Content
2024, Volume 14, Issue 6
- 1-1 The Quality of Blume and Vasicek Betas for forecasting systematic risk: Evidence from a German stock portfolio
by Frieder Meyer-Bullerdiek - 1-2 Natural Disasters, Local banking, and Recovery lending: evidence from an Italian earthquake
by Matteo Alessi & Ilaria Manti & Luca Santabarbara - 1-3 Risk Analysis of Mortgage Loan Default for Bank Customers and AI Machine Learning
by Ming-Tsung Hung & Huai-Chun Lo
2024, Volume 14, Issue 5
- 1-2 Key Strategies for Enhancing Professional Accounting Value through Effective Talent Development
by Cheng-Wen Lee & Yao-Jen Su & Yi Tang Hu - 1-3 The Investment Evaluation Standards and Process of Venture Capital Industry in Taiwan: Taking T Venture Capital Company as an Example
by Tzung-Hsien Lee & Chien-Liang Chen & Sung-Lin Wang - 1-4 Competition's Effect: Unveiling the Simultaneous Relationship between Risk and Cost of Financial Intermediation
by Md Mohiuddin Chowdhury & Changjun Zheng & Anupam Das Gupta & Atta Ullah - 1-5 (Re)insurance and Diversification Inside P&C Insurers
by Silvia Bressan & Sabrina Du
2024, Volume 14, Issue 4
- 1-1 The Impact of ESG on Corporate Financing Decisions Before and After Covid-19: Evidence from Taiwan
by Ji-Ying Fang & Wen-Sheng Wang - 1-2 Measuring Financial Stability in Curaçao and Sint Maarten
by Gavin Ooft & Monique Thijn-Baank - 1-3 Exploring Calendar Effects in Bitcoin Returns: An Analysis of Market Efficiency
by Chen-Han Liu - 1-4 Carbon Disclosure and Information Asymmetry
by Kuei Chiu Lee - 1-5 Bank Customer Churn Prediction Using Machine Learning Framework
by Rasha Ashraf - 1-6 Economic Analysis of Judicial Conciliation in Brazilian Financial Institutions
by Anna Cláudia De Vasconcelos & Mathias Schneid Tessmann & Humberto Nunes Alencar
2024, Volume 14, Issue 3
- 1-1 How to Deal with the Sovereign Debt Crisis in the Post-epidemic Era
by Hou Wenjie - 1-2 The Causality between Analysts’ Recommendations and Corporate M&As
by Ching-Chih Wu & Tung-Hsiao Yang - 1-3 Fed’s Dual Mandate: Maximum Employment and Price Stability
by Ioannis N. Kallianiotis - 1-4 Sentiment-Driven Exchange Rate Forecasting: Integrating Twitter Analysis with Economic Indicators
by Kazım Berk Küçüklerli & Veysel Ulusoy - 1-5 Financial Resilience of Young and Beginning Farmers under Recession: A Transition Probability Approach
by Hofner D. Rusiana & Cesar L. Escalante & Brady E. Brewer - 1-6 Investigating the Impact of Financial Reporting for Cryptocurrencies on Company Value
by Kuo-Shing Chen
2024, Volume 14, Issue 2
- 1-2 Seasonality, Monetary Supply and Taiwanese Momentum
by Hsiao-Peng Fu & Shu-Fan Hsieh - 1-3 The Impacts of the Interest Rate, the Exchange Rate, and the Market Index on the Stock Returns of the Brazilian Banks
by Paulo Henrique Ângelo Souza & Mathias Schneid Tessmann & José Luiz Rossi Júnior & Marcelo de Oliveira Passos - 1-4 The Performance Analysis of Trading Strategies Based on Insider Silence
by Han-Ching Huang & Guan-Yu Chen - 1-5 Personality, Risk and Financial Planning: A Consigned Credit Analysis
by Péricles Dias de Souza Júnior & Paulo Vitor Jordão da Gama Silva - 1-6 Commitment to the ESG investing and Individual Mutual Fund Investors’ Preference: Evidence from Stated Choice Experiments
by Hongyu Xiang - 1-7 Determinants of Asset Value Adjustments: The Case of Germany’s Cooperative Banks
by Richard Reichel
2024, Volume 14, Issue 1
- 1-1 Estimation of Efficiency and the Effect of Access to Finance on Efficiency of Small and Medium Enterprises (SMES) in the Western area of Sierra Leone
by Richard E.O Pearce & Abdullah Bah - 1-2 Leadership and Entrepreneurship: Evidence from a Chinese Household Survey
by Jinglin Jiang & Hongyu Xiang - 1-3 Does Using the Extended Audit Report Decrease Information Asymmetry in Family Firms?
