Content
2023, Volume 9, Issue 1
- 1-10 Determinants of the dividend payout policy of multinational companies in Bangladesh: Evidence from Dhaka stock exchange
by Tarik Hossain & Md. Miraz Khalifa & Raju Ahmmed
2022, Volume 8, Issue 1
- 1-11 Predictive Creditworthiness Modeling in Energy-Saving Finance: Machine Learning Logit and Neural Network
by Herlan & Eka Sudarmaji & M Rubiul Yatim - 12-19 Performance and Dividend Policy of State-Owned Banks Before and After COVID-19
by I Wayan Budi Artha & Tri Widyastuti & Irvandi Gustari - 20-26 Does the Business Model Increase Bank Stability?
by Loan Thi Nguyet Nguyen & Phuong Thi Lan Tran & Nguyet Thi Minh Trinh & Anh Quynh Le
2021, Volume 7, Issue 1
- 1-15 Modelling Stock Returns Volatility and Asymmetric News Effect: A Global Perspective
by Kingsley Onyekachi Onyele & Emmanuel Chijioke Nwadike - 16-25 Testing the Validity of Arbitrage Pricing Theory: A Study on Dhaka Stock Exchange Bangladesh
by Syed Mohammad Khaled Rahman & Priyanka Mazumder - 26-35 A Blockchain Research Review
by Mohammad Tariq Hasan & Mahadi Hasan Miraz & Farhana Rahman Sumi & Shumi Sarkar - 36-49 Modeling and Estimation of Cumulative Abnormal Return using VECM
by Sri Ambarwati & Eka Sudarmaji & Herlan Masrio & Ismiriati Nasip - 50-59 Likelihood of Insurance Coverage on Damages Due to Level of Insecurity in Nigeria: Logistic Modeling Approach
by Orumie Ukamaka Cynthia & Desmond Chekwube Bartholomew & Chukwudi Paul Obite & Kiwu Chizoba Lawrence - 60-66 Performance Evaluation of Chinese Commercial Banks Based on the Malmquist Index
by Wenjing Xie & Meiling He & Guohui Huang & Lu He & Fan Lin & Wen-Tsao Pan - 67-77 Risk Management and Financial Performance of Manufacturing Firms in Nigeria
by Gideon Tayo Akinleye & Comfort Temidayo Olanipekun
2020, Volume 6, Issue 1
- 1-13 Evaluating the Model of Demand for Money in Nigeria
by Fasipe Temidayo B & Wasiu A Yusuf - 14-21 Evaluating the Effectiveness of CAPM and APT for Risk Measuring and Assets Pricing
by Fahim Afzal & Pan Haiying - 22-39 The Relationship between Creative Accounting Risks and Auditing Risks from the Perspective of External Auditors in Saudi Arabia
by Wejdan Hassan M Ghamri - 40-51 Factors Affecting the Capital Structure of the Textile Industry in Bangladesh: An Inferential Study
by Aysha Ashraf & Sonia Rezina - 52-78 International Financial Reporting Standards Adoption and Earnings Management: The Fundamental Effect Framework
by NWAUBANI Anthony Nzeribe Chizue - 79-87 Financial Risks in Turkish Banking Industry: A Panel Data Analaysis on Istanbul Stock Exchange
by Cem Berk & Eyyup Arslan - 88-98 Decision Making of Charity Fund Allocation: Evidence from Hong Kong
by Chun Cheong Steve FONG
2019, Volume 5, Issue 1
- 1-9 Profitability of Commercial Bank on Interest Rate Deregulation
by Tijjani Muhammad & Abatcha Melemi - 10-24 An Investigation of the Impact of Organisational Structure on Organisational Performance
by Sinqobile W Nene & Alan S Pillay - 25-39 External Debt and Nigeria's Sovereignty
by Umar Dantani - 40-54 Correlation between Financial Difficulties and Financing Strategies among Market Stallholders in Batangas City
by Amor A Ilagan - 55-69 Analyzing the Financial Soundness of Kuwaiti Banks Using CAMELS Framework
by Musaed S AlAli & Sundus Al-Yatama
2018, Volume 4, Issue 1
- 1-23 Forecasting Equity Index Volatility: Empirical Evidence from Japan, UK and USA Data
by Divine N Obodoechi & Anthony Orji & Onyinye I Anthony-Orji - 24-33 Incorporating Islamic Ethic Elements into Marketing Mix Paradigm
by Nazree Shafin & Rozilah Kasim - 34-48 Depositors Confidence and Mergers and Acquisitions: The Nigerian Banking Sector Experience
by Anthony Nzeribe NWAUBANI & Vincent N EZEABASILI
2017, Volume 3, Issue 1
- 1-12 Investment Climate Rating Evaluation: The Case of Ukrainian Economy
by Svitlana Kuznetsova & Maria Vakulich
2016, Volume 2, Issue 2
- 43-50 Auditing Procedures and Process in the Public Sector
by Musa Success Jibrin & Ofor Theresa Nkechi & Success Blessing Ejura
2016, Volume 2, Issue 1
- 1-25 Does Managerial Emotional Biases Affect Debt Maturity Preference? Bayesian Network Method: Evidence from Tunisia
by AZOUZI Mohamed Ali & JARBOUI Anis - 26-42 The Indirect Impact of Overconfidence on the Performance of Tunisian Firms Through their Financing Structure
by Manel Dahmani & Ghazi Zouari
2015, Volume 1, Issue 2
- 53-67 Stock Market Index Prediction with Neural Network during Financial Crises: A Review on Bist-100
by Şakir SAKARYA & Mehmet YAVUZ & Aslan Deniz KARAOĞLAN & Necati ÖZDEMİR - 68-87 The Role of Strategic Planning on the Management of Organizational Change
by Evangelia Fragouli & Joana Kwaw Yankson - 88-101 Share Options, Share Award and Firm’s Performance: Evidence from Malaysian Public Listed Companies
by Nur Azizah Mohamad Parij & Wan Mohammad Taufik Wan Abdullah
2015, Volume 1, Issue 1
- 1-7 Influence Internship Learning Effect in Business Service Sector: Using Internship Self-Efficacy as the Mediator Variable
by Chou Chun-Mei & Shen Chien-Hua - 8-26 The Impact of Dividend Policy on Shareholders’ Wealth before and After Financial Melt down: Evidence from FMCG Sector in India
by Sandanam GejaLakshmi & Ramachandran Azhagaiah - 27-52 Promoting Local Acceptability of International Oil Companies (IOCS) Through Corporate Social Responsibility (CSR): The Case of Tullow Oil in Ghana
by Evangelia Fragouli & Aiden Yengbalang Danyi