Content
2020, Volume 10, Issue 2
- 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 - 1-9 An Empirical Analysis on the Impact of Higher Education on Income Inequality
by Xinhua Hui
2020, Volume 10, Issue 1
- 1-2 Bank monitoring and stock price crash risk: Evidence from China
by Suyu Sun & Xueling Shang & Weiwei Liu - 1-3 The Spillover Effects of U.S. Monetary Policy on the Chinese Stock Market
by Wei Wei - 1-4 Studies on the Determinants of Efficiency in Taiwanese Life Insurance Industry - Application of Bootstrapped Truncated Model
by Kuan-Chen Chen & Chung-I Lin - 1-5 The Market Reaction of Bonus Shares Issuing and the Lottery-like Stock Preference: Evidence from Chinese Stock Market
by Haotian Xu & Wei Wei - 1-6 Dynamic correlations and distributions of stock returns on China's stock markets
by Chuo Chang - 1-7 Market structure, efficiency and profitability in the Italian banking sector
by Paolo Coccorese & Antonio Cardone - 1-8 Internet Development and Structural Transformation: Evidence from China
by Yi Li - 1-9 Related Party Transactions and Opinion Shopping
by Guang-Zheng Chen - 1-10 Key Factors of Investment Decision on Integrated Resort Attractions
by Day-Yang Liu & Chia-Lee Fan
2019, Volume 9, Issue 6
- 1-1 Financial Evaluation and Efficiency of Microfinance Institutions: A cross-country analysis
by Kyriazopoulos Georgios - 1-2 Factors affecting the level of depositors’ satisfaction towards the services of commercial bank: Evidence from Vietcombank, Can Tho branch, Vietnam
by Van-Thep Nguyen & Day-Yang Liu - 1-3 Does monetary policy tightening reduce the maturity mismatch of investment and financing: Empirical evidence from China
by Jing Wu & Qiuge Yao & Haoxiang Tong - 1-4 Non-performing Loans and Housing Prices in Taiwan
by Tsaubin Chen & Chiang Ku Fan - 1-5 An empirical study of the risk-free rate and the expected consumption growth
by Weiwei Liu - 1-6 Do Volatility Indexes and Historical Volatility Influence Stock Prices? The Japanese Case
by Yutaka Kurihara & Shinichiro Maeda - 1-7 Analysing bank stability in India: Evidence from 2007/08-2016/17
by Rachita Gulati & Nirmal Singh - 1-8 Financial distress prevention in China: Does gender of board of directors matter?
by Guanping Zhou - 1-9 Company self-rationing: The case of the Souss-Massa region
by Aicha Amrhar & Lahsen Oubdi - 1-10 Profitability of Banks in India: Impacts of Market Structure and Risk
by Santanu Kumar Ghosh & Santi Gopal Maji - 1-11 The impact of financial risk on systematic risks: international evidence
by Osama Wagdi & Yasmeen Tarek - 1-12 Information in excess analyst coverage: Evidence from China’s stock market
by Yuan Zhang - 1-13 Occupational Identity Discrimination in Peer-to-Peer Lending
by Xiangbo Cui - 1-14 Bank Trading, Capital, and Profitability
by Jijun Niu & Victor Y. Song - 1-15 Impact of Financial Transparency on SMEs’ Value
by Andrea Quintiliani
2019, Volume 9, Issue 5
- 1-1 Modeling heteroscedastic, skewed and leptokurtic returns in discrete time
by Ivivi Joseph Mwaniki - 1-2 How does reserve ratio decreasing act on market: Empirical evidence from China
by Yuxun Wang - 1-3 Chinese Alcohol Culture and Corporate Rent-seeking Behavior
by Zhiwei Fang & Xiao Jin - 1-4 Credit risk evaluation and rating for SMES using statistical approaches: the case of European SMES manufacturing sector
by Kyriazopoulos Georgios - 1-5 The short-term spillover effects of the Fed on Chinese financial market The overshooting model or the portfolio balance theory
by Feiyan Zhang & Dewen Chen - 1-6 Corporate Debt Choice and Board Size: The Case of Oil Exporting Economy
by Faisal Seraj Alnori & Ali Mohsen Shaddady - 1-7 The analysis of market timing, exchange rate of us dollar, and inflation to equity fund performance during 2011-2017
by Nathalia Angelina Lucas & Jenry Cardo Manurung & Adler Haymans Manurung & Bahtiar Usman - 1-8 Will History Repeat Itself? Empirical Research on A-Share Candlesticks in China Based on Matching Method