by Nien-Su Shih - 1-4 Digital Technology for Supply Chain Management- marketing Integration
by Cheng-Wen Lee & Budi Hasyim & Jan-Yan Lin - 1-5 Exploring Parents' Needs for Campus Architectural Planning from the Kano Two-Dimensional Quality Model - Taking Metropolitan Elementary Schools as an Example
by Ho-Mei Yao & Yi-Long Hsiao - 1-6 Performance and Assets and Liabilities Management in the U.S. Credit Union
by Jalal El Fadil & Helyoth Hessou - 1-7 ESG Integration into Venture Capital in the UK
by Ruike Wang
2023, Volume 13, Issue 6
- 1-1 The Impact of Corporate Political Connections on Analyst Forecast Quality
by Tzu-Ching Weng & Kai-Jui Hsu & Yi-Wei He - 1-2 Speed for Safety: The Establishment of Bankruptcy Courts and Bank Credit Risk in China
by Yue Zhang - 1-3 Do the Choices of Family Business CEOs Affect Investment Decisions?
by Chih-Wei Peng & Huei-Ru Tsai & Kuo-Chih Cheng & Tsung-Fu Chuang - 1-4 Announcement Effect Study of Issuing Tier 2 Capital Bonds on the Stock Price of China Construction Bank
by Song Jiaxin - 1-5 Research on Small-Cap Value Rotation Investment Strategy Based on "Size Effect" - Evidence from the Chinese Stock Market
by Ziang Zhou - 1-6 An Empirical Study of the Key Profitability Factors of Interest-free Banking vs. Conventional Banking in the MENA Region Following the 2008 Financial Crisis
by Mariam Bouarich - 1-7 Panel-Data Analysis of Capital Account Liberalization and Tax Revenue
by Bojan Ilievski - 1-8 Reinsurance and Sustainability: Evidence from International Insurers
by Silvia Bressan - 1-9 Impact of Digital Inclusive Finance on Household Formal Credit: Evidence from China Household Finance Survey
by Huimin Li - 1-10 An Empirical Evidence of The Impact of Inventory Management on The Profitability of Manufacturing Companies
by Abdullah Bah & Ezekiel K. Duramany-Lakkoh & Foday Daboh - 1-11 Corporate Social Responsibility, Ownership Structure, and Financial Performance: An Analysis of Taiwan's Food and Catering Industry
by Shu-Yu Lin & Che-Chiang Hsu & Chester Wai-Jen Liu - 1-12 Sustainability Metrics and Green Finance for Chemicals
by Annalisa Ferrari & Antonino Buscemi - 1-13 What do we Know about Corporate Debt Maturity Structure in Saudi Arabia?
by Faisal Seraj Alnori - 1-14 Are Global Factors Useful for Forecasting the Exchange Rate?
