Content
January 2017, Volume 8, Issue 1
- 112-125 The Economic Geography of Human Capital in Twentieth-Century Latin America
by Enriqueta Camps & Stanley Engerman - 126-142 The Corporate Response to Government Attacks on Tax Shelters
by Noel P. Brock & Edward J. Schnee & Shane R. Stinson - 143-154 The Determinants of Corporate Cash Holdings: The Case of a Small Emerging Market
by Ghada Tayem - 155-165 Vietnamese Banking System in the Context of ASEAN Financial Integration
by Hao Thi Kim DO & Lan Khanh Chu & Phuong Minh Nguyen - 172-180 Oil Price Fluctuations and Their Impact on Stock Market Returns in Jordan: Evidence from an Asymmetric Cointegration Analysis
by Buthaina M. A. Muhtaseb & Ghazi Al-Assaf - 181-188 Impact of Financial Ratios on Non-Performing Loans of Publicly Traded Commercial Banks in Bangladesh
by Md. Ataur Rahman & Md. Asaduzzaman & Md. Shakhaowat Hossin
October 2016, Volume 7, Issue 5
- 1-6 Is S&P100 Index a Mean-Variance Efficient Portfolio?
by Mohammad G. Robbani & Ajeet Jain - 7-18 R&D Investment and Market Reactions in Non-crisis and Crisis Periods: Evidence from Taiwan
by Shu-Ching Chou & Thanh Long Phan - 19-41 Why Hire a Big 4 Auditor 500 Miles Away?
by Lily Brooks & Michael D. Yu - 42-50 Beta and Size Revisited: Evidence from the French Stock Market
by Bing Xiao - 51-55 On the Systematic Downside Risk Measure: A Note
by Yin-Ching Jan - 56-76 Lecturer¡¯s Working Environment and Teaching Competence in Selected Agricultural Colleges in Vietnam
by Duong Thai Le & Cuong Hung Pham - 77-86 Does Dividend Policy Affect Firm Earnings? Empirical Evidence from Nigeria
by Ifuero Osad Osamwonyi & Iyobosa Lola-Ebueku - 87-98 Assessing Performance of Liquidity Adjusted Value-at-Risk Models
by Vandana Rao Daka & Sankarshan Basu - 99-109 Estimation for Production Factors in World Major Economies
by Yunhong Chen & Qiang Jiang - 110-123 Macroeconomics, Firm-Specific Factors and Stock Liquidity: An Empirical Evidence from Jordan
by Wasfi A. Al Salamat - 124-139 The Critical Success Factors for Implementation of Electric Customer Relationship Management in the Commercial Bank of Viet Nam
by Thuy Van Nguyen & Cuong Hung Pham - 140-145 The Importance of Human Inequalities and Health Care Quality in Life Expectancy of Countries
by Orhan Kandemir - 146-164 Intensive Board Monitoring and Firm Value: An Empirical Analysis in the Context of Saudi Arabia
by Hanan Alhussayen & Ridha Shabou - 165-175 The Determinants of the Choice of Alternative Financing Methods of SMEs in Bank Credit Rationing: Evidence from Cameroon
by Benjamin Yamb & Noe Ndjeck - 176-189 An Empirical Analysis of Volatility Characteristics of Inter-Bank Offered Rate of International Financial Centers
by Maoguo Wu & Xin Luo - 190-202 Internal Mechanisms of Governance and Risk Bearing of Banks: The Case of the CEMAC Zone
by Etienne Fran?ois Eloundou & Doris Mireille Befen Djinja - 203-220 The Relationship between Listing Requirements and Market Quality: An Examination Using NASDAQ¡¯s Tiered Market Structure
by Kevin D. Broom & Jason S. Turner
July 2016, Volume 7, Issue 4
- 1-13 International Parity Relations and Economic Shock: Evidence from Swiss Franc Unpegging
by Hoje Jo & Julian Dixon & Toshi Masubuchi & Manali Parmar & Stuti Rastogi - 14-17 Momentum for Independent versus Group Firms
by Hsiao-Peng Fu - 18-28 Predicting the Volatility of the Russell 3000 Stock Index
by Bing Xiao - 29-32 Faith Based Investing (FBI) Fund Performance: Luck or Skill?