by Huadong Chang & Guozhi An - 1-9 Do Private Commercial Banks Outperform State-owned Commercial Banks? Empirical Evidence from Bangladesh
by Md Golzare Nabi & Md. Aminul Islam & Rosni Bakar - 1-10 Determinants of Managerial Performance on Taiwan Sports Lottery in System Dynamics Modeling of Strategic Management Approach
by Day-Yang Liu & Wen-Chun Tsai & Chung-Yi Fang & Pei-Leen Liu
2019, Volume 9, Issue 4
- 1-2 Influences of Autonomous Cars on the Insurance Market from the Perspectives of Insurance Companies and Auto Insurance Agencies
by Chiang Ku Fan & Xian Xu - 1-3 Behavior of Initial Return in Indonesia Market
by Adler Haymans Manurung & Edhi Juwono & Indra Siswanti - 1-4 Parallel banking system: Opportunities and Challenges
by Evanthia K. Zervoudi - 1-5 Structural changes in the banking industry and the Generation of small and medium enterprises: An empirical study based on China’s 1998-2013 industrial enterprise data
by Xueling Shang & Zhiwei Chen & Suyu Sun & Sen Cao - 1-6 How Does CEO Equity-based Compensation Affect Firm’s Propensity of Issuing New Securities?
by Huaibing Yu - 1-9 Study of endogenous and exogenous factors impact’s on the default probability of listed companies on the Casablanca Stock Exchange
by Abdessamad TOUIMER & Lahsen OUBDI - 1-10 Advanced DEMATEL Technic Illustrate Contemporary Fintech Development
by Shih-Shiunn Chen & Wei-Guang Tsaur & Hung-Ming Yeh & Chung-Ling Huh
2019, Volume 9, Issue 3
- 1-1 The impacts of Shadow banking system on economy. An empirical analysis
by Altaf Hussain & Jianbo Bao & Fanli - 1-2 Housing Prices and Corporate Innovation in China
by Wenqing Zhao & Bing Lu & Jianyu Zhang - 1-3 Determinants of financial soundness of commercial banks: Evidence from Vietnam
by Van-Thep & Nguyen & Day-Yang & Liu - 1-4 Management of abnormal accounting accruals through the regulatory approach of credit risk: Evidence in the MENA countries' banks before and after the Arab Spring Revolution
by Mohamed Sadok GASSOUMA - 1-5 Financialization and Risk Taking of Non-Financial Corporations Empirical Evidence from Chinese Listed Companies
by Chong Li & Qiuge Yao & Jing Wu & Daoyuan Wang - 1-7 The Risk Spillover Effects of Securities Companies in China’s Capital Market with the CoVaR Method
by Li Wang
2019, Volume 9, Issue 2
- 1-1 The Banking System in Australia and New Zealand: A Vision together
by J. Alejandro Fernández Fernández - 1-2 Bayesian Estimation of Structure Variables in the Collective Risk Model for Reserve Risk
by Alessandro Ricotta & Edoardo Luini - 1-3 The Impact of Top Management Team and Organizational Culture on Product/Service and Process Innovation in Vietnamese Banks
by Dao H. Duong & Fredric W. Swierczek - 1-4 Finance, Institutions, Remittances and Economic growth: New Evidence from a Dynamic Panel Threshold Analysis
by Afi Etonam Adetou & Komlan Fiodendji - 1-5 Rumor Mill and Merger Waves: Analysis of Aggregate Market Activity
by Igor Semenenko
2019, Volume 9, Issue 1
- 1-2 An equilibrium level of credits in the economy of Kazakhstan
by Shalkar Baikulakov - 1-3 Assessing Financial Literacy of Employed and Business People in AMBO, Ethiopia: Evidence for Policy Makers
by Sunitha Kumaran - 1-4 Monetary Policy, Real Cost of Capital, Financial Markets and the Real Economic Growth
by Ioannis N. Kallianiotis - 1-5 Bank-Specific Determinants of Commercial Banks Financial Stability in Kenya
by Samuel Mwangi Kiemo & Tobias O. Olweny & Willy M. Muturi & Lucy W. Mwangi - 1-6 Investor Behavior Biases and Stock Market Reaction in Kenya
by Irene Cherono & Tobias Olweny & Tabitha Nasieku - 1-7 GARCH Modelling of Conditional Correlations and Volatility of Exchange rates in BRICS Countries
by Smile Dube
2018, Volume 8, Issue 6
- 1-1 What Drives House Building The collateral effect with evidence from China
by Chao Jin - 1-2 Systematic Correlation is Priced as Risk Factor
by Xiangying Meng & Xianhua Wei - 1-3 How do Family Ownership and Control Affect the Demand for Director and Officer Insurance?