by José Luiz Rossi Júnior & Pedro Fontoura & Marina Rossi
2023, Volume 13, Issue 5
- 1-1 An Empirical Study of Internet Insurance in Taiwan Adopting the Theoretical Framework of UTAUT2
by Chiang Ku Fan & Chen-Ying Lee - 1-2 Do Female Fund Managers outperform their Male Counterparts? A Quantitative Analysis of UK Retail Funds
by Jacob H Schmidt & Bianca Hutton Chimes - 1-3 Development of a Transition Matrix Model of Credit Rating of Companies based on Forecasted Macro Factors: the Case of Greece
by John Leventides & Konstantinos Lefkaditis & Anna Donatou & Evangelos Melas & Costas Poulios - 1-4 Corporate ESG Performance and Financing Constraints: Empirical Evidence from Chinese Listed Companies
by Hou Xiaoyu - 1-5 Measuring the Cost Efficiency of Lebanese Commercial Banks using the Stochastic Frontier Approach
by Nasma A. Berro - 1-6 Accounting vs. Politics: Effects of China-US Audit Cooperation on China Concept Stocks
by Shijie Wang
2023, Volume 13, Issue 4
- 1-1 The Impact of the COVID-19 Pandemic on Quality of Financial Reports
by Hung Chi Chen & Hsiang-Tsai Chiang & Dessy Voren - 1-2 A Principal Component Analysis of Digital Banking Development in Taiwan
by Mei-Mei Lin & Fu-Hsiang Kuo - 1-3 The time-varying correlation between popular narratives and TRY/USD FX rate: Evidence from a DCC-GARCH model
by Kazım Berk Küçüklerli & Veysel Ulusoy - 1-4 Optimal Portfolio with Sustainable Attitudes under Cumulative Prospect Theory
by Massimiliano Kaucic & Filippo Piccotto & Gabriele Sbaiz & Giorgio Valentinuz - 1-6 Construction Portfolio Using Elton Gruber Model: COVID-19
by Adler Haymans Manurung & Nita Yudhaningsih Sinaga & Amran Manurung
2023, Volume 13, Issue 3
- 1-1 Performance Evaluation of The Sierra Leone Banking Sector Using Camel Rating Framework
by Foday Daboh & Ezekiel K. Duramany-Lakkoh - 1-2 Factors that Affect Bank Risk in Commercial Banks that Are Publicly Listed
by Cicilia Monica Agustina & Adler Haymans Manurung & Amran Manurung - 1-3 Heterogeneous Behavior and Volatility Transmission in the Forex Market using High-Frequency Data
by Rim Ammar Lamouchi & Ruba Khalid Shira - 1-4 The Impact of Green Bonds on Banking Sector Performance: A Comparative Study on Developed and Emerging Markets
by Myvel Nabil - 1-5 The Relationship between VIX and Technical Indicator: The Analysis of Shared-Frailty Model
by Chen & Jo-Hui & Hussain & Sabbor & Chen & Fu-Ying - 1-6 Bank Profitability and Mergers in the German Cooperative Banking Sector
by Richard Reichel - 1-7 Determinants of Bank Management Confidence Level in Indonesia moderated by Bank Scale
by I Ketut Suyasa & Adler Haymans Manurung & Jhonni Sinaga & Amran Manurung
2023, Volume 13, Issue 2
- 1-1 The Export-Led Growth Hypothesis: Some Evidence from the 8-ASEAN
by Cheng-Wen Lee & Budi Hasyim & Jan-Yan Lin - 1-2 How has Covid-19 influenced the composition of bank incomes?
by Nilufer Ozdemir & Cuneyt Altinoz - 1-3 The Relationships among Digital Marketing, Brand Emotional Attachment and Brand Attitude
by Yueh-Shian Lee - 1-4 The Comparison and Analysis of Exchange Traded Funds (ETFs) Return Rates
by Luqi Yuan & Shihong Zeng - 1-5 Internal and External Determinants of Risk Based Capital
by Jhonni Sinaga & Adler Haymans Manurung & Nera Marinda Machdar & John Edward Harly Jacob FoEh - 1-6 The Impact of Industry Specialist on the Relationship between Returns and Future Earnings
by Han-Ching Huang & Yung-An Huang
2023, Volume 13, Issue 1
- 1-1 Whether Family-owned Enterprises Affect the Correlation between the Extent of export and the Acquisition of the Third-party Assurance of the Corporate Social Responsibility Reports
by Hsin-Yi Huang & Chih-Kang Lien & Feng-Chen Lin & I-Ting Tsai - 1-3 Probability Bankruptcy Using Support Vector Regression Machines
by Adler Haymans Manurung & Derwin Suhartono & Benny Hutahayan & Noptovius Halimawan - 1-4 Does Managerial Ability Affect Corporate Diversification Strategies and Corporate Diversification Performance? Evidence from the US
by Hui-Wen Hsu - 1-5 Making Green Bonds Greener: Proposals to Increase the Efficiency of Green Bonds
by André Tomfort - 1-6 Value-at-Risk Estimation Using an Interpolated Distribution of Financial Returns Series
by Saeed Shaker-Akhtekhane & Solmaz Poorabbas - 1-7 Does the Development of Money Market Funds in China Increase the Bank Liquidity Risk?
