Content
May 2018, Volume 10, Issue 5
- 197-211 Investigation of Co-Integration between Standard and Poor Index and Dow Jones Index in the New York Financial Market
by Ateyah Alawneh - 212-220 The Causality between Stock Market Development and Economic Growth: Econometric Evidence from Bangladesh
by Abdullahil Mamun & Mohammad Hasmat Ali & Nazamul Hoque & Md Masrurul Mowla & Shahanara Basher - 221-230 Impact of Systemic Risks on Islamic Banks Performance
by Bader Mustafa Al-Sharif - 231-241 Bank Loan Financing Decisions of Small and Medium-Sized Enterprises: The Significance of Owner/Managers¡¯ Behaviours
by Forbeneh Agha Jude & Ntieche Adamou - 242-253 Income Inequality and Economic Growth: An Analysis Using a Panel Data
by Mohamed Bouincha & Mohamed Karim - 254-260 Capturing Profitability in Asset Pricing Models for Japanese Equities 1994-2016
by Dong Liu & Hiroshi Yadohisa
April 2018, Volume 10, Issue 4
- 1-14 A Markov Regime-Switching Model with Time-Varying Transition Probabilities for Identifying Asset Price Bubbles
by Matthew L. Higgins & Frank Ofori-Acheampong - 15-24 Speed of Reversion to PPP with Structural Breaks for Brazilian Cities
by Felipe S. Bastos & Elano F. Arruda & Rafael B. Barbosa & Roberto T. Ferreira - 25-32 Testing for Asymmetric Central Bank Preferences
by Felix S. Nyumuah - 33-50 Board Size, Crisis, and Firm Performance: Evidence from Banks
by Uri Ben Zion & Garen Markarian - 51-61 Effectiveness of Poverty Reduction Program with Value Added Creation in Agribusiness Sector and Formulation of Strategic Plan and Policies
by Tien Yustini - 62-71 A Structural Equation Model for Analyzing the Impact of Strategic Management Accounting Techniques on Quality of Financial Information
by Mohanad Fayiz Saleem AL-Dweikat & Mohmoud Ibrahim Nour - 72-83 An Empirical Analysis of the Monetary Transmission Mechanism of Developing Economies: Evidence from Ghana
by Felix S. Nyumuah - 84-94 Dividend Policy in Tunisia: A Signalling Approach
by Taleb Lotfi - 95-100 The Announcement of Unconventional Monetary Policy and the Exit Risk in the European Monetary Union
by Paolo Canofari & Alessandra Marcelletti & Giovanni Piersanti - 101-111 The Impact of Securities Margin Trading on Chinese Stock Market
by Shaozhen Chen & Liang Su & Li Lin & Chaoqun Zhou & Haohui Lin - 112-122 Demographic Factors Affecting U.S. Households¡¯ Investment in Stocks
by Binod Guragai & S. Drew Peabody - 123-135 Bank-Based Financial Development and Economic Growth: Time-Varying Causality Analysis for Egypt
by Amira Akl Ahmed - 136-145 The Effect of Financial Record Keeping on Financial Performance of Development Groups in Rural Areas of Western Uganda
by Lawrence Collins Kihamaiso Mwebesa & Catherine Kansiime & Benon B. Asiimwe & Paddy Mugambe & Innocent B. Rwego - 146-153 The Effect of Accounting and Market Indicators on Predicting the Stock Prices for Jordanian Banks: An Econometric Study for the Period (2010-2015)
by Suleiman Daood Al-Oshaibat & Sufian Radwan Al-Manaseer - 154-170 An Examination of the Benefits of Factor Investing in U.K. Stock Returns
by Jonathan Fletcher - 171-178 The Impact of Corporate Governance on Auditor¡¯s Independence and Audit Fees: An Empirical Study of Jordanian Insurance Companies Listed on Amman Stock Exchange
by Mohyedin Hamza - 179-190 Diagnosing Housing Bubbles across Rich Countries
by Akhter Faroque & Stanley A. Koren - 191-205 The Response of G7 Real Exchange Rates to Oil Price Shocks
by Moayad H. Al Rasasi
March 2018, Volume 10, Issue 3
- 1-29 The Contribution of African Capital Markets in the Diversification of European Investment Portfolios
by Alexandrino Tavares Barreto - 30-35 An Empirical Analysis of the Monetary Policy Reaction Function
by Felix S. Nyumuah - 36-46 Disadvantages and Motivation of Consolidated Financial Statements Preparation in Vietnam
by Phi Thi Diem Hong & Vu Thi Kim Anh & Manh Dung Tran - 47-55 Capital Account Liberalization and Financial Stability: An Application of the Finite Distributed Lag Model
by Joseph Stevy Mba Ollo - 56-69 The Impacts of Interest Rate and Exchange Rate Volatilities on the Demand for Money in Developing Economies
by Felix S. Nyumuah - 70-82 When is the Spirit of Capitalism Effective for Economic Development?