by Praveen Das & S. P. Uma Rao - 33-43 Impact of Foreign Direct Investment (FDI) on Economic Growth in WAEMU from 1990 to 2012
by Galaye Ndiaye & Helian Xu - 44-65 Financial Development and Poverty Reduction: Exploring the Links between the Issues Using Evidence from Bangladesh
by Joynal Abdin - 66-95 Management Control and Takeover Premiums
by Trevor W. Chamberlain & Maxime Fabre - 96-104 The Impact of Oil Price Shocks on the Economic Growth and Development of Cross River State, Nigeria
by Amenawo Ikpa Offiong & Ignatius Ahmed Atsu & Edward Ajaude & Bassey Ina Ibor - 105-116 The Impact of Macroeconomic Factors on Credit Risk in Conventional Banks and Islamic Banks: Evidence from Indonesia
by Huey-Yeh Lin & Nuraeni Hadiati Farhani & Meihua Koo - 117-128 The Use of Gulf Cooperation Council Currencies in Carry Trade: A Case Study of United Arab Emirates Dirham
by Musaed AlAli - 149-167 Accounting Conservatism Trends and Financial Distress: Considering the Endogeneity of the C-Score
by Hui-Sung Kao & Pei-Jhen Sie - 168-174 The Role of Real Estate Derivatives in Hedging Real Estate: An Empirical Analysis of the U.S. Commercial Market
by Cem Berk - 175-179 Don¡¯t Put All of Your Alums in One Basket: College Admissions Decisions as a Portfolio Choice Problem
by Logan Dahl & Daniel K.N. Johnson - 180-189 Financial Statement and Competitiveness Analysis: A Study on Tourism & Hospitality Industry in Bangladesh
by Tanvir Mohammad Hayder Arif & Kazi Noor-E- Jannat & S.M. Rakibul Anwar - 190-197 An Examination of the Relationship of Corporate Governance to Firm Performance: Empirical Evidence from Vietnamese Listed Companies
by Nguyen Ngoc Dieu Le & Nguyen Ngoc Dieu Thi - 198-207 The Effect of External Debt on Inflation Rate in Kenya, 1972-2012
by Fredrick Tsofa Mweni & Amos Njuguna & Timothy Oketch - 208-241 The Effect of Changing the Listing Level on the Information Environment of ADRs
by Candice L. Deal
April 2016, Volume 7, Issue 3
- 1-12 A Critical Analysis of the Value Chain in the Rice Industry and Its Effects on the Export Rice Industry in Kien Giang Province, Vietnam
by Van Ngoc Bach & Cuong Hung Pham & Nhan Hoang Vo - 13-27 Factors Affecting the Performances of Internet Banking: A Case of Vietnam Commercial Banks
by Binh Anh Huynh & Nhan Hoang Vo & Cuong Hung Pham - 28-40 Seasonality Effect on the Vietnamese Stock Exchange
by Chung Tien Luu & Cuong Hung Pham & Long Pham - 41-53 Total Quality Management and Financial Performance of Construction Companies in Ha Noi
by Anh Duy Nguyen & Cuong Hung Pham & Long Pham - 54-64 Top Management Support, Organizational Learning, Innovative Behavior, Employee Commitment and Organizational Performance of Manufacturing Companies in Hai Phong
by Tuyen Khac Pham & Cuong Hung Pham & Long Pham - 65-80 The Competitive Advantages of Vietnam Footwear Industry: An Analysis
by Xuan Thi Thanh Phan & Cuong Hung Pham & Long Pham - 81-95 Assessing the Education and Training Strategy of Selected Colleges Responding to the Needs of Highly Qualified Professional
by Vu Quach & Nhan Hoang Vo & Cuong Hung Pham - 96-109 Job Stress, Involvement, Satisfaction and Performance of Employees in Garment 10 Corporation in Vietnam