by Xiaole Tong & Jingfei Wang
2022, Volume 12, Issue 6
- 1-1 Analysis on the Next Generation of Artificial Intelligence Development Plan and Digital Financial Inclusion: Evidence from China
by Aili Zhang & Xinyu Sun - 1-2 Efficiency of Syrian Banks: A Nonparametric Frontier Approach
by Haidar Haidar - 1-3 Bank Competition, Financing Constraints and Enterprise Innovation
by Jingya Hou & Xiaoyu Lu - 1-4 China's Green Finance Premium Anomalies Based on Factor Models
by Lianqian Yin & Qiuju Wang - 1-5 The Effects of Financial Ratios on the Perceived Risk Count for Single Equity VIX
by Jo-Hui & Chen & Sabbor Hussain & Wen-Lin Yeh - 1-6 Testing for the Long Memory and Multiple Structural Breaks in Consumer ETFs
by Malinda & Maya & Jo-Hui & Chen - 1-7 Jump Dynamics and Leverage Effect: Evidences from Energy Exchange Traded Fund (ETFs)
by Jo-Hui & Chen & Sabbor Hussain - 1-8 Selected Methods of optimized Sampling for Index Tracking – Evidence from German Stocks
by Frieder Meyer-Bullerdiek - 1-9 Pharmaceutical and Telecommunications Sector Weak Form Market Efficiency Study in Indonesian Capital Market 2017-2020
by Cheng-Wen Lee & Taufiqquddin Ande
2022, Volume 12, Issue 5
- 1-1 Corporate Governance and Financial Crisis - A Empirical Study of Taiwanese Listed Companies
by Cheng-An Shen & Hsiu-Fang Wang & Hsiang-Tsai Chiang - 1-2 Predicting Bitcoin Prices via Machine Learning and Time Series Models
by Yu-Min Lian & Jia-Ling Chen & Hsueh-Chien Cheng - 1-3 Pricing Rent-to-Own Options with a Barrier Level: Taking Housing Contracts as an Example
by Yi-Long Hsiao & Chien-Jung Ting - 1-4 The Effects of Ownership Structure on Bank Efficiency for Taiwan: Is there a Non-Linear Relationship?
by Chang-Sheng Liao & Xinyan Li - 1-5 International Fund Allocation under Economic Policy Uncertainty Shock
by Jingya Hou & Daoguo Wang
2022, Volume 12, Issue 4
- 1-2 How Does International Crude Price Affect China’s Carbon Emission?
by Qiaoling Chen - 1-3 Corporate Social Responsibility and Value of Cash Holdings in Taiwan: The Role of Family Firms
by Min-Lee Chan & Cho-Min Lin & Huan-Min You - 1-4 Application of the Real-Time Tourism Data in Nowcasting the Service Consumption in Taiwan
by Chien-jung Ting & Yi-Long Hsiao & Rui-jun Su - 1-5 Differences in Perceptions of the Housing Cost Burden Among European Countries
by Marco Brandolini & Federica Coroneo & Elena Giarda & Cristiana Moriconi & Sarah Grace See
2022, Volume 12, Issue 3
- 1-1 Gamification as a Customer Loyalty Tool. Evidence from the Italian Banking Industry
by Valeria Roncone & Manuela Massari - 1-2 The Information Content of Indirect Insider Trading: Empirical Evidence from Vietnam Security Market
by Han-Ching Huang & William Indajang - 1-3 A Critical Analysis of Budgeting Processes from the Pharmaceutical Industry and Beyond
by Gianfranco Marotta & Phillipe Krahnhof & Cam-Duc Au - 1-4 Effect of Board Diversity on Earnings quality of Non-Financial Firms Listed at the Nairobi Securities Exchange
