by Eduardo Saucedo & Jorge González - 268-281 Artificial intelligence applied to investment in variable income through the MACD (moving average convergence/divergence) indicator
by Alberto Antonio Agudelo Aguirre & Néstor Darío Duque Méndez & Ricardo Alfredo Rojas Medina - 300-316 Factors driving IPO variability: evidence from Pakistan stock exchange
by Waqas Mehmood & Rasidah Mohd-Rashid & Chui Zi Ong & Yasir Abdullah Abbas - 333-357 CEO turnover in public and private organizations: analysis of the relevance of different performance horizons
by Esteban Lafuente & Miguel Á. García-Cestona - 376-389 The impact of economic growth, trade openness and manufacturing on CO2 emissions in India: an autoregressive distributive lag (ARDL) bounds test approach
by Yaswanth Karedla & Rohit Mishra & Nikunj Patel - 390-399 The use of the mobile phone in the rural zones of Peru
by Jubitza Mariana Franciskovic & Francesc Miralles
May 2021, Volume 26, Issue 51
- 112-126 The impact of rating classifications on stock prices of Brazilian companies
by Fernanda Pagin & Matheus da Costa Gomes & Rafael Moreira Antônio & Tabajara Pimenta Júnior & Luiz Eduardo Gaio - 143-159 Innovation and patents as a business success factor
by Youseline Garavito Hernández & Javier Francisco Rueda Galvis - 160-174 Ethnic diverse and financing choices affecting of business survival: a case study of New Zealand small- and medium-sized enterprises
by Geeta Duppati & Frank Scrimgeour & Surachai Chancharat & Ploypailin Kijkasiwat
July 2021, Volume 26, Issue 51
- 41-60 Financial system specialization and private research and development expenditure: research for OECD countries
by Edgard Alberto Méndez-Morales & Carlos Andrés Yanes-Guerra
June 2021, Volume 26, Issue 51
- 7-21 IFRS adoption and firms’ opacity around the world: what factors affect this relationship?
by Samuel Mongrut & Manuel Tello Marín & Maria del Carmen Torres Postigo & Darcy Fuenzalida O’Shee - 22-40 Institutional quality and risk in the banking system
by Nguyen Phuc Canh & Christophe Schinckus & Thanh Dinh Su & Felicia Hui Ling Chong - 61-76 Pensionable age vs cross-country diversity of economic activity of the near-elderly
by Filip Chybalski - 77-93 Relationship between cash holdings and expected equity returns: evidence from Pacific alliance countries
by Judith Vergara Garavito & Sergio J. Chión - 94-111 Portfolio performance under tracking error and benchmark volatility constraints
by Jan Frederick Hausner & Gary van Vuuren - 127-142 The impacts of intellectual capital on financial performance and value-added of the production evidence from Chile
by Christian Acuña-Opazo & Oscar Contreras González
April 2020, Volume 25, Issue 50
- 205-219 Mediation effect of psychological contract between personality dimensions and turnover intention
by Maryam Saeed - 395-412 Causality and dynamic relationships between exchange rate and stock market indices in BRICS countries
by Mourad Mroua & Lotfi Trabelsi - 413-424 Boardroom female participation, intellectual capital efficiency and firm performance in developing countries
by Wakeel Atanda Isola & Bosede Ngozi Adeleye & Aminat Olayinka Olohunlana
May 2020, Volume 25, Issue 50
- 221-238 The role of natural resources in economic growth: new evidence from Pakistan
by Aiza Shabbir & Shazia Kousar & Farzana Kousar - 239-259 OPEC news and predictability of energy futures returns and volatility: evidence from a conditional quantile regression
by Abdelkader Derbali & Shan Wu & Lamia Jamel - 261-278 Financial literacy and behavioural biases of individual investors: empirical evidence of Pakistan stock exchange
by Nosheen Rasool & Safi Ullah - 279-294 Impact of gold and oil prices on the stock market in Pakistan
by Aiza Shabbir & Shazia Kousar & Syeda Azra Batool - 321-337 Hybrid cluster analysis of customer segmentation of sea transportation users
by Bambang Eka Cahyana & Umar Nimran & Hamidah Nayati Utami & Mohammad Iqbal
July 2020, Volume 25, Issue 50
- 185-204 External debt and growth: role of stable macroeconomic policies
by Sima Rani Dey & Mohammad Tareque - 363-393 Identifying fiscal inflation in India: some recent evidence from an asymmetric approach
by Javed Ahmad Bhat & Naresh Kumar Sharma
June 2020, Volume 25, Issue 50
- 295-319 Intra-banking competition in Ecuador: new evidence using panel data approach
by Javier Solano & Segundo Camino-Mogro & Grace Armijos-Bravo - 339-362 Examining the differential impact of monetary policy in India: a policy simulation approach