by Viet Duc Than & Cuong Hung Pham & Long Pham - 110-120 Predictors of Performance of the ERP Adpopters in the Companies of LILAMA
by Khanh Viet Tran & Cuong Hung Pham & Long Pham - 121-128 Service Quality and Students Level of Satisfaction in Private Colleges in Vietnam
by Hung Van Truong & Cuong Hung Pham & Nhan Hoang Vo
April 2016, Volume 7, Issue 2
- 1-10 Linking Quality Management Practices and Effective Knowledge Integration to New Product Development (NPD): An Empirical Study of Saudi-firms
by Abdullah Mohammed Aldakhil - 11-17 The Monthly Effect and the Day of the Week Effect in the American Stock Market
by Bing Xiao - 18-29 Comparison of the Effectiveness of Audit Committees in the UK and Turkish Banks
by Nizamulmulk Gunes & M. Serkan Atilgan - 30-38 The Importance of Being Steve: An Econometric Analysis of the Contribution of Steve Jobs¡¯s Patents to Apple¡¯s Market Valuation
by Daniel K.N. Johnson & Sylvie Scowcroft - 39-52 Are Institutional Investors Beneficial to Family Firm Performance? Evidence from the French Stock Exchange
by Olivier Colot & Jonathan Bauweraerts - 53-63 Relationship between Bank Credit and Economic Growth: Evidence from Jordan
by Izz Eddien N. Ananzeh - 64-72 Managing Risk in Livestock Farming: The Role of Insurance Companies
by Sanam Jokhio & Muhammad Moinuddin Qazi Abro & Lamya Alaali - 73-83 Will the Information Disclosure Quality Reduce the Executives¡¯ Excess Perks? - Evidence from China
by Han Li - 84-92 Is ¡®Excess¡¯ Board Independence Good for Firm Performance? An Empirical Investigation of Non-financial Listed Firms in Saudi Arabia
by Basmah Altuwaijri & Lakshmi Kalyanaraman - 93-97 Testing Explanatory Power of Two Behavioral Models for Price Continuation
by Hsiao-Peng Fu - 98-121 Forecasting Portfolio Balance Using Return Mean, Standard Deviation and Spending
by Jeffry Haber & Andrew Braunstein - 122-133 Hysteresis Effect on Unemployment for Men and Women: A Panel Unit Root Test for OECD Countries
by Selahattin Bekmez & Asli Ozpolat - 134-146 The Effects of Tariff Policy under the Fixed Exchange Rate Regime
by Chung-Fu Lai - 147-153 Predicting Bankruptcy in Private Firms: Towards a Stepwise Regression Procedure
by Jonathan Bauweraerts - 154-162 The Impact of External Debt and Foreign Direct Investment on Economic Growth: Empirical Evidence from Tanzania
by Moga Tano Jilenga & Helian Xu & Igor-Mathieu Gondje-Dacka - 163-170 ¡°Impact of EXPO 2020 on Dubai Financial Market¡± ¨C An Event Study on Banks, Investment and Insurance Sectors
by Ganga Bhavani & Sai Geetha Kukunuru - 171-182 An Empirical Research on Investor Biases in Financial Decision-Making, Financial Risk Tolerance and Financial Personality
by Bilgehan K¨¹bilay & Ali Bayrakdaroglu - 183-188 The Role of Industry Effect and Market States in Taiwanese Momentum
by Hsiao-Peng Fu - 189-201 Emerging Equity Markets Connectedness, Portfolio Hedging Strategies and Effectiveness
by Nizar Harrathi & Chaker Aloui & Mohamed Ali Houfi & Jihed Majdoub - 202-213 The Effects of Foreign and Illegal Labourers Phenomenon on the Availability of Employment Opportunities for the Saudi Youth in the City of Jeddah
by Nayef Al-Ghamri - 214-224 The Teaching of Financial Services Regulation: A Contextual View
by John. A. Consiglio - 225-232 Does Size Favor Dividends or Retained Earnings?
