Content
July 2014, Volume 5, Issue 3
- 136-145 A Game Theoretic Model of Deposit Contracts between the Bank and the Depositor - Extend Study on the Economic Analysis of Bank Run
by Jue-Shyan Wang & Chiao-Hsin Lin - 146-158 Liquidity Analysis Using Cash Flow Ratios as Compared to Traditional Ratios in the Pharmaceutical Sector in Jordan
by Sulayman H. Atieh - 159-166 Bancassurance in Tunisia: What Are the Efficiency Gains?
by Ines Ayadi - 167-175 The Analysis of Informal Credit Behavior in Hui Autonomous Prefecture of Linxia: The Investigation Based on Hui Autonomous Prefecture of Linxia China
by Yihao Dong & Haiying Ma - 176-187 The Impact of the Financial Crisis on the Islamic Banks Profitability - Evidence from GCC
by Mousa Almanaseer - 188-193 The Empirical Measurement of Interest Rate Risk of China¡¯s Commercial Banks in the Process of Interest Rate Liberalization
by Binjia Yang & Gendi Wen - 194-198 A Note on a New Weighted Idiosyncratic Risk Measure
by Yin-Ching Jan
April 2014, Volume 5, Issue 2
- 1-7 Long-Term Profitability of Volume-Based Price Momentum in Taiwan
by Hsiao-Peng Fu - 8-18 The New Ways to Raise Capital: An Exploratory Study of Crowdfunding
by Matteo Rossi - 19-28 The Determinants of Risk Premia in Forward Foreign Exchange (FX) Markets
by Aziz Chouikh & Abdelwahed Trabelsi - 29-34 An Analysis of the Relationship between the Finance and the Economic Growth of Counties in China's Shandong Province
by Lei Zhang - 35-58 Ownership Structure and Investor¡¯s Sentiments for Dividends
by Elisabete Duarte Neves - 59-68 Economic Growth, Financial Depth and Lending Rate Nexus: A Case of Oil Dependant Economy
by Najeeb Muhammad Nasir & Nasir Ali & Imran Khokhar - 69-78 Fund Mobilization by Insurance Companies and Fixed Capital Formation: Evidence from the Nigerian Economy
by Lezaasi Lenee Torbira & Onyemachi Maxwell Ogbulu - 79-86 Top Executives¡¯ Ability and Earnings Quality: Evidence from the Chinese Capital Markets
by Han Li - 87-101 Volatility Modeling and Forecasting of Istanbul Gold Exchange (IGE)
by Gaye Hatice Gencer & Zafer Musoglu - 102-109 On the Establishment of Green Fiscal Transfer Payment Mechanism in Northwest Ethnic Regions of China
by Afan Sun - 110-114 The Relation between Disclosure Quality and Information Asymmetry: Empirical Evidence from Iran
by Dariush Bahmani - 115-120 Do Investors Make Abnormal Returns Consistently? An Econometric Investigation in the Nigerian Capital Market
by Ayakeme Ebiwarefa Whisky & Chinedu B. Ezirim - 121-132 The Performance of Saudi Banking Industry 2000 -2011: Have the Banks Distinguished Themselves from One Another?
by Bukhari M. S. Sillah & Imran khokhar & Muhammad Nauman Khan - 133-141 Determinants of Factors Influencing Capacity of Small and Medium Enterprises (SMEs) in Employment Creation in Lagos State, Nigeria
by Kayode E. Bowale & Afred O. Ilesanmi - 142-150 Study on Evolution of Spatial Structure of Pan-Linxia Economic Zone
by Jing Xu - 151-159 Do Workers¡¯ Remittances Promote Financial Development in Sub-Sahara Africa Countries?