by Shiro Kuwahara - 83-92 Currency Crises and Growth
by Arafet Hamida - 93-108 Centralization, Decentralization and Incentive Problems in Eurozone Financial Governance: A Contract Theory Analysis
by Yutaka Suzuki - 109-119 Does Foreign Direct Investment Lead to Economic Growth? Evidences from Asian Developing Countries
by Najaf Ali & Ye Mingque - 120-132 Why Have Americans Changed Their Minds about Premarital Sex?
by George R. G. Clarke - 133-158 Global Outlook for 2018: Economy, Finance, and Monetary, with a Particular Case Study of Taiwan
by Shyi-Min Lu - 159-167 The Profits from Weapons and Troops in Iraq War 2003: The Real Reason for the World Financial Crises 2008
by Momtchil Dobrev-Halachev & Mariola Garibova - 168-180 Acquisition of Environmental Awareness: The Interplay with Institutional Development
by Janna Smirnova - 181-195 Financial Inclusion, GDP and Credit Risk of Commercial Banks in Kenya
by Salome Musau & Stephen Muathe & Lucy Mwangi - 196-204 Crime and Discrimination in the Labor Market: An Empirical Approach
by Adolfo Sachsida & Mario J. C. Mendonca & Paulo R. A. Loureiro & Antonio Nascimento Junior & Roberto Ellery & Tito Belchior Silva Moreira - 205-214 The Gini Coefficient: An Application to Greece
by Augustine C. Arize & Paraskevas Bakarezos & Ioannis N. Kallianiotis & John Malindretos & John Phelan - 215-226 Impact of Corporate Governance on Value Creation and Corporate Productivity: Evidence from Tunisian Context
by Rim Ayari & Boutheina Regaieg
February 2018, Volume 10, Issue 2
- 1-9 Empirical Information on the Small Size Effect Bias Relative to the False Positive Rejection Error for Benford Test-Screening
by Yan Bao & Chuo-Hsuan Lee & Frank Heilig & Edward J. Lusk - 10-13 Examining the Efficiency of American Put Option Pricing by Monte Carlo Methods with Variance Reduction
by George Chang - 14-19 Spillovers of US Conventional and Unconventional Monetary Policies to Russian Financial Markets
by Shigeki Ono - 20-27 Disclosure of Financial Statements and Its Effect on Investor¡¯s Decision Making in Jordanian Commercial Banks
by Isam Saleh & Nawaf Alghusain - 28-34 Impact of Macroeconomic Variables on Karachi Stock Market Returns
by Javed Pervaiz & Junaid Masih & Teng Jian-Zhou - 35-47 The Relationship between RMB Exchange Rate and Chinese Trade Balance: Evidence from a Bootstrap Rolling Window Approach
by Junaid Masih & Dongsheng Liu & Javed Pervaiz - 48-56 Factors Affecting the Audit Delay and Its Impact on Abnormal Return in Indonesia Stock Exchange
by Syarifa Yunindiah Lestari & Muhammad Nuryatno - 57-66 The Role of Internal Control Components on Financing Activities in Jordan Islamic Bank (North Region)
by Hani Ali Aref Al-Rawashdeh - 67-81 Long Run Relationship between Selected Macroeconomic Indicators and Banking Sector in Pakistan
by Javed Pervaiz & Teng Jian-Zhou & Junaid Masih - 82-94 Does Electronic Banking Really Improve Bank Performance? Evidence in China
by Shaohua Yang & Zeyun Li & Yaxin Ma & Xingxing Chen - 95-101 Economic Contribution in the Management of Solid Waste Policy Processing Water on Improvement of Fish Processing Revenues
by Marnis & Syahrul & Fitri & Rovanita Rama - 102-107 A Comparison of the Current Account and the Monetary Theories of Exchange Rate Determination
by Augustine C. Arize & Ioannis N. Kallianiotis & John Malindretos & Alex Panayides & Demetri Tsanacas - 108-123 Digital Currency Risk
by Scott Gilbert & Hio Loi - 124-132 An Empirical Study of Taiwan¡¯s Real Business Cycle