by Bashar K Abu khalaf - 233-246 Investigating the Determinants of Inflation: A Panel Data Analysis
by Pinar Deniz & Mahmut Tekce & Ahmet Yilmaz - 247-255 Relationship between Board Remuneration and Financial Performance in the Kenyan Financial Services Industry
by Rita Ruparelia & Amos Njuguna
January 2016, Volume 7, Issue 1
- 1-8 Cross-cultural Differences in Interpreting IAS 37 Probability Phrases
by Ning Du & Kevin Stevens & John Ahern & Anton Shigaev - 9-17 An Investigation of the Recent Linkages of Consumer Prices in Japan
by Chikashi Tsuji - 18-32 Changes in the Number of Varieties, Consumption Home Bias and Long-Run Macroeconomic Fluctuations
by Chung-Fu Lai - 33-38 Loan as a Durable Good and Bank Indirect-Tax Incidence
by Gerasimos T. Soldatos & Erotokritos Varelas - 39-49 Risk Classification in Natural Catastrophe Insurance: The Case of Italy
by Donatella Porrini - 50-56 An Assessment on Graham¡¯s Approach for Stock Selection: The Case of Turkey
by Nuray Terzi - 57-65 La Dolce Vita in Japan: The Effect of Bank Mergers on Corporate Governance
by Heather Montgomery & Yuki Takahashi - 66-74 Effects of Financial Crisis on Capital Structure of Listed Firms in Vietnam
by Truong Hong Trinh & Nguyen Thao Phuong - 75-85 An Empirical Investigation into the Applicability of Fama-French Three Factor Model in Explaining Portfolio Returns: Evidence from Non-Financial Firms on the Ghana Stock Exchange
by Prince Acheampong & Sydney Kwesi Swanzy - 86-90 A Collective Consideration of the EU¡¯s Capital Market Legislation
by John A. Consiglio - 91-100 The Analysis of Bank Deposits through Spatial Modelling by Provinces
by Ozlem Deniz Basar & Elif Guneren Genc - 101-108 Food Consumption Pattern in Eskisehir
by Amir Azam & Hakan Acaroglu - 109-120 The Relationship between Total Production and Public Spending in Mexico: Keynes versus Wagner
by Isaac Sanchez-Juarez & Rosa M. Garcia Almada & Hector Barajas Bustillos - 121-129 The Dynamics of Oil and Stock Prices Comovements
by Claire G. Gilmore & Ginette M. McManus & Rajneesh Sharma & Ahmet Tezel - 130-134 The Effect of the Perception of Deposit Bank Rate, Quality of Service, and the Using of Banking Technology towards Rural Fellow¡¯s Interest to Save Money in Bank Rakyat Indonesia Inc. Unit Wates ¨C Blitar
by Ria Prasetyo & Dwi Wulandari & Imam Mukhlis - 135-153 Large Shareholder¡¯s Identity and Stock Price Synchronicity: Evidence from a MENA Market
by Adel Bino & Diana Abu-Ghunmi & Mohammad Tayeh & Dua¡¯a Shubita - 154-166 An Analysis on the Behaviour of Corporate Social Responsibility towards Profitability of Islamic Banks: Asean and Europe
by Akhmad Affandi Mahfudz & Muhammad Safizal Abdullah & Arman Hadi Abdul Manaf & Abdullah Osman - 167-171 Is Capital Investment Indeed Not Affected by the Market Cost of Capital in the Regulated Energy and Utility Industry? A Reexamination of the Averch-Johnson Model
by Ken Hung & Hui Wen Cheng & Ching Wen Chi & Shih-shen Chen - 172-188 A Robust Set of Indicators for the Financial Stress and Financial Stability: Taiwan¡¯s Case Studies
by Chau-Jung Kuo & Yu-Wei Li & Li-Hua Lai - 189-194 Effective Financial Management of Supply Chain through the Use of Emerging Technology
by Abdullah Mohammed Aldakhil - 195-206 Opting for a Controlled-Firm Majority Independent Directors Exemption to NYSE or NASDAQ Listing Requirements: Much Ado about Nothing?