by Taiwo V. Ojapinwa & Oladipo T. Bashorun - 160-170 Explaining the Cross-Sectional Patterns of UK Expected Stock Returns: The Effect of Intangibles
by Walid Saleh - 171-174 The Path Selections of the Resource-based Cities Transformation in China
by Jinhuang Mao - 175-188 Developing Corporate Governance Index for Vietnamese Banking System
by Tran Thi Thanh Tu & Pham Bao Khanh & Phung Duc Quyen - 189-193 On the Urban Comprehensive Carrying Capacity of the Ethnic Regions in China
by Peng Li & Haiying Ma
January 2014, Volume 5, Issue 1
- 1-10 Testing International Momentum Strategies between Chinese and Australian Financial Markets
by Santosh Mon Abraham - 11-20 Transitory Debt: Evidence from Borsa Istanbul
by Emrah Arioglu & Turgut Curuk & Yildirim Beyazit Onal - 21-28 An Explanation for the Paradox Phenomenon in Taiwan¡¯s Bank Performances
by Ming-Chung Chang - 29-41 Probability Analysis of Exchange Rate Target Zones
by Huimin Zhao & Fuzhou Gong & Fangping Peng & Qin Liu - 42-51 Foreign Direct Investment (FDI) Inflows into Ghana: Should the Focus Be on Infrastructure or Natural Resources? Short- Run and Long -Run Analyses
by Prince Acheampong & Victor Osei - 52-63 Relationship of Stock Price and Monetary Variables of Asian Small Open Emerging Economy: Evidence from Thailand
by Nararuk Boonyanam - 64-70 On the Impact of Bond's Rating Changes on the Firm's Stock Price
by Gil Cohen - 71-80 Seasonality of Earnings Momentum in an Emerging Market: The Taiwan Experiences
by Hsiao-Peng Fu - 81-92 Macroeconomic Forces and Stock Prices: Some Empirical Evidence from Saudi Arabia
by Lakshmi Kalyanaraman & Basmah Al Tuwajri - 93-100 Effects of Stock Market Development on Economic Growth: Evidence from Turkey
by Yilmaz Bayar & Abdulkadir Kaya & Murat Yildirim - 101-106 Empirical Research on Shanghai Residents' Financial Literacy
by Hao Chen & Yuxi Wang & Shaohua Yang & Haina Yuan - 107-113 Shareholders¡¯ Wealth and Debt- Equity Mix of Quoted Companies in Nigeria
by Amos O. Arowoshegbe & Francis Kehinde Emeni - 114-118 The Analysis on the Introduction of Islamic Financial Model in Ethnic Region in Gansu, China
by Haiying Ma & Yike Yao - 119-124 Emerging Trends in International Business and Trade: Need for a Paradigm Shift for Pakistani Trade Bodies
by Abdul Rahman Zaki - 125-134 The Effect of Financial Leverage and Market Size on Stock Returns on the Ghana Stock Exchange: Evidence from Selected Stocks in the Manufacturing Sector
by Prince Acheampong & Evans Agalega & Albert Kwabena Shibu
October 2013, Volume 4, Issue 4
- 1-10 Does FX Volatility Affect the Distributions of Commodity Futures Returns?
by Terrance Grieb - 11-25 Pricing Onion Options: A Probabilistic Approach
by Thorsten Upmann - 26-37 Does Delaware Incorporation Encourage Effective Monitoring? An Examination on Director Compensation
by Qian Xie - 38-51 A Generalized Autoregressive Conditional Heteroskedasticity Model of the Impact of Macroeconomic Factors on Stock Returns: Empirical Evidence from the Nigerian Stock Market
by Emeka Nkoro & Aham Kelvin Uko - 52-71 Attracting Chinese Foreign Direct Investment (FDI) to Africa: Determinants and Policies - The Case of Guinea
by Diallo Mamadou Saliou Kokouma & Kaning Xu - 72-82 The Relationship between Earnings Momentum and Price Momentum in Different Market - The Case of the China Market