by Kuo-Hsuan Chin & Tzu-Yun Huang - 133-141 An Econometric Analysis of Inflation and Unemployment in Lebanon: A Vector Error Correction Model (VECM)
by Mohammad Khanssa & Wafaa Nasser & Abbas Mourad - 142-149 The Real Reasons for the Financial Crise in Greece Based on the Lord Momchil Dobrev-Halachev¡¯s ¡°Theory of Generate of Crises¡± and the Lord Momtchil Dobrev Halachev¡¯s ¡°Theory of Mafia¡±
by Momtchil Dobrev-Halachev & Mariola Garibova - 150-160 Efficient Market Hypothesis and the RMB-Dollar Rates: A Nonlinear Modeling of the Exchange Rate
by Hongxing Yao & Abdul Rashid Abdul Rahaman - 161-168 Nonlinear Alleviation of Edge Effects in the Context of Minimizing Prediction Errors
by Monika Hadas-Dyduch - 169-178 The Study of Monetary Policy Instruments and Implementation Challenge in Laos
by Maliny Sourigna & Shuzhen Zhu & Atsara Chanthavieng
January 2018, Volume 10, Issue 1
- 1-12 Identification of the Long-Run Determinants of U.S.-Canada Softwood Lumber Trade
by Zara Liaqat & Xinya Wang - 13-22 The Liquidity of Bitcoin
by Hio Loi - 23-31 Employee Benefits Accounting, Its Impact on the Market Share Price, the Volume of Credit Facilities and Deposits
by Mohammad Hamdan & Marie Bany Khaled & Sakhr Bany Khaled - 32-45 Factors Affecting the Implementation of Good Corporate Governance in Control of Operation and Finance
by Hadi Sugiyanto & Aminullah Assagaf - 46-63 A Revisit of the Cross-Section of Overnight and Intraday Abnormal Returns: Evidence from the Japanese REIT Market
by Jieting Chen & Yuichiro Kawaguchi - 64-73 Intergenerational Transmission of Authoritative Parenting Style: Evidence from Japan
by Lin Zhang & Shinsuke Ikeda - 74-92 The Choice of Interest Rate Models and Its Effect on Bank Capital Requirements Regulation and Financial Stability
by Sebastian Lang & Reto Signer & Klaus Spremann - 93-109 Differences in Risk Tolerance and Asset Allocation among White, Black, and Hispanic Households in the United States
by Takanori Hisada - 110-119 The Impact of Imports and Exports Performance on the Economic Growth of Somalia
by Ali Abdulkadir Ali & Ali Yassin Sheikh Ali & Mohamed Saney Dalmar - 120-128 Use of CAMEL Rating Framework: A Comparative Performance Evaluation of Selected Bangladeshi Private Commercial Banks
by Md. Zahidur Rahman & Md. Shohidul Islam - 129-139 Moderating Effect of Political Risk on the Relationship between Capital Expenditure and Sectoral Economic Growth in Kenya
by Brenda Molonko & Samuel Nathaniel Ampah - 140-147 Factors that Influence the Rate of Unemployment in Indonesia
by Erna A. R. Puspadjuita - 148-158 China-Pakistan Economic Corridor Agreement: Impact on Shareholders of Pakistani Firms
by WaQar I. Ghani & Rajneesh Sharma - 159-166 January Effect Revisited: Evidence from Borsa Istanbul and Bucharest Stock Exchange
by Serkan Sahin & Emre Esat Topaloglu & Ilhan Ege - 167-176 A Canonical Analysis on the Relationship between Banking Sector and Stock Market Development in Bangladesh
by Suman Biswas & Altaf Hossain & Arnab Kumar Podder & Md. Nasif Hossain - 177-190 Financial Constraints and Firm Capital Structure in Kenya
by Benard Kipyegon Kirui & Seth Omondi Gor - 191-203 Factors Affecting Consumer Attitude towards Financial Adverts in Ghana¡¯s Banking Industry
by Mbawuni Joseph & Nimako Gyasi Simon - 204-212 A Panel Data Analysis of Jordan¡¯s Foreign Trade: The Gravity Model Approach
by Ziad Mohammed Abu-Lila - 213-219 Empirical Study of Relationship between Money Supply and Inflation Based on Data from New Standardised Reporting Format
by Satrugan Sinah - 220-232 Relative Effectiveness of Monetary and Fiscal Policies on Output Stabilization in Developing Countries: Evidence from Rwanda