by Tzu Ching & Weng - 1-4 Estimating and Forecasting West Africa Stock Market Volatility Using Asymmetric GARCH Models
by Djahoué Mangblé Gérald - 1-5 The Impact of Different Educational Experiences on Non- cognitive Ability and Consumption Decision Based on the Analysis of Dynamic Monitoring Data of Floating Population in China
by Jingya Hou - 1-6 Industry Herding, Spillover Index and Investment Strategy
by Tung-Yueh Pai & Yen-Hsien Lee - 1-7 Algorithm for Lease Terms, Cost and Profit
by David E. Vance - 1-8 The Heterogenous Impact of Fluctuation of Housing Prices upon Consumption of Urban Households in China
by Jingjing Yan - 1-9 Are the forecast errors of stock prices related to the degree of accounting conservatism?
by Chen-Yin Kuo
2018, Volume 8, Issue 5
- 1-1 Toward homogeneous and balanced Chinese Economic Prosperity
by Liang-Xin Li - 1-3 Deposit insurance, as the basis for ensuring financial sustainability of the banking system
by Vladimer Glonti & Irina Vashakmadze - 1-4 Portfolio rebalancing versus buy-and-hold: A simulation based study with special consideration of portfolio concentration
by Frieder Meyer-Bullerdiek - 1-5 Illiquid Trades on Investment Banks in Financial Crisis
by Han-ching Huang & Yong-chern Su & Hsin-Pei Tu - 1-6 The Impact of Absorptive Capacity on Service Innovation Performance: An Empirical Study on Banking in East Borneo Indonesia
by Cheng-Wen Lee & Nurul Hidayat
2018, Volume 8, Issue 4
- 1-1 On the Treatment of Model Risk in the Internal Capital Adequacy Assessment Process
by Tilo Bellof & Carsten S. Wehn - 1-2 A Synthesis of the Foreign Direct Investment Effects
by Saous Cheikh & Mostéfaoui Sofiane - 1-4 Evaluation of determinants of financial inclusion in Uganda
by Godfrey Akileng & Gillian Mercy Lawino & Eric Nzibonera - 1-5 Banking crisis management in the European Resolution Framework: from “bail-out†to “bail-inâ€
by Giampiero Maci - 1-6 Modelling Haircuts: Evidence from NYSE Stocks
by Mehmet Benturk & Marshall J. Burak - 1-7 Stock prices and GDP in the long run
by Annika Alexius & Daniel Spang - 1-8 The Impact of the Company's Market Timing on Insider Trading of Repurchase Announcement
by Han-Ching Huang & Shiao-Ru Peng
2018, Volume 8, Issue 3
- 1-1 SMEs finance and bankruptcies: The role of credit guarantee schemes in the UK
by Paolo Agnese & Manuel Rizzo & Gianfranco A. Vento - 1-2 Goodwill and Performance
by Kaiss Sarra & Nezha Baghar & Mounime El Kabbouri - 1-3 The Relationship between Sectoral Foreign Direct Investment and Macroeconomic Variables: Empirical Evidence from Turkey
by Bahar Erdal - 1-4 Racial Ethnic differences in Household Loan Delinquency Rate in recent financial crisis: Evidence from 2007 and 2010 Survey of Consumer Finances
by Okechukwu D. Anyamele - 1-5 Correlation Neglect and Overconfidence. An Experimental Study
by Markus Spiwoks & Kilian Bizer - 1-6 Financial Crisis and Capital Adequacy Ratio: A Case Study for Cypriot Commercial Banks
by Andreas Hadjixenophontos & Christos Christodoulou-Volos - 1-7 The Equity Premium Puzzle Based on a Jump-Diffusion Model
by Fanchao Zhou & Yanyun Li & Jun Zhao & Peibiao Zhao
2018, Volume 8, Issue 2
- 1-1 Determinants of bank capital: Case of Tunisia
by Mohamed Aymen Ben Moussa - 1-2 The Impact of CEO Characteristics on Real Earnings Management: Evidence from the US Banking Industry
by Yan-Yu Chou & Min-Lee Chan - 1-3 Factors affecting bank credit risk: An empirical insight
by Changjun Zheng & Niluthpaul Sarker & Shamsun Nahar - 1-4 Does institutional quality matter for lending relationships?