by Jun-Biao Lin - 83-90 Financial Statement Management, Liability Reduction and Asset Accumulation: An Application of Goal Programming Model to a Nigerian Bank
by Ajibola Arewa & John Ayodele Owoputi & Lezaasi Lenee Torbira - 91-106 US Stocks and the US Dollar
by Samih Antoine Azar - 107-117 Logit Regression Approach to Rating Banks Using Financial Ratios: A Study of Gulf Cooperation Council Banks
by Sree Rama Murthy Y - 118-127 ¡°Active Poor¡± Phenomenon and Youth Unemployment in Cross River State, Nigeria ¨C Some Diagnosis
by Uwem Essia & Abubakar Yusuf - 128-139 Determinants of Tunisian Bank Efficiency: A DEA Analysis
by Ines Ayadi - 140-145 Does Working Capital Management Matter in Dividend Policy Decision? Empirical Evidence from Nigeria
by Adesina Olugoke Oladipupo & Peter Okoeguale Ibadin - 146-152 Financial Management in Local Government: The Nigeria Experience
by Nwosu M. Eze & Okafor O. Harrison
July 2013, Volume 4, Issue 3
- 1-9 Size and Day-of-the-Week Effect in the Banking Industry: A Comparative Analysis Based on Economic Conditions
by Srinivas Nippani & Kenneth M. Washer & N.R. Vasudeva Murthy - 10-24 Earnings Management Prior to Initial Public Offerings and Its Effect on Firm Performance: International Evidence
by Arjan Premti - 25-34 Including More Information Content to Enhance the Value at Risk Estimation for Real Estate Investment Trusts
by Jin-Ray Lu & Chiang-Chang Hwang & Yi-Chun Chen & Chu-Ting Wen - 35-42 An Empirical Study of Asymmetric Pricing in Retail Gasoline and Diesel Markets in Taiwan, Japan, South Korea, and Singapore
by Kuo-Wei Chou & Chin-Yuen Chang & Fei Hu - 43-61 Do Financial Sector Reforms Improve Competition of Banks? An Application of Panzar and Rosse Model: The Case of Ghanaian Banks
by George Owusu-Antwi & James Antwi - 62-69 Impact of Personal Epistemology, Heuristics and Personal Attributes on Investment Decisions
by Sunitha Kumaran - 70-82 Distress Resolution in Nigerian Banking Sector: The Role of Assets and Liabilities Management
by Folajimi Festus Adegbie & T. O. Asaolu & E. P. Enyi - 83-93 Impact of the Financial Crisis on Profitability of the Islamic Banks vs Conventional Banks- Evidence from GCC
by Muni Sekhar Amba & Fayza Almukharreq - 94-106 Ascertaining the Financial Cost of Malaria and Mitigating against It Using Actuarial Models for Financial Cost
by I. K. Dontwi & V. K. Dedu & N. K. Aboagye - 107-126 Theoretical and Analytical Study of Tax Law in Jordan According to the: Income Tax and Sales Tax and Its Relationship with Revenues and Tax Evasion
by Saeed Mikhled Ahmad Al-Naimat - 127-143 Financialization of Turkey Industry Sector
by Isil Tellalbasi & Ferudun Kaya
April 2013, Volume 4, Issue 2
- 1-18 The NASDAQ Restructuring: Do Names Even Matter?
by Kevin D. Broom - 19-32 TSX Stock Repurchase Announcements and the Impact of TSX Disclosure Requirements
by James Matthew Moore - 33-41 On the Influence of Oil Price Shocks on Economic Activity, Inflation, and Exchange Rates
by Yasunori Yoshizaki & Shigeyuki Hamori - 42-48 Research on the FDI Inflows in Western Region of China - Exemplified by Guangxi Zhuang Autonomous Region
by Lina Lian - 49-67 Sources of Synergy Realization in Mergers and Acquisitions: Empirical Evidence from Non-Serial Acquirers in Europe