by Kabanda Richard & Peter W. Muriu & Benjamin Maturu - 233-243 The Role of Forensic Accounting in Limiting Tax Evasion in the Jordanian Public Industrial Shareholding Companies through the Perspective of Jordanian Auditors
by Mohammad Enizan Al-Sharairi
December 2017, Volume 9, Issue 12
- 1-12 Green Entrepreneurship & Corporate Social Responsibility: Comparative and Correlative Performance Analysis
by Vasiliki A. Basdekidou - 13-23 Open Market Repurchase Programs - Evidence from Finland
by Kenneth Hogholm & Victor Hogholm - 24-31 The Impact of Applying Time Driven Activity-Based Costing on Improving the Efficiency of Performance in Jordanian Industrial Corporations: A Survey Study
by Nabil Bashir Al-Halabi & Yazan Mjahed Al-Mnadheh - 32-43 Evaluating the Dimensions of Service Levels in Chain Hotels: From the Perspective of Top and Middle Managements (An Empirical Study in Jordan)
by Hameed Aldebi & Nafez Nimer Hassan Ali & Sadik Hussein Abdulhassan - 44-53 Estimating the Optimal Time for a Road Concession Contract in Brazil
by Douglas Pivatto & Rodrigo Nobre Fernandez & Helton Saulo & Andre Carraro - 54-70 An S-Shaped Crude Oil Price Return-Implied Volatility Relation: Parametric and Nonparametric Estimations
by Julio Cesar Araujo da Silva Junior - 71-76 Machine Learning in Macro-Economic Series Forecasting
by Yun Liao - 77-85 The SEC Disclosure Requirement and Directors¡¯ Turnover Around Stock Repurchase
by Foued Hamouda & Jamel Eddine Henchiri - 86-100 Productivity, Competitiveness, and Territories of the Italian Medium-Sized Companies
by Fulvio Coltorti & Daniela Venanzi - 101-115 Conflicts of Interest in Financial Distress: The Role of Employees
by Wenchien Liu - 116-125 Optimize the Role of Commitment of Employees in Improving Accountability Office Report on Local Government Budget
by Siti Istikhoroh & Yuni Sukamdani - 126-133 VPIN and the China¡¯s Circuit-Breaker
by Yameng Zheng - 134-152 Assessing the Human Capital Emergence, Performance and Effectiveness in a Brazilian Retail Bank
by Pedro Paulo Carbone & Tito Belchior Silva Moreira & Osvaldo Candido - 153-161 Financial Distress Risk and Momentum Effects: Evidence from China¡¯s Stock Market
by Qian Wang - 162-167 The Critical Success Factors Influencing the Quality of Accounting Information Systems and the Expected Performance
by Omran Ahmad Mohammad Al-Ibbini - 168-174 Factors Affecting Derivatives Use for Life Insurance Companies
by Park Kwang Hee & Woon Kyung Song - 175-179 The Extent of Using Capital Budgeting Techniques in Evaluating Manager¡¯s Investments Projects Decisions (A Case Study on Jordanian Industrial Companies)
by Osama Samih Shaban & Ziad Al-Zubi & Ahmad Adel Abdallah - 180-194 Dynamic and Volatility of World Agricultural Market Prices: Impacts on Importations and Food Security in WAEMU
by Baoubadi Atozou & Koffi Akakpo - 195-201 Zakah Organization as the Fourth Sector
by Cahyo Budi Santoso - 202-214 Consequences of HIV Infection on Household Assets and Human Capital Investment in Uganda: Micro Evidence
by Buyinza Faisal & Teera Joweria & Bateganya Fred Henry - 215-228 The On-Going Price of Perceiving Money as a Veil
by Emir Phillips - 229-235 Impact of Modarabah Dealer by Effort Value Accounting on Islamic Bank Financial Statements
by Abdullah Ibrahim Nazal & Fuad Al-Fasfus - 236-248 Effect of Exports on the Economic Growth of Brazilian Microregions: An Analysis with Geographically Weighted Regression