by Annamaria Nifo & Sabrina Ruberto & Gaetano Vecchione - 1-5 Exchange Rate Expectations
by Ioannis N. Kallianiotis - 1-6 Family Holding and Board Effectiveness on the Risk-taking of Financial Industry in China and Taiwan
by Shu-Ling Lin & Lu Jun & Jing-Lun Yan
2018, Volume 8, Issue 1
- 1-1 The Research of the Periodic Features of Stock Index Volatility based on Hilbert-Huang Transformation
by Xingfang Huang & Lianqian Yin - 1-2 On the Risk Measures of Real Estate Assets
by Xiaomin Guo - 1-3 An Algorithm Exploiting Episodes of Inefficient Asset Pricing to Derive a Macro-Foundation Scaled Metric for Systemic Risk: A Time-Series Martingale Representation
by Richard W. Booser - 1-4 Socially Responsible Investments and their Anticyclical Attitude during Financial Turmoil Evidence from the Brexit shock
by Helen Chiappini & Gianfranco A. Vento - 1-5 The Role of Environmental Accounting in Sustainable Development. Empirical Study
by Amer Shakkour & Hamza Alaodat & Emad Alqisi & Ali Alghazawi
2017, Volume 7, Issue 6
- 1-1 Macro economic cycle effect on mortgage and personal loan default rates
by Petrus Strydom - 1-2 On the implementation of asymmetric VaR models for managing and forecasting market risk
by Vasilios Sogiakas - 1-3 Cash Holdings and Cash Flow Uncertainty
by Lin Cho-Min & Chien I-Hsin & Chan Min-Lee & Chen Hui-Wen - 1-4 Deriving momentum strategies in Chinese stock Market: Using Gene Expression Programming
by Yujie Zhu & Tieqi Wang - 1-5 Capital Asset Pricing Model – investigation and Testing
by Huang Xian Yu - 1-6 A Study of Alignment between Management and Shareholders on China Financial Firms
by Xiaolou Yang - 1-7 Modelling Approaches for Expected Credit Losses
by Eleftherios Vlachostergios
2017, Volume 7, Issue 5
- 1-1 Bank Regulation: One Size Does Not Fit All
by David Grossmann & Peter Scholz - 1-2 Efficiency of the Brazilian Banking System in 2014: A DEA-SBM Analysis
by Adriel Martins de Freitas Branco & Alexandre Pereira Salgado Junior & PatrÃcia Benites Cava & Eduardo Falsarella Junior & Marco Antônio Alves de Souza Junior - 1-3 Estimation of Murabaha Margin
by K. Chelhi & M. El Hachloufi & M. Aboulethar & A. Eddaoui & A. Marzak - 1-4 Interest Rate, Risk Taking Behavior, and Banking Stability in Emerging Markets
by Shiow-Ying Wen - 1-5 Analysis of the Effects of the US Stock Market Returns and Exchange Rate Changes on Emerging Market Economies’ Stock Market Volatilities
by Ihsan Erdem Kayral & Semra Karacaer - 1-6 Relationship between Crude Oil Prices and the U.S. Dollar Exchange Rates: Constant or Time-varying?
by Duong Le
2017, Volume 7, Issue 4
- 1-1 Branch Efficiency and Location Forecasting: Application of Ziraat Bank
by Ilker Met & Guven Tunalı & Ayfer Erkoc & Sinan Tanrikulu & M. Ozgur Dolgun - 1-2 Testing for Long-memory and Chaos in the Returns of Currency Exchange-traded Notes (ETNs)
by John Francis Diaz & Jo-Hui Chen - 1-3 Predictability of Foreign Exchange Rates with the AR(1) Model
by Andreas Hadjixenophontos & Christos Christodoulou-Volos - 1-4 Fair Value Information and Risk Management: the Moderating Effect of Corporate Governance
by Hui-Wen Hsu - 1-5 A Model to Predict Corporate Failure in the Developing Economies: A Case of Listed Companies on the Ghana Stock Exchange
by Richard Oduro & Michael Amoh Aseidu - 1-6 Micro-determinants of Customer Level Interoperability: A Feasibility Study between Traditional Banks and Mobile Network Operators in Zimbabwe
by Eukeria Mashiri & Canicio Dzingirai & Lilian Nyamwanza
2017, Volume 7, Issue 3
- 1-1 Related Party Transactions and Firm Value in the Business Groups in the Indonesia Stock Exchange
by Martua Eliakim Tambunan & Hermanto Siregar & Adler Haymans Manurung & Dominicus Savio Priyarsono - 1-2 Has the Financial Crisis Affected the Profitability of Banks in Croatia?