by Jeffery A. Born - 207-218 Effects of Shadow Banking on Return ¡ª Empirical Study Based on Chinese Commercial Banks
by Jingyu Tang & Yanling Wang - 219-225 Analysis of Regional Supporting Force for the Development of Industrial Area in Order to Improve Regional Income in East Java, Indonesia
by Sugeng Hadi Utomo
October 2015, Volume 6, Issue 4
- 1-9 Is Cash Flow per Share Paternalism by U.S. Accounting Rule Makers Warranted? An Empirical Study
by Ning Du & John E. McEnroe - 10-21 Does SEC Rating Agency Certification Matter? The Case of A.M. Best
by Lisa Fairchild & Yoon Shin & Yuxing Yan - 22-35 Testing the Present Value Model and Domino (Ripple) Effects for Hong Kong Private Residential Housing Prices
by Kwok-Chiu Lam - 36-45 Prediction of Financial Crisis with Artificial Neural Network: An Empirical Analysis on Turkey
by Alev Dilek Aydin & Seyma Caliskan Cavdar - 46-59 Factors That Determine Capital Structure in Building Material and Construction Listed Firms: Egypt Case
by Amr Youssef & Ayah El-ghonamie - 60-67 Why State and Federal Officials Should Consider Offering Financial Literacy Training to Those About to Be Released from Correctional Institutions
by Ken Galchus - 68-75 Factors Affecting Intention to Use Facebook-Banking of Generation Y in Vietnam
by Dinh Xuan Cuong & Pham Thuy Linh & Pham Ngoc Ha - 76-89 CEO Constellation, Capital Structure, and Financial Performance
by Hsien-Chang Kuo & Lie-Huey Wang - 90-98 Benchmarking and Ranking of Quoted Manufacturing Companies in Nigeria: A Data Envelopment Analysis Approach
by Ifuero Osad Osamwonyi & Kennedy Imafidon - 99-113 The Effect of Fair Value Accounting on Jordanian Investment Properties
by Fadia Burhan Alhaj Ahmad & Mohammad Suleiman Aladwan - 114-122 Role of Financial Banks in Promoting the Entrepreneurship: A Mixed Methodology Approach from Kingdom of Saudi Arabia
by Abdullah Mohammed Aldakhil & Muhammad Moinuddin Qazi Abro & Muhammad Adnan Khurshid & Alamzeb Aamir - 123-133 Impact of Ownership Structure and Bank Performance ¨C An Empirical Test in Vietnamese Banks
by Nguyen Hong Son & Tran Thi Thanh Tu & Dinh Xuan Cuong & Lai Anh Ngoc & Pham Bao Khanh - 134-142 Low Pension Participation among Minority Workers in the U.S
by Sung David Chun & Wei Sun & Yeojun Caleb Chun - 143-150 Bank Efficiency Analysis: Islamic Banks versus Conventional Banks in the Gulf Cooperation Council Countries 2006 - 2012
by Bukhari M. S. Sillah & Nizar Harrathi - 151-160 Mortgage Rates and the Corporate Bond Index at the Time of QEs in California
by Taewon Kim & Daniel C. Lee & Dang Tran - 161-169 The Role of Taxation Education on Taxation Knowledge and Its Effect on Tax Fairness as well as Tax Compliance on Handicraft SMEs Sectors in Indonesia
by Imam Mukhlis & Sugeng Hadi Utomo & Yuli Soesetio - 170-174 The Effect of Using Financial Derivatives on Firms¡¯ Capital Structure
by Ghada Almunajem - 175-186 Prospect of Sukuk in the Fixed Income Market: A Case Study on Kuwait Financial Market
by Saadi Al Trad & Rafiq Bhuyan - 187-193 Evaluating Exchange Rate Models Based on Rational Expectations versus Imperfect Knowledge Economics
by Ismail Onur Baycan - 194-206 Several Econometric Tests of Exchange Rate Efficiency for a Few European Countries
by Gilda M. Agacer & Augustine C. Arize & Ioannis N. Kallianiotis & Krishna M. Kasibhatla & John Malindretos - 207-216 Factors Effecting Trading Volume: A Test of Mixed Distribution Hypothesis
by Izz Eddien N. Ananzeh - 217-227 Determinants of Investments in the Nigerian Economy: An Empirical Approach (1990 ¨C 2013)
by Duruechi Anthony H. & Ojiegbe Joe N.