by Augusta Pelinski Raiher & Alysson Luiz Stege & Alex Sander Souza do Carmo - 249-252 Performance Evaluation of the Jordanian Commercial Banks Based on Bankometer Parameters
by Tawfiq Ahmad Mousa - 253-259 Sustainability of Current Account Deficit in Turkey and an Ampirical Analysys for Unit Root Test with Two Structural Breaks
by Gulgun Cigdem - 260-277 Evaluating Economic Mobility under Opportunity Egalitarianism
by Antonio Abatemarco - 278-290 The Moderating Role of Staff Efficiency in the Relationship between Bank¡¯s Specific Variables and Liquidity Risk in Islamic Banks of Gulf Cooperation Council (GCC) Countries
by Ghanim Shamas & Zairani Zainol & Zairy Zainol
November 2017, Volume 9, Issue 11
- 1-9 Non-Linear Analysis of the Fisher Effect: In the Case of Japan
by Katsuhiro Sugita - 10-21 Financing Ecological Environment, Financing Capacity and R&D Investment: An Empirical Study on Listed Companies of New Material Industry in China
by Wen Xiong & Chengxuan Geng - 22-34 Ghana¡¯s Path to an Industrial¨CLed Growth: The Role of Decentralisation Policies
by Ama P. Fenny - 35-47 Effect of Exchange Rate Returns on Equity Prices: Evidence from South Africa and Nigeria
by Jibrin Daggash & Terfa W. Abraham - 48-63 Loan Loss Provisions, Income Smooth, Signaling, Capital Management and Pro-Cyclicality: Empirical Evidence from Mozambique¡¯s Commercial Banks
by Tito Tomas Siueia & Jianling Wang - 64-72 The Analysis of China¡¯s Grain Output Fluctuation Based on EMD
by Qiting Chen & Meng Wang - 73-81 The Impact of Applying the Accounting Disclosure in Accordance with the IFRS on Increasing Profitability in Listed Banks: An Analytical Study
by Nabil Bashir Al-Halabi - 82-91 Price Rigidity and Wage Rigidity: Market Failure or Market Efficiency
by Chao Chiung Ting - 92-99 The Impact of Environmental Regulations, Corruption and Economic Freedom on Economic Growth: Empirical Evidence from China
by Najla Shariff Omar Al Baiti & Navaz Naghavi & Benjamin Chan Yin Fah - 100-108 Stock Market Prediction Performance of Neural Networks: A Literature Review
by Ozgur Ican & Taha Bugra Celik - 109-117 The Determinants of Unemployment Rate in Jordan: A Multivariate Approach
by Mohammad Ibrahim Malawi Alrabba - 118-127 A Comparative Analysis on the Wealth Effect between in the Stock Market and in the Housing Market in China
by Lin Liu & Kai Shi - 128-136 Modeling Long-Run and Short-Run Dynamics of Foreign Direct Investment on the Manufacturing Sector Growth in Nigeria: The ARDL Bound Testing Approach
by NseAbasi Imoh Etukafia & Ntiedo Bassey Ekpo & Ikenna Elias Asogwa - 137-152 Factors Affecting International Business of Service Sector Based Indian Public Sector Undertakings: A Preferential Analysis
by Ankur Panwar & Amarjeet Kaur Malhotra - 153-162 Cash to Price Ratio & Stock Returns: Evidence from Emerging Markets
by Nudrat Fatima & Muhammad Waqas & Rameez Hassan & Ahmad Fraz & Muhammad Arif - 163-172 Comparative Analysis of the Stability of Money Demand between C?te d¡¯Ivoire And Ghana: An Application of ARDL Model
by Yao Kouadio Ange-Patrick & Drama Bedi Guy Herve - 173-193 Impact of Taxation on Growth in Sub-Saharan Africa: New Evidence Based on a New Data Set
by Andre Gbato - 194-206 Effectiveness of Monetary Policy Instruments on Economic Growth in Jordan Using Vector Error Correction Model
by Rami Obeid & Bassam Awad - 207-217 The Real Exchange Rate-Foreign Direct Investment Controversy in South Africa: An Application of ARDL Approach
by Ahmed Mohamed Dahir & Fuaziah Mahat & A. N. Bany-Ariffin & Nazrul Hisyam Ab Razak - 218-222 Monetary Policy and Nigeria¡¯s Economy: An Impact Investigation