by Sajad Ahmad Bhat & Bandi Kamaiah & Debashis Acharya
May 2020, Volume 25, Issue 49
- 89-100 An introduction to pensionomics
by Mario Arturo Ruiz Estrada & Evangelos Koutronas
April 2020, Volume 25, Issue 49
- 45-60 Investigation of optimal inflation targets for 15 major oil exporting Sub-Saharan African countries
by Idris Abdullahi Abdulqadir & Soo Y. Chua & Saidatulakmal Mohd - 61-72 Corporate governance and business innovation among listed Moroccan companies
by Zoubida Samlal
March 2020, Volume 25, Issue 49
- 27-43 Dimensions of tax burden: a review on OECD countries
by Ferdi Celikay
April 2019, Volume 25, Issue 49
- 73-88 The mediating role of adoption of an electronic tax system in the relationship between attitude towards electronic tax system and tax compliance
by Sadress Night & Juma Bananuka
March 2019, Volume 25, Issue 49
- 163-180 Generation and distribution of income in Mexico, 1990-2015
by Francisco Javier Ayvar-Campos & José César Lenin Navarro-Chávez & Víctor Giménez
June 2019, Volume 25, Issue 49
- 101-117 Predicting manufacturing employee turnover intentions
by Angie R. Skelton & Deborah Nattress & Rocky J. Dwyer
October 2019, Volume 25, Issue 49
- 119-147 The dynamics of bond market development, stock market development and economic growth
by Rudra P. Pradhan & Mak B. Arvin & Neville R. Norman & Sahar Bahmani - 149-161 The associations between stock prices, inflation rates, interest rates are still persistent
by Tarek Eldomiaty & Yasmeen Saeed & Rasha Hammam & Salma AboulSoud
May 2019, Volume 24, Issue 48
- 221-240 An alternative formula for the constant growth model
by Juan A. Forsyth
April 2019, Volume 24, Issue 48
- 205-220 Does IFRS convergence really increase accounting qualities? Emerging market evidence
by Fuad Fuad & Agung Juliarto & Puji Harto - 241-265 Seasonal anomalies in the market for American depository receipts
by Júlio Lobão - 266-287 Internet financial reporting adoption
by Juma Bananuka & Sadress Night & Muhammed Ngoma & Grace Muganga Najjemba - 312-326 “Fool me once, …”: deception, morality and self-regeneration in decentralized markets
by Orlando Gomes & João Frade
September 2019, Volume 24, Issue 48
- 176-193 Uncertainty under hyperbolic discounting: the cost of untying your hands
by Christian Diego Alcocer & Julián Ortegón & Alejandro Roa - 345-368 Analysing the impact of a business intelligence system and new conceptualizations of system use
by Rolando Gonzales & Jonathan Wareham
June 2019, Volume 24, Issue 48
- 327-344 Financial performance trends of United States Hockey Inc: a resource-dependency approach
by Peter Omondi-Ochieng
January 2019, Volume 24, Issue 47
- 29-46 Impact of information and communication technology in Nigerian small-to medium-sized enterprises
by Kessington Okundaye & Susan K. Fan & Rocky J. Dwyer - 47-65 Should banks be averse to elections? A GMM analysis of recent elections in Ghana
by Mohammed Yaw Broni & Mosharrof Hosen & Hardi Nyagsi Mohammed & Ganiyatu Tiamiyu - 145-156 Foreign direct investment and institutional stability: who drives whom?
by Nihal Mahmood & Mohammad Hassan Shakil & Ishaq Mustapha Akinlaso & Mashiyat Tasnia
March 2019, Volume 24, Issue 47
- 97-112 Determinants of innovation
by Jorge Aníbal Restrepo-Morales & Osmar Leandro Loaiza & Juan Gabriel Vanegas - 127-144 The relationship between the income and behavioural biases
by Renu Isidore R. & Christie P. - 157-170 Personal bankruptcy prediction using decision tree model
by Sharifah Heryati Syed Nor & Shafinar Ismail & Bee Wah Yap
February 2019, Volume 24, Issue 47
- 66-81 Return and volatility spillover across equity markets between China and Southeast Asian countries
by Ngo Thai Hung - 82-96 Co-authorship networks of Argentine economists
by Juan M.C. Larrosa - 113-126 Financial development and economic growth: panel evidence from BRICS
by Biplab Kumar Guru & Inder Sekhar Yadav
April 2019, Volume 24, Issue 47
October 2018, Volume 25, Issue 50
- 425-449 Environmental determinants of destination competitiveness and its Tourism Attractions-Basics-Context, A-B-C, indicators
by Lalita A. Manrai & Ajay K. Manrai & Stefanie Friedeborn - 451-478 Loss aversion, overconfidence of investors and their impact on market performance evidence from the US stock markets
by Ahmed Bouteska & Boutheina Regaieg
March 2018, Volume 25, Issue 49
- 5-25 Model for assessing the quality of marketing-management education
by Jaime Rivera & Víctor Alarcón
October 2018, Volume 24, Issue 48
- 194-204 Fractional differencing in stock market price and online presence of global tourist corporations