by Nancy Huyghebaert & Mathieu Luypaert - 68-76 States as LBO Specialists: Evidence from Portugal
by Rui Alpalhao & Paulo Alves - 77-82 New Risk Measure and Idiosyncratic Risk in Taiwan Stock Market
by Yin-Ching Jan & Su-Ling Chiu & Jerry M. C. Wang - 83-98 Stock Market and Economic Growth in Ghana, Kenya and Nigeria
by Ifuero Osad Osamwonyi & Abudu Kasimu - 99-107 Determinants of Enrolment in Voluntary Health Insurance: Evidences from a Mixed Method Study, Kerala, India
by Sukumar Vellakkal - 108-114 Allocation of Assets on the Ghana Stock Exchange (GSE)
by Lord Mensah & R. K. Avuglah & Vincent Dedu - 115-125 Role of Financial Development in Economic Growth: Evidence from Savings and Credits Cooperative Societies in Tanzania
by Xuezhi Qin & Benson Otieno Ndiege - 126-143 Forecasting Volatility of Stock Indices with ARCH Model
by Md. Zahangir Alam & Md. Noman Siddikee & Md. Masukujjaman - 144-147 Comparison and Enlightenment of USA and Japan¡¯s Emergency Management Mechanism
by Yan Liu & Mai Sun & Ting Xu - 148-153 Research on the Determinants of Foreign Direct Investment Inflows of Gansu Province China
by Yuxia Hu - 154-161 A Study to Examine Time-Varying Effectiveness of Stock Returns on Tehran Stock Exchange
by Rahele SiamiNamini & Fereydoun RahnamaRoudposhti & Mohammad.H Janani
January 2013, Volume 4, Issue 1
- 1-4 Impulse Response Functions and Causality Test of Financial Stress and Stock Market Risk Premiums
by Vichet Sum - 5-28 Levy Processes and the Financial Crisis: Can We Design a More Effective Deposit Protection?
by Sara Maccaferri & Jessica Cariboni & Wim Schoutens - 29-45 How Have Consumers Fared in Bank Privatization? International Evidence
by Anthony Q. Q. Aboagye & Isaac Otchere - 46-53 On the Time-varying Linkages among the London Interbank Offer Rates for Major European Currencies
by Go Tamakoshi & Shigeyuki Hamori - 54-65 The Impact of the Goods and Services Tax on Mortgage Costs: Evidence from Australian Mortgage Corporations
by Allen Huang & Benjamin Liu - 66-74 The Structural Approach and Default Risk
by Arsalan Azamighaimasi - 75-83 Core Competences and Optimising Bank Capital Management in Nigeria
by Andrew O Agbada PhD & Deborah O Odejimi PhD - 84-92 Nash Equilibria on Soft Information Control Games--Based on Banking Industry in China
by Fei Xu & Yong Jiang - 93-109 The Effect of Quality Management Practices on Organizational Performance in Jordan: An Empirical Study
by Ali Bakhit Jaafreh & Abedalfattah Z. Al-abedallat - 110-119 The Extent and Forms of Voluntary Disclosure of Financial Information on Internet in Nigeria: An Exploratory Study
by Mary Kehinde Salawu - 120-131 Determinants and Impacts of Internal Credit Rating
by Abdullah Ash-shu¡¯ayree Al-khawaldeh - 132-150 Risk Management Practices: A Survey of Micro-Insurance Service Providers in Kenya
by Amos Gitau Njuguna & Abigael Arunga - 151-158 Portfolio Risk and Dependence Modeling
by Arsalan Azamighaimasi
October 2012, Volume 3, Issue 4
- 1-6 Market Value of the Firm, Market Value of Equity, Return Rate on Capital and the Optimal Capital Structure
by Chao Chiung Ting - 7-18 Financing Rural Energy Projects in China: Lessons for Nigeria
by Sanusi Mohammed Ohiare & Ismail O. Soile - 19-32 Does Supplementing Outcome Feedback with Performance Feedback Improve Probability Judgments?