by Tomislava Pavic Kramaric & Marina Lolic Cipcic & Marko Miletic - 1-3 Basel III and Credit Crunch: An Empirical Test with Focus on Europe
by Mario Mustilli & Francesco Campanella & Eugenio D’Angelo - 1-4 The Market Efficiency of Bitcoin: A Weekly Anomaly Perspective
by Yutaka Kurihara & Akio Fukushima - 1-5 Network Evolution of the Chinese Stock Market: A Study based on the CSI 300 Index
by Bing Li - 1-6 Extreme Value Theory with an Application to Bank Failures through Contagion
by Rashid Nikzad & David McDonald - 1-7 Traditional Budgeting in Today’s Business Environment
by Asogwa & Ikenna Elias & Etim & Osim Etim - 1-8 Rationality of Investors in P2P Online Lending Platform with Guarantee Mechanism: Evidence in China
by Nanfei Zhang
2017, Volume 7, Issue 2
- 1-1 Funding optimization for a bank integrating credit and liquidity risk
by Petrus Strydom - 1-2 The Relevance of Age Categories in explaining Internet Banking Adoption Rates and Customers' Attitudes towards the Service
by Silvio John Camilleri & Gail Grech - 1-3 Working Capital Management and Profitability of Real Estate Industry in Jordan: An Empirical Study
by Basman Al Dalayeen - 1-4 The Impact of Bank Size on Profit Stability in China
by Tsangyao Chang & Chin-Chih Chen - 1-5 The Determinants of Liquidity Risk: Evidence from Tunisian Banks
by Khemais Zaghdoudi & Abdelaziz Hakimi - 1-6 Bayesian Approach to PD Calibration and Stress-testing in Low Default Portfolios
by Denis Surzhko - 1-7 Do Value Stocks Outperform Growth Stocks in the U.S. Stock Market?
by Chongsoo An & John J. Cheh & Il-woon Kim
2017, Volume 7, Issue 1
- 1-1 Developing a Volume Forecasting Model
by Bogdan Batrinca & Christian W. Hesse & Philip C. Treleaven - 1-2 Idiosyncratic Volatility and Liquidity Risk: How they have Explanatory Power in Stock Returns
by Jun-Biao Lina & Ping-Yeh Su - 1-3 A Short Note on the Funding of Investment Firms Across the Crisis: Did the Turmoil Bring Changes?
by Silvia Bressan - 1-4 Are Investors Willing to Buy Non-award-wining Funds from Awarded Fund Companies?
by Ya-Hui Wang - 1-5 Impacts of Macroeconomic News on Vietnamese SOEs' Performance
by Nicholas Lee & Fu-Min Chang & Yale Wang & Duong Thu La & Hsiang-Jane Su - 1-6 Is There a Role for Central Bank Independence on Public Debt Dynamics?