by Sammy Thuo Kangea & Tabitha Nasieku & Willy Muturi - 1-5 The Moderating Effect of Automation on Firm Specific Factors and Performance of Initial Public Offering Stocks at The Nairobi Securities Exchange In Kenya
by Anaclet Biket Okumu & Tobias Olweny & Willy Muturi
2022, Volume 12, Issue 2
- 1-2 The Impact of Market Factors and News Sentiments on Silver Futures ETFs
by Yu-Min Lian & Jian-Chi Yang & Ko-Liang Kuo - 1-3 Trade Balance and Exchange Rate: The J-Curve
by Ioannis N. Kallianiotis - 1-4 Semi-mandatory Dividend Policy and Investment Efficiency: Evidence from Listed Companies in China
by Bolin Liu - 1-5 The Impact of China’s Capital Market Opening Up to the Domestic Stock Idiosyncratic Risk
by Chenpeng Du
2022, Volume 12, Issue 1
- 1-1 Credit Resource Availability and Innovation Output: Evidence from Chinese Industrial Enterprises
by Yuqiao Liu - 1-2 Applications of a “Carry-Over†Enhanced DSBM Intertemporal Technical Efficiency Model on the Taiwanese 5G Industry
by Day-Yang Liu & Hui-Chien Fan & Joseph C.P. Shieh & Cheng-Hsien Lin - 1-3 Nonlinear Short-Run Adjustments between REITs and Stock Markets in the USA and Australia
by Cheng-Wen Lee & Wei-Jui Chen - 1-4 Liquidity, Ownership Structure and Dividend Policy: Evidence from China’s Split Share Structure Reform
by Shuyue Chen & Bin Dang - 1-5 “Beta†with “Size Premium†an Augmented Approach in the Frontier Equity Market: Evidence from Dhaka Stock Exchange
by Mahfuza Khatun & K. M. Zahidul Islam - 1-6 ESG Challenges in the Construction of UK Balanced Portfolios for Private Investors: An Analysis of the Availability and Performance of ESG Funds Across Various Asset Classes
by Jacob H. Schmidt PhD & Charlie McCann - 1-7 Research on Influencing Factors of the Leverage Ratio of Non-financial Enterprises in the GBA
by Shihong Zeng & Fan Li & Zhen Zhong
2021, Volume 11, Issue 6
- 1-1 Value Analysis and Value Engineering on the Sustainability of Global Sourcing Competitiveness
by Cheng-Wen Lee & Chi-Hsi Wang - 1-2 Factors Shaping Consumers Intention in Purchasing Life Insurance Policy in Bangladesh: A Binary Logistic Analysis
by Golam Ramij
2021, Volume 11, Issue 5
- 1-1 Governance, Financial Development and Economic Growth in the WAEMU area: Evidence from panel ARDL analysis
by DRAMA Bedi Guy Hervé - 1-2 Machine Learning and Time Series Models for VNQ Market Predictions
by Yu-Min Lian & Chia-Hsuan Li & Yi-Hsuan Wei - 1-3 Role of Digital Financial Services in Confronting Covid-19 Crisis in Bangladesh
by Md. Johir Rayhan & Md. Jahir Uddin - 1-4 Does Industry Specialist Auditor Provide More Insights in Their audit report? An Empirical Study of Key Audit Matters Section
by Li-Jen He - 1-5 Market Trends and Options Trading: Viewpoint, Probability and Implications
by Monica Guling Wu & Hsinan Hsu & Janchung Wang - 1-6 Monetary Policy Rules vs Discretion: Social Cost and Benefits
by Ioannis N. Kallianiotis
2021, Volume 11, Issue 4