by Ning Du & Sandra Shelton & Ray Whittington - 33-45 Social Responsibility Cost and Its Influence on the Profitability of Nigerian Banks
by Peter Kekung Bessong & Arzizeh Tiesieh Tapang - 46-68 Sense and Sensitivity: An Input Space Odyssey for Asset-Backed Security Ratings
by Francesca Di Girolamo & Henrik Jonsson & Francesca Campolongo & Wim Schoutens - 69-81 Attracting Foreign Direct Investment in Developing Countries: Determinants and Policies-A Comparative Study between Mozambique and China
by Paulo Elicha Tembe & Kangning Xu - 82-97 Critical Success Factors for a Micro-Pension Plan: An Exploratory Study
by Amos Gitau Njuguna - 98-101 Research on the Problems and Countermeasures of China's Service Trade in the New Era
by Zhijun Sheng & Kuo Wang - 102-115 An Empirical Study on the Effects of Real Effective Exchange Rate on Algeria¡¯s Trade Balance
by Yasmina Guechari - 116-126 The Impact of Human Capital Cost on Gross Domestic Product (GDP) in Nigeria
by Sunday O. Effiok & Arzizeh Tiesieh Tapang & Okon E. Eton
July 2012, Volume 3, Issue 3
- 2-7 Inflation, Growth, and Impatience in a Generalized Cash-in-Advance Economy
by Kenji Miyazaki - 8-16 The Strategic Transformation of Automobile Industry in China
by Som Techakanjanakit & Meifang Huang - 17-23 Profitability and Consistency Analysis of Pharmacy Sector in India
by Dr. K.S. Vataliya & Rajesh A. Jadav & Abhishek R. Belani - 24-31 Correlations between Executive Pay, Equity Incentive and Corporate Performance: Empirical Analysis Based on Panel Data of China¡¯s Listed Companies
by Huiguan Ding & Jiansheng Cai & Yanxia Niu
April 2012, Volume 3, Issue 2
- 2-16 What Is the Degree of Convergence among Developed Equity Markets?
by Ekaterina Dorodnykh - 17-34 Weather Conditions and the Bank Lending Channel: A GMM Approach from US Banking
by Nicholas Apergis & Panagiotis Artikis - 35-47 Problem of Financial Resource Mobilization for Local Development: The Case of Single Land Tax (CFU) in the Governorate of Conakry Guinea
by Diallo Mamadou Saliou Kokouma & Huang Kai - 48-59 Capitalized Human Resources Cost and Its Influence on Corporate Productivity: A Study of Selected Companies in Nigeria
by Bassey Eyo Bassey & Arzizeh Tiesieh Tapang - 60-68 Valuation of Loan Credit Default Swaps Correlated Prepayment and Default Risks with Stochastic Recovery Rate
by Yuan Wu & Jin Liang - 69-77 Constrained Momentum Investment
by Marcus Davidsson - 78-85 Working Capital Management of Small Scale Industries in Rajasthan
by Bashar Matarneh - 86-95 Capital Structure¡¯s Dynamic Response to Exogenous Variables: A Case of Listed Manufacturing Firms in Indonesia
by Siti Saadah & Ruslan Prijadi - 96-104 A Dialectic Model of Development of Stakeholders¡¯ Theory and Corporate Governance: from Hume Utilitarianism to Aristotelian Virtue Ethics
by S. Morteza Ghayour B. & Meysam Doaei - 105-114 Macroeconomic Factors of Emerging Stock Market: The Evidence from Thailand
by Nopphon Tangjitprom
January 2012, Volume 3, Issue 1
- 2-14 Volatility Estimation and Stock Price Prediction in the Nigerian Stock Market
by Mayowa Gabriel, AJAO & Mary Ugochukwu, WEMAMBU - 15-21 Institutional Environment and Capital Structure: Evidence from Private Listed Enterprises in China
by Hongbo Duan & Abdul Razak bin Chik & Chonjun Liu - 22-32 Modelling Credit Risk for Personal Loans Using Product-Limit Estimator
by Okumu Argan Wekesa & Mwalili Samuel & Mwita Peter - 33-39 Empirical Study of the National Health Service in U.K. and the U.S. Medical Care System
by Kai Xie - 40-48 The CFA Franc Devaluation and Output Growth in the Franc Zone
by Fouopi Djiogap Constant - 49-56 Studies on the Change Mechanism of RMB Exchange Rate with Non-Recurrent Events
by Rulu Huang - 57-72 French Firm¡¯s Financing Choices: Towards a Reconciliation of the Static Trade-Off Theory and the Pecking Order Theory?