July 2015, Volume 6, Issue 3
- 1-12 Empirical Evidence on the Asymmetric Relationship between Bond and REIT Returns
by Emmanuel Anoruo & Uchenna Elike - 13-28 Corporate Ratings and a Model Proposition for the Manufacturing Industry at Borsa Istanbul
by Nurcan Ocal & Metin Kamil Ercan & Eyup Kadioglu - 29-48 The Distribution of the Burden of US Health Care Financing
by Patricia Ketsche & E. Kathleen Adams & Sally Wallace & Viji Kannan & Harini Kannan - 49-55 Contribution of Islamic Banks in Financing Small and Medium Enterprises in the Kingdom of Bahrain
by Bashar Matarneh & Mousa Almanaseer - 56-63 Determining Business Interruption Losses for Small Business
by Denis O. Boudreaux & Praveen K. Das & S. P. Uma Rao & Nancy Rumore - 64-77 Capital Flight and Foreign Direct Investment
by Yi-Hui Chiang & Thomas Lee - 78-85 Auditing Subsequent Events from the Perspective of Auditors: Study from Jordan
by Musa Abdel Latif Al Nawaiseh & Jamel Jaber - 86-104 Solvency Regulation of Banks and Insurers: A Two-Pronged Critique
by Peter Zweifel - 105-109 The Construction of Investment Rationality Index
by Xiaoyuan Chu - 110-115 On the Rural Social Endowment Insurance in Ethnic Minority Areas: A Case Study of Gannan Tibetan Autonomous Prefecture of Gansu Province
by Wei Wang & Haiying Ma - 116-134 Causality between Capital Flow, Human Capital Development and Economic Growth: A Case of Nigeria
by Anuli Regina Ogbuagu & Ebele Patricia Ifionu - 135-142 Financial Ratios and Stock Returns on China¡¯s Growth Enterprise Market
by Zhaohui Zhang - 143-149 Financial Intermediation and Economic Growth in Cameroon
by Ibrahim Ngouhouo & Giscard Moutie - 150-162 Value for Money Audit: A Veritable Tool for Expenditure Management
by Nwosu M. Eze & Mshelia M. Ibrahim - 163-172 Impact of International Trade on Economic Growth in Nigeria (1988-2012)
by Adeleye J. O. & Adeteye O. S. & Adewuyi M. O. - 173-179 Determinants Bank Profitability: Empirical Evidence from Bangladesh Commercial Banks
by Abdus Samad - 180-185 Guangdong Province Industrial Structure on Regional Economic Growth and the Impact of Economic Fluctuations
by Feng Yang & Jialin Liu & Haiying Ma
April 2015, Volume 6, Issue 2
- 1-10 Losers Win, Winners Lose: Evidence against Market Efficiency
by Zachary Alexander Smith - 11-22 Do Labor Unions Affect Stock Price Crash Risk?
by Hamdi Ben-Nasr & Abdullah Al-Dahmash & Hamdi Ben-Nasr - 23-32 Myopic Investor or Active Monitor? The Role of Institutional Investors in Corporate Innovation
by Xiaoyan Xu & Chunlei Wang & Shijun Cheng - 33-43 Price Dynamics and Market Volatility: Behavioral Heterogeneity under Switching Trading Strategies on Artificial Financial Market
by Yosra Mefteh Rekik & Younes Boujelbene - 44-53 The Impact of Stock Market Structure on Volatility: Evidence from a Call Auction Suspension
by Silvio John Camilleri - 54-66 Managerial Ability and Internal Control Quality: Evidence from China
by Han Li - 67-71 Earnings Response Coefficients and Default Risk: Case of Korean Firms
by Yohan An - 72-83 Modeling Correlation Structure for Collateralized Debt Obligations
by Deniz Ilalan - 84-94 A Study on the Main Determination of Mortgage Risk: Evidence from Reverse Mortgage Markets
by Chien-Chiang Lee & Kuo-Shing Chen & David So-De Shyu - 95-100 Workplace Fund Performance: Luck or Skill?