by Stephanos Papadamou & Moïse Sidiropoulos & Eleftherios Spyromitros - 1-7 Utilizing Australian Shareholders' Association (ASA): Fifteen Top Financial Ratios to Evaluate Jordanian Banks' Performance
by Radi Atoom & Eyad Malkawi & Basima Al Share
2016, Volume 6, Issue 6
- 1-1 What drives the liquidity position of foreign-owned banks? The case of Poland
by Karolina Patora - 1-2 On the Predictability and Resilience of Gold Prices’ Returns and Volatility
by John Francis T. Diaz - 1-3 Factors Affecting the Exchange Rate Risk Premium
by Ioannis N. Kallianiotis - 1-4 Exchange Rate and Inflation Volatility and Stock Prices Volatility: Evidence from Nigeria, 1986-2012
by Emeka Nkoro & Aham Kelvin Uko - 1-5 A Market Analysis of Telematics-Based UBI in Taiwan
by Chiang Ku Fan & Xiangyou Wu & Dachuan Zheng & Wen Lin - 1-6 Truth and Robustness in Cross-country Law and Finance Regressions: A Bayesian analysis of the Empirical “Law Matters†Thesis
by Wenming Xu & Guangdong Xu - 1-7 Stress Testing and a Comparison of Alternative Methodologies for Scenario Generation
by Michael Jacobs - 1-8 An investigation of the factors affecting medical expenses: The case of Taiwan’s NHI implementation
by Tsung-Yu Hsieh & Huai-I Lee & Yu-Ju Huang
2016, Volume 6, Issue 5
- 1-1 How far the Media of Managerial Accounting can percept the Expectations of Current and Prospective Investors in rationalizing Credit and Investment Decisions: Field Study in KSA
by Azza H. Shalaby & Shehab Yehia Mohamed Ahmed Eltobgey - 1-2 Monitoring, Loan Rates and Threat of Enterprise Liquidation in a Bank Relationship
by Rim Tlili - 1-3 An Extension of Collective Risk Model for Stochastic Claim Reserving
by Alessandro Ricotta & Gian Paolo Clemente - 1-4 National State Aid within the Banking Union (BU) and the Hard Core: Periphery Financial Divide
by Theo Kiriazidis - 1-5 Do Investors Buy Lotteries in China’s Stock Market?
by Yu Liang & Weiqiang Zhang - 1-6 Are Islamic Banks’ Non-bank Deposits Shock Resistant? A Comparison with Conventional Banks: Evidence from Bahrain
by Abdus Samad - 1-7 Corporate Governance of UAE Financial Institutions: A Comparative Study between Conventional and Islamic Banks
by Tarek Roshdy Gebba & Mohamed Gamal Aboelmaged - 1-8 An Empirical Exploration of Customer Relationship Management Practices in Banking Industry: A Study of Indian Private Sector Banks
by Basman al Dalaeen & Anas Khan
2016, Volume 6, Issue 4
- 1-1 Determinants of Financial and Temporal Endurance of Commercial Banks during the Late 2000s Recession: A Split-Population Duration Analysis of Bank Failures
by Xiaofei Li & Cesar L. Escalante - 1-2 Research on the Relationship between Financial Development and Economic Growth: Based on an Empirical Analysis of Shenzhen
by Li Xiang & Yang Dongye - 1-3 Efficiency of the Brazilian Banking System: An Assessment Using DEA under Three Approaches
by Adriel Martins de Freitas Branco & Alexandre Pereira Salgado Junior & PatrÃcia Benites Cava & Murilo Carneiro - 1-4 Commercial Banks Profitability and Stock Market Developments
by Karima Sayari & Dhiaa Shamki - 1-5 Taiwanese Banking Earnings Management
by Chun-Ying Chen & Chun-An Li - 1-6 Corporate Cash Holding: A Constraints’ solving Tool to Access to External Financing: Evidence from Tunisian Listed Firms
by Basty Nadia - 1-7 Efficiency of the Nigerian Stock Market with Respect to Pure Contemporary Monetary Policy Instruments: A Dynamic Weighted LS Approach
by Ernest Simeon Odior & Isaac Chin. Nwaogwugwu
2016, Volume 6, Issue 3
- 1-1 On the Asymmetric and Dynamic Price-volume Nexus: Sector-level Evidence
by Walid M. A. Ahmed - 1-2 Investment Performance of Intangible Assets: A Further Consideration of Product Safety and High Compensation
by Feng-Jui Hsu & Yu-Cheng Chen & Tsung-Yi Liu - 1-3 The Impact of External Financing on Dividend per Share of Quoted Manufacturing Firms in Nigeria
by Obi & Chineze Eunice & Imo G Ibe - 1-4 Modelling Day of the Week Effect on the Zimbabwe Stock Exchange
by Batsirai Winmore Mazviona & Milton Webb Ndlovu - 1-5 Causal Nexus between Fiscal Deficit and Economic Growth in Odisha: An Empirical Investigation
by Sri Satyapriya Rath & Ashok Kumar Sar - 1-6 The Determinants of Bank Profitability: Dynamic Panel Evidence from South Asian Countries
by Md. Shahidul Islam & Shin-Ichi Nishiyama - 1-7 Mergers and Acquisitions: A Pre-post Risk – Return Analysis for the Indian Banking Sector
by Ritesh Patel & Dharmesh Shah - 1-8 Bank’s Capital Requirements in the Business Cycle: A DSGE Analysis with a News Shock
by Shin Fukuda - 1-9 The Linkage between Excess Board Independence and Capital Structure: An Exploration in the Context of Listed Companies in Saudi Arabia
by Lakshmi Kalyanaraman & Basmah Altuwaijri - 1-10 How does Corporate Governance Affect Free Cash Flow?