by Gharsalli Mazen - 73-80 Research on Risk Evaluation of SME Financing based on Grey Theory
by Wang Zhangliu & Wang Lan & Wang Kai - 81-87 ¡°A Flaw in the Model ¡ that Defines How the World Works¡±
by Volker Bieta & Hellmuth Milde & Nadine Marianne Weber - 88-94 Executing Strategy with the Balanced Scorecard
by Michael L. Werner & Fuyuan Xu - 95-100 Influencing Factors of Health Care Expenditure for Rural Residents in China after Enforcing New Rural Cooperative Medical System
by Ziyuan Deng & Hua Guo & Yuansheng Jiang - 101-104 Variance Ratio Test of Random Walk for Foreign Trade: The Study in India during the Globalization Era of 1990s
by Rudra Prakash Pradhan - 105-113 Theoretical Research of the Urban Comprehensive Carrying Capacity in the Epoch of Urbanization
by Li Changliang & Lian Lina
July 2011, Volume 2, Issue 2
- 2-15 The Managerial Control Types of Conglomerates and Firm Performance
by Hsiang-Tsai Chiang & Mei-Chih Lin - 16-26 The Impact of FDIs Flows on the Nigerien Economic Growth
by Ousseini Hamadou - 27-32 Financial Crisis and the Cyclical Changes of Financial Supervision
by Baodong Ren - 33-39 An Empirical Study on the Relationship between Foreign Investment and International Trade in Bangladesh
by Mohammad Zillur Rahman - 40-51 Counterparty Credit Risk on a Standard Swap in ¡°Risky Closeout¡±
by Wei Wei - 52-60 Life-Cycle Theory and Free Cash Flow Hypothesis: Evidence from Dividend Policy in Thailand
by Yordying Thanatawee - 61-72 Determinants of Commercial Banks¡¯ Lending Behavior in Nigeria
by Felicia Omowunmi Olokoyo
March 2011, Volume 2, Issue 1
- 2-22 The Impact of Advertising on Fund Flows in Alternative Distribution Channels
by Jeffrey J. Yankow & Thomas I. Smythe & Vance P. Lesseig & Michael A. Jones - 23-30 Impact of Banking Statutes, Housing-Market, Economic, and Financial Conditions on Bank Failures in the U.S, 1970-2008: GARCH Estimates
by Richard J. Cebula - 31-44 Bank Size, Functional Distance and Loss Given Default Rate of Bank Loans
by Matteo Cotugno & Valeria Stefanelli - 45-56 Inflation, Money and Economic Growth in Cameroon
by Henri Ngoa Tabi & Henri Atangana Ondoa - 57-63 Impact of Cost-Push and Monetary Factors on GDP Deflator: Empirical Evidence from the Economy of Pakistan
by Zahoor Hussain Javed & Muhammad Farooq & Maqsood Hussain & Abdur-Rehman Shezad & Safder Iqbal & Shama Akram - 64-70 Correlational and Differential Influence of Historical Cost and Current Cost Profits on the Operating Capabilities of the Firm
by S. A. Effiong & J. O. Udoayang & A. I. Asuquo
December 2010, Volume 1, Issue 1
- 2-13 Relationship between External Debt Management Policies and Economic Growth in Nigeria (1970-2006)
by Chris O. Udoka & Roland A. Anyingang - 14-20 The Role of Stock Market Development in Economic Growth: Evidence from Some Euronext Countries
by Ake Boubakari & Dehuan Jin - 21-29 Valuation of a Basket Loan Credit Default Swap
by Jin Liang & Yujing Zhou - 30-36 Enactment of Default Point in KMV Model on CMBC, SPDB, CMB, Huaxia Bank and SDB
by Feixue Huang & Yan He - 37-43 Financial Deepening, Foreign Direct Investment and Economic Growth: Are They Cointegrated
by Rudra Prakash Pradhan - 44-48 Study on Dynamic Configuration of the Rights of Enterprise Internal Control
by Wei Zhong & Shilei Zhang - 49-54 Foreign Direct Investment Effect on Economic Growth: Evidence from Guinea Republic in West Africa
by Keita Mohamed Lamine & Dakai Yang - 55-57 Development of Actively Managed Exchange Traded Funds and the Revelation to Chinese Financial Market
by Haiyong Ma & Weiwei Zhang