- 1-1 The Impact of Initial Public Offerings on Firms’ Performance: Disentangling Treatment from Self-Selection Effects
by Dario Salerno - 1-2 Factors Affecting the Development Policies of Digital Deposit Accounts for the Bank in Taiwan
by Tsung-Chun Chen & Fu-Hsiang Kuo & Wei-Bin Lin - 1-3 Nonlinear Interactions and Volatility Spillovers between Stock and Foreign Exchange Markets: The STVEC-STGARCH-DCC Approach
by Hsiang-Hsi Liu & Pi-Hsia Hung & Po-Hung Luo Cho - 1-4 Measuring Market Risk of Commercial Banks Implementing VaR with Historical Simulation Approach
by Minhaz-Ul-Haq - 1-5 Firm Funding and Investment under Bank Credit Control Policy: Evidence from China
by Xiaochen Fu - 1-6 Mobile Credit and Performance: Experience and Lessons from Micro and Small Enterprises in Kenya
by Silas Alumasa & Stephen Muathe
2021, Volume 11, Issue 3
- 1-2 Dynamic Equicorrelation Analysis of Financial Contagion: Evidence from Latin America Markets
by Roberto Louis Forestal & Shih Ming Pi - 1-3 The Impact of Corporate Governance Mechanisms on Compliance with IFRS and Financial Reporting Quality
by Cheng-Wen Lee & Yi Tang Hu - 1-4 Impact of Specialization, Ownership Structure, and Size on Cost and Profit Efficiency of US Commercial and Savings Banks
by Md. Asif Nawaz - 1-5 Measuring Hukou Amenity by Using Urban Land Price in China
by Haoxuan Zou & Guannan Teng - 1-6 Banking Sector Consolidation and Stability in Kenya
by Samuel Kiemo (PhD) & Cyrus Mugo
2021, Volume 11, Issue 2
- 1-1 Fundamental Anomalies and Firms Financial Distress; Evidence from Nairobi Securities Exchange, Kenya
by Roche Charles & Dr. Olweny Tobias & Dr. Nasieku Tabitha - 1-2 The Nexus Between Internal Investment and Economic Growth in Kenya
by Andrew K. Kamenju & Dr. T. Olweny - 1-3 The Analysis of COVID-19 Prevention Experience Using DEMATEL-Based ANP
by Cheng-Wen Lee & Yi Tang Hu - 1-4 Covid-19 and the Technology Bubble 2.0: Evidence from DCC-MGARCH and Wavelet Approaches
by Caner Özdurak & Cengiz Karataş - 1-5 Predicting Economic Performance of Bangladesh using Autoregressive Integrated Moving Average (ARIMA) model
by Raad Mozib Lalon & PhD & Nusrat Jahan - 1-6 A Study of Project Financing on the Defense Industry in Systems Thinking Perspective
by Day-Yang Liu & Chia-Kan Wang & Chung-Yi Fang & Pei-Leen Liu - 1-7 The Evolution of the Lead-lag Markets in the Price Discovery Process of the Sovereign Credit Risk: the Case of Italy
by Michele Anelli & Michele Patanè & Mario Toscano & Alessio Gioia
2021, Volume 11, Issue 1
- 1-1 An Analysis on Bank Credit and Industrial Structure Upgrading of Beijing-Tianjin-Hebei Region-Based on Technological Innovation Mode
by Qinglu Yuan & Huan Zhou - 1-2 Exchange Rate Determination: The Portfolio-Balance Approach
by Ioannis N. Kallianiotis - 1-3 The Internationalization-Performance Relationship of Small-and-Medium-sized Enterprises: The Case of Taiwan’s ESCO Industry
by Li-Jen Yeh & Jia-Ying Hu & Zongyi Chen - 1-4 Standard or Sustainable - Which Offers Better Performance for the Passive Investor?