by Francisco Flores-Muñoz & Alberto Javier Báez-García & Josué Gutiérrez-Barroso - 288-311 The impact of transaction costs in portfolio optimization
by Luc Chavalle & Luis Chavez-Bedoya
November 2018, Volume 23, Issue 46
- 199-229 Bank risk and performance in an emerging market setting: the case of Bangladesh
by Md. Tofael Hossain Majumder & Xiaojing Li
October 2018, Volume 23, Issue 46
- 230-246 Employment and labour hoarding: a production function approach
by Melchior Vella - 247-265 Microfinancing, governance, and performance: a South Asian perspective
by Asif Saeed & Attiya Y. Javed & Umara Noreen - 266-288 Size premium, value premium and market timing: evidence from an emerging economy
by Syed Haroon Rashid & Mohsin Sadaqat & Khalil Jebran & Zulfiqar Ali Memon - 289-305 The effect of ownership composition on earnings management: evidence for the Mexican stock exchange
by Juan Manuel San Martin Reyna - 306-322 The impact of monetary policy on Islamic bank financing: bank-level evidence from Malaysia
by Muhamed Zulkhibri
May 2018, Volume 23, Issue 45
- 128-137 La cuarta hélice y la financiación de la innovación
by Jaime Sierra - 138-149 The influence of knowledge related to innovative performance
by Juan Carlos Leiva & Ronald Brenes-Sanchez - 150-166 Social power of preadolescent children on influence in their mothers’ purchasing behavior
by Miriam Carrillo & Alicia Gonzalez-Sparks & Nestor U. Salcedo - 167-181 Earnings managementpara evitar reportar pérdidas: Chile, 2010-2014
by Edinson Edgardo Cornejo-Saavedra - 182-195 A bibliometric analysis of venture capital research
by Christian A. Cancino & Jose M. Merigo & Juan P. Torres & David Diaz
March 2018, Volume 23, Issue 44
- 113-124 Effects of institutional quality and the development of the banking system on corporate debt
by Alvaro Edmundo Tresierra & Sergio David Reyes
February 2018, Volume 23, Issue 44
- 4-28 Determinantes y pronóstico de la actividad bursátil del mercado accionario colombiano
by David Agudelo & Diego A. Agudelo & Julián Peláez - 29-59 Estrategias competitivas y gestión deportiva
by Julio Quispe & Jaime Rivera - 60-76 Is gold a hedge or a safe haven? An application of ARDL approach
by Mohammad Hassan Shakil & Is’haq Muhammad Mustapha & Mashiyat Tasnia & Buerhan Saiti - 77-94 Is the health care price inflation in US urban areas stationary?
by Vasudeva Murthy & Albert Okunade
April 2018, Volume 23, Issue 44
- 95-112 Modeling and forecasting abnormal stock returns using the nonlinear Gray Bernoulli model
by Bahar Doryab & Mahdi Salehi
November 2017, Volume 22, Issue 43
- 131-153 Efectos de la realización de un megaevento deportivo sobre una economía local. El caso de los Juegos Mundiales 2013 Cali
by Luis F. Aguado & Ana M. Osorio & Alexei Arbona & Jesús C. Peña-Vinces - 154-167 Liderazgo orientado a la gente encall centers
by Federico R. León & Oswaldo Morales & Juan D. Ramos & Álvaro Goyenechea & Paul A. Rojas & José Meza & Andrés Burga-León - 168-190 The financial services industry and society
by Noel Murray & Ajay K. Manrai & Lalita Ajay Manrai - 191-206 The role of liquidity in asset pricing: the special case of the Portuguese Stock Market
by María del Mar Miralles-Quirós & José Luis Miralles-Quirós & Celia Oliveira - 207-223 The use of the recognition heuristic as an investment strategy in European stock markets
by Júlio Lobão & Luís Pacheco & Carlos Pereira - 224-250 The valuation performance of mathematically-optimised, equity-based composite multiples
by Soon Nel & Niël le Roux
June 2017, Volume 22, Issue 42
- 3-24 Using a naive Bayesian classifier methodology for loan risk assessment
by Aida Krichene - 25-36 The short-term response of the Hispanic noncitizen population to anti-illegal immigration legislation
by Gonzalo E. Sánchez - 37-50 Dependencia serial de largo plazo en el índice bursátil chileno, a través del coeficiente de Hurst y Hurst ajustado
by Christian Acuña-Opazo & Alejandro Álvarez-Marín - 51-74 Capital structure management differences in Latin American and US firms after 2008 crisis
by Santiago Valcacer Rodrigues & Heber José de Moura & David Ferreira Lopes Santos & Vinicius Amorim Sobreiro - 75-98 Does more energy consumption support economic growth in net energy-importing countries?
by Ömer Esen & Metin Bayrak - 99-128 A behavioral analysis of the volatility of interbank interest rates in developed and emerging countries
by Nara Rossetti & Marcelo Seido Nagano & Jorge Luis Faria Meirelles