by Praveen K. Das & S. P. Uma Rao & Denis O. Boudreaux - 101-111 CVaR in Portfolio Optimization: An Essay on the French Market
by Houda Hafsa - 112-123 Financial Development, Savings and Economic Growth: Evidence from Bahrain Using VAR
by Mohammed Ziaur Rehman & Nasir Ali & Najeeb Muhammad Nasir - 124-138 An Evaluation of the Financial Performance of REITs in Borsa Istanbul: A Case Study Using the Entropy-Based TOPSIS Method
by Mehmet Islamoglu & Mehmet Apan & Ahmet Oztel - 139-149 Empirical Analysis of Firm Attributes before and after the Sarbanes-Oxley Act
by Pennye K. Brown & Dong Y. Nyonna - 150-159 Relationship between Gender Diversity on Boards and Firm¡¯s Performance - Case Study about ASEAN Banking Sector
by Tran Thi Thanh Tu & Hoang Huu Loi & Tran Thi Hoang Yen - 160-163 The Situation and Countermeasures of Accounting Teaching in China
by Jinyu Yang - 164-177 Market Efficiency and Technical Analysis in Romania
by Dan Gabriel Anghel - 178-189 Dynamic Spillovers between Oil and Stock Markets: New Approaches at Spillover Index
by Yen-Hsien Lee & Ting-Huei Liao & Ya-Ling Huang & Tzu-Ling Huang - 190-202 Assessment of the Impact of Fiscal Policy Operations on Stock Price Performance: Empirical Evidence from Nigeria
by Onyemachi Maxwell Ogbulu & Lezaasi Lenee Torbira & Chizoba Lynda Umezinwa - 203-217 Valuating the Value and Risk of International Start-up Ventures
by Ido Kallir & Tamir Agmon - 218-230 Determinant of Access to Rural Credit and Its Effect on Living Standard: Case Study about Poor Households in Northwest, Vietnam
by Tran Thi Thanh Tu & Nguyen Quoc Viet & Hoang Huu Loi
January 2015, Volume 6, Issue 1
- 1-13 Ex-ante Determinants of Volatility in the Crude Oil Market
by Duong T Le - 14-21 Bank Interest Margin and Default Risk under Basel III Capped Capital Adequacy Accord and Regulatory Deposit Insurance Fund Protection
by Chuen-Ping Chang & Shi Chen - 22-42 Banking Relationships, Managerial Ownership and Operational Performance: A Simultaneous Equations Approach in the Context of SMEs
by Mario Gomes Augusto & Antonio Pedro Soares Pinto - 43-55 Modelling the Antecedent and Consequence of Consumer Perceived Deception in Loan Services
by Mbawuni Joseph & Simon Gyasi Nimako - 56-67 Long-term Performance of Acquirers Involved in Domestic Bank Ms&As in Europe
by George Kyriazopoulos & Evangelos Drymbetas - 68-78 The Impact of Earnings Quality on the Cost of Equity: Evidence from Privatized Firms
by Hamdi Ben-Nasr & Abdullah Mohammed Al-Dakheel - 79-89 Underperformance Fees and Manager¡¯s Portfolio Risk Taking
by Gabriele Stabile - 90-100 A Study to Check the Applicability of Fama and French, Three-Factor Model on KSE 100-Index from 2004-2014
by Nahzat Abbas & Jahanzeb Khan & Rabia Aziz & Zain Sumrani - 101-110 Pricing Model for Financial Guaranty Products Using Actuarial Methodology and Most Prudent Principle
by Jinyu Yang & Weiguo Zhang & Donglai Li - 111-118 Hedge Fund Ownership, Board Composition and Dividend Policy in the Telecommunications Industry
by Eric Haye - 119-136 Is Earnings Information Superior to Net Income as a Measure of Future Earnings? A Study on Accruals and Real Earnings Management
by Yung-Chuan Lee & Cheng-Chang Lu - 137-148 The Impact of Stock Price and Real Estate Price Shocks on Consumption: The Thai Experience
by Dalina Amonhaemanon
October 2014, Volume 5, Issue 4
- 1-12 Recent Experiences with Currency Substitution
by Hisao Kumamoto - 13-21 The Determinants of Deposit Insurance Coverage: Evidence from 74 Countries
by Hung Ling Chen & Edward H. Chow & Wan Yu Liu - 22-38 Understanding Islamic Bank Selection of Customers: A Field Research from Turkish Participation Banks