by Dan Lin & Lu Lin - 1-11 Modelling and Assessment of Product Musharaka Islamic Financial Risk
by El hachloufi Mostafa & Elmarzouki Abdenbi & Kamili Widiane
2016, Volume 6, Issue 2
- 1-1 The Least-squares Monte Carlo method for pricing options embedded in mortgages
by Deng Ding & Wenfei Wang & Li Wang - 1-2 Corporate Social Responsibility, Risk Factor and Financial Performance of Listed Firms in Ghana
by John Gartchie Gatsi & Comfort Ama Akorfa Anipa & Samuel Gameli Gadzo & Joseph Ameyibor - 1-3 Minimization of Value at Risk of Financial Assets Portfolio using Genetic Algorithms and Neural Networks
by El Hachloufi Mostafa & El Haddad Mohammed & El Attar Abderrahim - 1-4 Multivariate t- distribution and GARCH modelling of Volatility and Conditional Correlations on BRICS Stock Markets
by Smile Dube - 1-5 Venture Capital and Female Entrepreneurs: A Case Study
by Muhammad Moinuddin Qazi Abro - 1-6 Micro and Small Enterprises, Bank Loans and Economic Growth: A Coalition Strategy
by Sen Wang & Ning Zeng - 1-7 Determinants of Price Volatility of Futures Contracts: Evidence from an Emerging Market
by Eyup Kadioglu & Saim Kilic & Nurcan Ocal - 1-8 Holiday Trading in China: Before and During the Financial Crisis
by Xing Lu & Jamshid Mehran & Han Gao - 1-9 Does China Require an Explicit Deposit Insurance System?
by Fu Shuen Shie
2016, Volume 6, Issue 1
- 1-1 Size, Equity Backing, and Bank Profitability: A Case Study Using Panel Data from Bangladesh
by Mahfuza Khatun & Sikandar Siddiqui - 1-2 Assessing Incrementalism in United Arab Emirates Federal Budgeting
by Mukdad Ibrahim - 1-3 The Transmission of Liquidity Shock across International Markets during the 2007-08 Financial Crisis
by Nizar Harrathi & Imen Kouki - 1-4 On the Comovements among European Exchange Rates and Stock Prices: A Multivariate Time-Varying Asymmetric Approach
by Riadh El Abed - 1-5 Portfolio Optimization is One Multiplication, the Rest is Arithmetic
by Hamid Ahmadi & Danusorn Sitdhirasdr - 1-6 The Causality Issue in the Financial Openness and Economic Growth Nexus: Empirical Evidence from Selected Emerging Countries: 1975-2011
by Mohamed Trabelsi & Mondher Cherif - 1-7 Impact of Deficit Financing on Economic Stability in Nigeria: Analysis of Economic Growth
by Eze & Onyekachi Ricahrd & Festus O. Ogiji - 1-8 The Technical Efficiency of Manufacturing Companies on the Nigerian Stock Exchange
by Ifuero Osad Osamwonyi & Kennedy Imafidon
2015, Volume 5, Issue 6
- 1-1 On the Interaction between the Crude Oil Market and the Macroeconomic Activity: How do the 2000s differ from the 70s?
by Chaker Aloui & Imen Dakhlaoui - 1-2 Forecasting Stock Return Volatility: Evidence from the West African Regional Stock Market
by N’dri Konan Léon - 1-3 Asymmetry and Leverage Effect of Political Risk on Volatility: The Case of BIST Sub-sector
by Güven Sevil & Melik Kamışlı & Serap Kamışlı - 1-4 Corporate Social Responsibility and Financial Performance: Does CEO Compensation Really Matter?
by Chih-Wei Peng & Yu-Cheng Chen - 1-5 Estimating the Cost of Equity Capital of the Banking Sector in the Eurozone
by Maher Asal