by Micheal Chidiebere Ekwe & Amah Kalu Ogbonnaya & Cordelia Onyinyechi Omodero - 223-231 Simultaneous Effect of Ownership and Economic Sector on the Performance of Enterprises in Vietnam
by Pham Quang Tin & Pham Kim Ngoc & Nguyen Tran Thuan & Doan Gia Dung
October 2017, Volume 9, Issue 10
- 1-10 The Relationship Between Accounting Information in the Financial Statements and the Stock Returns of Listed Firms in Vietnam Stock Exchange
by Ngoc Hung Dang & Thi Viet Ha Hoang & Manh Dung Tran - 11-20 The Richer the Greener: Evidence from G7 Countries
by Gengnan Chiang & Ming-Yi Wu - 21-29 Capital and Firm Specific Characteristics: An Examination of the Survival of Deposit-Taking Financial Institutions (DFI) in Latin America and the Caribbean during the Financial Crisis
by Twila Mae Logan & Doreen J. Gooden - 30-39 Corporate Social Responsibility Performance & ETF Historical Market Volatility
by Vasiliki A. Basdekidou & Artemis A. Styliadou - 40-45 Hedge Funds and Earnings Momentum
by Daniel T. Lawson - 46-63 Quantity Theory of Money: True or False
by Chao Chiung, Ting - 64-85 Modeling Psychology in Islamic Wealth Management
by Ahmed Hamed Al-Abbadi & Adam Abdullah - 86-94 Land Tax, Justice, and the Unaffordability of Housing: Australian Experience
by Viral U. Pandya & John Tippett - 95-106 Another Look at Portfolio Turnover and Mutual Fund Performance
by Confidence W. Amadi & Felicia Y. Amadi - 107-127 Applicability of Fuzzy TOPSIS Method in Optimal Portfolio Selection and an Application in BIST
by Oguzhan Ece & Ahmet Serhat Uludag - 128-135 Principal-Principal Conflicts and Socioemotional Wealth in Family Firms
by Jason See Toh Seong Kuan & Chin Fei Goh & Owee Kowang Tan & Norliza Mohd Salleh - 136-144 The Effect of Education Expenditure on Per Capita GDP in Developing Countries
by Elizabeth N. Appiah - 145-154 Economic Crisis in Europe: Panel Analysis of Inflation, Unemployment and Gross Domestic Product Growth Rates
by Bibi Rouksar-Dussoyea & Ho Ming-Kang & Raja Rajeswari & Benjamin Chan Yin-Fah - 155-178 A Comparison Study of Copula Models for Europea Financial Index Returns
by Paula V. Tofoli & Flavio A. Ziegelmann & Osvaldo Candido - 179-188 The Intensity of Knowledge Capital Investment in Kenya: Evidence from Manufacturing and Service Sectors
by Simon Ndicu & Lucy Wacuka - 189-199 The Impact of Individual Characteristics and Branch Characteristics on Housing Agent Performance: Heckit model and Hierarchical Linear Modeling
by Chun-Chang Lee - 200-213 The Compatibility of the Services Provided to Students of Accounting Departments in Jordanian Private Universities with the Standards of Academic Quality Assurance in Jordan - A Field Study
by Ali A. Alzoubi & Jamal H. Afeef & Yasser I. Momani & Khaled M. Aldiabat
September 2017, Volume 9, Issue 9
- 1-7 Relationship of Foreign Trade and Economic Growth in Eurasian Economy: Panel Data Analysis
by Nazife Ozge Kilic & Murat Beser - 8-21 The Determinants of Stock Returns in the Emerging Market of Kenya: An Empirical Evidence
by Muinde Patrick Mumo - 22-39 The Joint Arabic Investments Role at Aqaba Special Economic Zone: Marsa Zayed as a Model
by Muinde Patrick Mumo - 40-51 Agency Conflicts, Socioemotional Wealth, and the Debt Maturity Structure of Family Firms: A Critical Analysis
by Oscar Domenichelli - 52-59 What Affects the Relationships between Oil and Industrial Sector? Case of Eurozone
by Melik Kamisli & Serap Kamisli & Fatih Temizel & Ethem Esen - 60-69 Will Rising Debt in China Lead to a Hard Landing?