by Ali Polat & Mehmet Yesilyaprak & Raci Kaya - 39-51 Institutional Investors, Stock Repurchases and Information Asymmetry
by Ricky W. Scott - 52-66 The Link between Financial System and Economics: Functions of the Financial System, Financial Crises, and Policy Implications
by Serpil Kahraman Akdogu & Mehmet Umutlu - 67-84 Are There Non-linear Effects of Banking Relationships and Ownership Concentration on Operational Performance? Empirical Evidence from Portuguese SMEs Using Cross-section Analysis and Panel Data
by Antonio Pedro Soares Pinto & Mario Gomes Augusto - 85-89 Dividend Policy Behavior in Emerging Stock Markets: Evidence from Vietnamese Stock Market
by Quoc Trung Tran & Thi Thu Ha Nguyen - 90-97 Cointegration with Regime Shift between Gold and Financial Variables
by Takashi Miyazaki & Shigeyuki Hamori - 98-113 National Debt and Its Effects on Several Other Variables: An Econometric Study of the United States
by Augustine C. Arize & Ioannis N. Kallianotis & Scott Liu & John Malindretos & Alex Panayides - 114-119 A Note on Bank Default Risk and Delivery Channel Strategy under Deposit Insurance Fund Protection
by Shi Chen & Chuen-Ping Chang & Kevin P. Keh - 120-127 A Study of the Effect of Macroeconomic Variables on Stock Market: Saudi Perspective
by Durga Prasad Samontaray & Sultan Nugali & Bokkasam Sasidhar - 128-138 The Determinants of Trade Credit: A Study of Portuguese Industrial Companies
by Juliana Santos & Armando Silva - 139-143 On Risk Comprehensive Evaluation of Carbon Finance in Commercial Banks under Low-Carbon Economy in China
by Wenjuan Pan - 144-154 A Barrier Option Utility Framework for Bank Interest Margin under Government Bailout
by Ku-Jun Lin & Rosemary Jou & Tzu-Hao Lin - 155-170 Habit Formation and Risk-free Rate Puzzle
by Wonnho Choi - 171-179 Financial Needs of Internationalized Firms
by Federica Sist - 180-195 The Fisher Hypothesis and Investment Assets: The Vietnamese and Thai Case
by Dalina Amonhaemanon & Jan Annaert & Marc J.K. De Ceuster & Hau Le Long - 196-209 Examining Linkages between Saudi Stock Market (TASI) and Selected Stock Markets Indices
by Mohammed Ziaur Rehman & Musa Ahmed Hazazi
July 2014, Volume 5, Issue 3
- 1-19 What Really Affects German Firms' Effective Tax Rate?
by Anastasia Kraft - 20-42 Why Can Weak Linkages Cause International Stock Market Synchronization? The Mode-Locking Effect
by Larry Filer & David D. Selover - 43-53 Where Does Price Discovery Occur? An Empirical Study of Taiwan¡¯s ADRs and Their Underlying Foreign Stocks
by Ming-Chieh Wang & Yi-Chen Wu - 54-67 The Impact of Corporate Governance on Non Financial Performance in Jordanian Commercial Banks and Islamic Banks
by Suleiman Hussein Al-Beshtawi & Omar Mohammed Zraqat & Hamdan Moh¡¯D Al ¨CHiyasat - 68-72 The Crisis: The Relentless Resulting of an Explosive Cycle
by Xavier Bredart - 73-85 From Rural to Microfinance Banking: Contributions of Micro Credits to Nigeria¡¯s Economic Growth ¨C An ARDL Approach
by Prince C. Nwakanma & Ikechukwu S. Nnamdi & Godfrey O. Omojefe - 86-95 Foreign Reserve Accretion and Money Supply Creation: Lebanon¡¯s Experience under an Adjustable Peg
by Samih Antoine Azar - 96-109 Investigating the Effect of Inflation Disclosure on Improving the Information Content of the Financial Reporting
by Vali Khodadadi & Ali Vaez & Hashem Alisufi - 110-115 Internal Controls and Knowledge Reengineering in Organization: Hong Kong Evidence
by Philip Law - 116-118 Strategic Choice on Transformation Mode of China¡¯s Resource-based Cities
by Jinhuang Mao - 119-135 Modeling Risk Premia in Forward Foreign Exchange Rates as Unobserved Components: The Model Identification Problem
by Aziz Chouikh & Abdelwahed Trabelsi