by Daniel C. Khajenouri & Jacob H. Schmidt - 1-5 Money Supply, Inflation and Economic Growth in China: An ARDL Bounds Testing Approach
by Cheng-Wen Lee & Hao-Yuan Yu - 1-6 Non-Performing Loan Recovery: The Case of Mongolia
by Davaajargal Luvsannyam & Enkhtur Minjuur & Dulguun Lkhagvadorj & Enkhsuren Bekhbat - 1-7 Credit Risk Management and Efficiency of Savings and Credit Cooperative Societies: A Review of Literature
by Josiah Aduda & Stephen Obondy
2020, Volume 10, Issue 6
- 1-1 Does Household Mortgage Really Restrain Consumption? an Analysis Based on the Data of China Family Panel Studies in 2018
by Huaming Wang - 1-2 Disruptions and Digital Banking Trends
by Luigi Wewege & Jeo Lee & Michael C. Thomsett - 1-3 Linkages between Foreign Direct Investment and Financial Development: Evidence from West African Countries
by Yaya Keho - 1-4 The Social Network Volume of COVID-19 and Stock Market Response
by Chih-Yu Chin & Chia-Hsien Tang & Yen-Hsien Lee - 1-5 Engineer CEOs and Corporate Innovation
by Jialun Yang & Frank Y. Feng - 1-6 Cost Efficiency and Convergence in the European Nonlife Insurance Industry
by Dimitrios G. Giantsios & Athanasios G. Noulas - 1-7 Did Aggressive Business Growth Strategies Lead to Bank Failures? Lessons from the Late 2000s Great Recession
by Maoyong Zheng & Cesar L. Escalante & Carmina E. Taylor - 1-8 Shadow Prices of Non-performing Loans for Chinese Banks in the Post-Crisis Era
by Shirong Zhao - 1-9 The Impact of Innovation on Banking Performance: Evidence from Lebanese Banking Sector
by Fatima Chalabi - 1-10 The Effects of Exchange Rate Volatility on Exports in COMESA: A Panel Gravity Model Approach
by Lucas Njoroge - 1-11 A Study of Taiwanese Banks’ Home Loan Life Insurance Attached to Home Loans
by Pih-Shuw Chen & Jia-Jan Lee & Pei-Fen & Ou - 1-12 The Stability of Banks’ Retail Deposits at the Early Stages of Covid-19 Pandemic: A Preliminary Evidence from Euro Area
by Paolo Agnese & Gianfranco A. Vento
2020, Volume 10, Issue 5
- 1-1 A Theoretical Framework of Financial Inclusion on Poverty Alleviation
by Jing Zhang - 1-2 How Do Institutional Investors Swell Firm Innovation: Evidence from China’s High-tech Companies
by Bingnan Ye & Wei Liu - 1-3 Does the Investor Sentiment Affect the Stock Returns in Taiwan’s Stock Market under Different Market States?
by Yu-Hong Liu & Syuan-Rong Dai & Fu-Min Chang & Yih-Bey Lin & Nicholas Rueilin Lee - 1-4 Research on the Issuance and Distribution Model of Sports Lottery in Taiwan from a Systems Thinking Perspective
by Day-Yang Liu & Chia-Yang Chang & Chung-Yi Fang & Pei-Leen Liu - 1-5 The Economic Freedom, Corporate Governance and Risk-taking Behavior: Evidence from the European Life Insurance Industry
by Hui-Hsuan Liu & Chin-Chi Liu - 1-6 Do the Capital Requirements Affect the Effectiveness of Monetary Policy from the Credit Channel?
by Xiaoqiong Diao - 1-7 COVID-19 Virus Pneumonia’s Economic Effect in Different Industries: A Case Study in China
by Yuhan Cheng & Dongqi Cui & Zixuan Li - 1-8 Interaction between Non-standard Debt and Wealth Management Products in China
by Peng Liao - 1-9 Analysis of The Effect of Financial Ratios to Probability Default of Indonesia’s Coal Mining Company
by Celly Septine Mayliza & Adler Haymans Manurung & Benny Hutahayan - 1-10 A Heterogeneity Analysis on SPV Investment of Chinese Banks
by Hui Deng & Yu Fu - 1-12 Can RMB Exchange Rate Expectations Explain the Fluctuations of China’s Housing Prices?
by Chunni Wang - 1-13 Evaluation of the main African Stock Exchanges Markets for Foreign Direct Investments. A Statistical Approach
by Kyriazopoulos Georgios & Sariannidis Nikolaos & Parpoutzidou Androniki - 1-14 The Impact of COVID-19 Pandemic on the Smooth Transition Dynamics of Broad-based Indices Volatilities in Taiwan
by Day-Yang Liu & Chun-Ming Chen & Yi-Kai Su - 1-15 A Closer Look at Analyst Expectations: Stickiness and Confirmation Bias
by Keqi Chen - 1-16 Fiscal Policies and Performance: Evidence from Dominican Republic firms
by Alessandra Amendola & Marinella Boccia & Gianluca Mele & Luca Sensini - 1-17 Does Client Importance Matter to Book-Tax Differences?