by Wang Man Cang & Zhou Ming Matt - 70-82 Credit Expansion, Free Cash Flow and Enterprise Investment: An Empirical Study Based on Listed Companies in China
by Nan Zhou & Wai Yan Shum & Sze Nam Chan & Fujun Lai - 83-93 Unemployment and Economic Growth in Saudi Arabia 2000-2015
by Alotaibi Mohamed Meteb - 94-101 A Multitude of Econometric Tests: Forecasting the Dutsch Guilder
by Augustine C. Arize & Ioannis N. Kallianiotis & Ebere Ume Kalu & John Malindretos & Moschos Scoullis - 102-110 The Effect of Risks on Banking Safety: Applied Study on Jordanian Traditional Banks (2005-2016)
by Mohammad Abdel Mohsen Al-Afeef & Atallah Hassan Al-Ta'ani - 111-116 Changes Required in Saudi Universities Curriculum to Meet the Demands of 2030 Vision
by Nadia Yusuf - 117-122 Leveraged Bootstrap Test of Volatility: A Novel Approach to the Energy Consumption and Economic Growth Puzzle
by Kuo-Hao Lee & Jonathan Ohn & Evren Eryilmaz - 123-132 Informed Trading of Futures Markets During the Financial Crisis: Evidence from the VPIN
by Yen-Hsien Lee & Wen-Chien Liu & Chia-Lin Hsieh - 133-136 On Forecasting Taiwanese Stock Index Option Prices: The Role of Implied Volatility Index
by Jying-Nan Wang & Hung-Chun Liu & Lu-Jui Chen - 137-146 The Long Run Effect of Female Work Force Participation on Child Labour
by Soumya Sahin & Ambar Nath Ghosh - 147-156 Human Resource Management and Nudging: An Experimental Analysis on Goal Settings in German Companies
by Mara Grunewald & Andrea Hammermann & Beate Placke - 157-165 The Integration of International Capital Market from Indonesian Investors¡¯ Perspective: Do Integration Still Give Diversification Benefit
by Sabilil Hakimi Amizuar & Anny Ratnawati & Trias Andati - 166-174 Evaluation of Financial Performance of Islamic Banks in Jordan (2001-2010) ¡°A Comparative Study¡±
by Rana M. Airout & Rula M. Airout - 175-181 The Threats of Unsystematic Risks in Jordanian Commercial Banking Sector
by Ghaith N. Al-Eitan & Ismail Y. Yamin - 182-191 Nexuses between Economic Factors and Stock Returns in China
by Muhammad Kamran Khan & Jian-Zhou Teng & Javed Pervaiz & Sunil Kumar Chaudhary
August 2017, Volume 9, Issue 8
- 1-11 World Income Inequality Between and Within Regions: 1820-2008
by Keisuke Kokubun - 12-24 Export Credit Insurance and Export Performance: An Empirical Gravity Analysis for Turkey
by Ali Polat & Mehmet Yesilyaprak - 25-32 Determining the Factors Affecting Capital Structure Decisions of Real Sector Companies Operating in ISE
by Bengu Vuran & Nihat Tas & Burcu Adiloglu - 33-39 Institutional Dimension of Investment Profile, Natural Resources & Foreign Direct Investments: A Case of MENA Oil Producing Countries
by Sahar Hassan Khayat - 40-50 Effects of Interest Rate on Stock Market Returns in Kenya
by Donald A. Otieno & Rose W. Ngugi & Nelson H. W. Wawire - 51-65 A Comparative Analysis of Exchange Rate Pass-Through in China, Eurozone and the U.S.: A Vector Error Correction Model
by Sheng Xu & Hailun Zhang & Said Atri - 66-75 Profitability and Its Determinants in Turkish Manufacturing Industry: Evidence from a Dynamic Panel Model
by Ozcan Isik & Umit Firat Tasgin - 76-87 Antecedents Brand Trust and Private Universities Reputation
by Nur Elfi Husda & Tri Ratnawati & Amiartuti Kusumaningtyas - 88-102 The Competitiveness and Complementarities of Agriculture Trade among ASEAN-5 Countries: An Empirical Analysis
by Mohammed Faiz Shaul Hamid & Mohamed Aslam - 103-110 The Influence of Firm¡¯s Size, Growth, and Profitability on Firm Value with Capital Structure as the Mediator: A Study on the Agricultural Firms Listed in the Indonesian Stock Exchange
by Purwohandoko - 111-117 Do Firms in Polluting Industries Outsource Pollution Abatement Services More? Panel Data Evidence from U.S. Industries
by Meng Sun - 118-126 Using a Balanced Scorecard Approach to Measure Environmental Performance: A Proposed Model
by Inaam M. Al-Zwyalif - 127-137 Economic Growth as Mediation of Regional Own Source Revenue, Investment and Asset Management on Labor Absorption and Social Welfare in Regencies/Cities in Riau Islands Province
by Jontro Simanjuntak & Tri Ratnawati & Nekky Rahmiyati - 138-150 The Impact of Working Capital Components on Firm Value in US Firms
by Joseph Brian Cumbie & John Donnellan - 151-161 Analyzing Costs of Space Debris Removal in Basis of Three Kinds of Methods
by Jialin Wen - 162-178 Volatility and Causality in Strategic Commodities: Characteristics, Myth and Evidence
by Youngho Chang & Zheng Fang & Shigeyuki Hamori - 179-190 Role of Macro-Economics in Minimizing Obstacles to Sustainable Development (Islamic Perspective)
by Ibrahim Mohammad Khrais & Ismail Y. Yamin - 191-203 Factors Influencing Auditor Independence among Listed Companies in Nigeria: Generalized Method of Moments (GMM) Approach
by Mary Kehinde Salawu - 204-211 Long-Run Relationship between Exports and Imports of Pakistan
by Ali Farhan Chaudhry & Abdul Rauf Butt & Muhammad Irfan Chani - 212-220 The Study on the Operating Efficiency of Rural Banks Based on DEA Model: A Case of Jiangsu Province
by Xu Lingjuan & Wang Yanjun & Zhu Huailei - 221-228 Efficient Use of Capital: Paradox of Real Estate and Industry in Turkey
by Ali Hepsen & Mehmet Asici & Olgun Aydin - 229-238 Financial Sector Development and Economic Growth in Bangladesh: A Factor Analysis Based Causality Approach
by Altaf Hossain & Suman Biswas & Md. Nasif Hossain & Arnab Kumar Poddar - 239-248 Global Financial Crisis of Islamic and Conventional Banking in Middle East ¨C A Case Study in Turkey
by Ayman Abdal-Majeed Ahmad Al-Smadi & Mahmoud Khalid Almsafir & Muzamri Bin Mukthar
July 2017, Volume 9, Issue 7
- 1-13 The Leveraged ETF Inefficiency in Trending & Range-Bound Markets: An Application Case Study for a 3x Leveraged Gold Miners ETF
by Vasiliki A. Basdekidou - 14-31 Fitness Landscape and Tax Planning: NK Model for Fiscal Federalism
by Marisa Faggini & Anna Parziale - 32-38 2016 U.S. Presidential Election and Stock Markets in China
by SingRu Hoe & Srinivas Nippani - 39-59 A Canvas of Data & Indian Card Industry
by Shounak Ghosh & Tapomoy Koley - 60-68 Effect of the Asset Quality on the Bank Profitability
by Eyup Kadioglu & Niyazi Telceken & Nurcan Ocal - 69-85 Currency Undervaluation and Economic Growth in Central and Eastern European Countries
by Alina F. Klein & Rudolf F. Klein - 86-98 The Impact of the Global Financial Crisis on the Co-Integration Relationship between Reit and Stock Markets: A Dynamic Co-Integration Approach
by S.Aydin Yuksel & Asli Yuksel & Umit Erol & Hakki Ozturk - 99-105 Exploring the Role of Board Characteristics on Enhancing Financial Performance of Jordanian Listed Companies
by Laith A. Alaryan - 106-113 Quantile Regression for Panel Data: An Empirical Approach for Knowledge Spillovers Endogeneity
by Luigi Aldieri & Concetto Paolo Vinci