by Yi-Hsing Liao & Pih-Shuw Chen & Teng-Sheng Sang & Chia-Hsuan Tseng
2020, Volume 10, Issue 4
- 1-1 Breadth of Ownership and the Comovement of Equity Prices in China Stock Market
by Jiahe Ou - 1-2 The Impact of Economic Policy Uncertainty on Real Estate Development in China
by Miao Li & Gaoqiang Wu - 1-3 Credit Supply Response to Non-Performing Loans: Some Evidence From the Italian Banking System
by Elizabeth J. Casabianca - 1-4 Determinants of Financial Inclusion in East Gojjam, Ethiopia
by Beza Muche Teka & Simon Nahusenay & Taddess Asmare - 1-5 Credit Expansion and Misallocation
by Yuanchen Yang & Yangyang Liu - 1-6 Can Liquidity Constraints Explain the Differences of Growth Across Countries?
by Lunbi Wu - 1-7 Risk/Return/Retention Efficient Frontier Discovery Through Evolutionary Optimization For Non-Life Insurance Portfolio
by Andrea Riva - 1-8 Analysis of the Pro-cyclical Behavior of Credit Spread in Chinese Bond Market
by Chunjing Wang & Jinming Qu - 1-9 The Performance of Trading Strategies based on the Ratio of Option and Stock Volume
by Han-Ching Huang & Bo-Sheng Wu - 1-10 The Impact of the Public Opinion on Stock Market: Evidence from Weibo in China
by Dongqi Cui & Yuhan Cheng - 1-11 The Effectiveness of the Single Mandate of the ECB and the Dual of the Fed
by Ioannis N. Kallianiotis & Iordanis Petsas
2020, Volume 10, Issue 3
- 1-1 Effect of training on corporate financial performance of commercial banks in Kenya
by Philip Kibwage Ondiba & Prof. Thomas Kimeli Cheruiyot & Prof. Timothy Sulo - 1-2 Analysis of the Determinants of Trade Balance: A Case Study of Vietnam
by Nguyen Thi Viet Nga - 1-3 An Empirical Research on Top Management Team Size, Board Size and Corporate Performance
by Xinhua Hui - 1-4 Currency Regimes, Volatility Risks, and Carry Trades: The Option Value of Government Currency Intervention in Emerging Markets
by Wenliang Guo - 1-5 Risk Management after Mergers and Acquisitions. Evidence from the Greek Banking System
by Dr. Kyriazopoulos Georgios & Dr. Drympetas Evaggelos & Kollias Konstantinos - 1-6 Political connection and corporate innovation: Evidence from China
by Zhe Tang - 1-7 Determinants of Bank Profitability with Size as Moderating Variable
by Mohammad Sofie Abdul Hasan & Adler Haymans Manurung & Bahtiar Usman - 1-8 Does Political Connection in China Influence Urban Land Supply?
by Haoxuan Zou - 1-9 The Impact of Product Diversification on Risk-taking Behavior in Property and Liability Insurance Firms
by Chen-Ying Lee
2020, Volume 10, Issue 2
- 1-1 Determinants of Corporate Dividend Policy under Hyperinflation and Dollarization by Firms in Zimbabwe
by S. Mbulawa & N. F. Okurut & M. M. Ntsosa & N. Sinha - 1-2 Performance and Cash Value of Taiwan Multinational Firms’ FDI in ASEAN
by Min-Lee Chan & Kannika Duangnate & Cho-Min Lin - 1-3 Mergers and Acquisitions and how they affect the Labor productivity. Evidence from the Greek Banking system
by Dr. Kyriazopoulos Georgios & Thanou Efthymia - 1-4 Political Connections, Financial Constraints and Long-term Growth
by Haoxiang Tong & Boya Yu & Jing Wu & Guanping Zhou - 1-5 The Analysis of Repayment of Default Bonds: Evidence from China
by Li Li - 1-6 The effect of corruption on stock market volatility
by Eleftherios Spyromitros - 1-7 Real estate prices, fiscal revenue and economic growth
by Xiaoyu Gao & Anjie Dong - 1-8 The Effects of Macroeconomic Variables and Company’s Financial Ratios on Stock Prices of Coal Mining Companies Listed in Indonesia Stock Exchange for the Period of 2013 - 2018
by Nidia Prastivini S. Sastralaga & Adler Haymans Manurung & Ferdinand D. Saragih & Benny Hutahayan