Content
2015, Volume 5, Issue 6
- 1-6 Influence of Firm Size and Profitability on Corporate Social Responsibility Disclosures by Banking Firms (CSRD): Evidence from Jordan
by Mohammad Ebrahim Nawaiseh & Soliman .S. Also boa & Rezk Abou Zaid Youssef El-shohnah - 1-7 Effects of TQM Practices on Banking Sector Performance: The Case of Jordan
by Ahmad Mashal & Emad Ahmed - 1-8 Linkage between Financial Development, Trade Openness and Economic Growth: Evidence from Saudi Arabia
by Mohammed Ziaur Rehman & Nasir Ali & Najeeb Muhammad Nasir
2015, Volume 5, Issue 5
- 1-1 Elucidating Corporate Governance Using New View: U- Shaped Relationship of Ownership Structure
by Li-Jen Yeh & Hsien-Chang Kuo - 1-2 Corporate Governance Mechanisms Adopted by UAE National Commercial Banks
by Tarek Roshdy Gebba - 1-3 Multi-period PD Calibration Framework for LDP Portfolios
by Denis Surzhko - 1-4 Determinants of Commercial Banks’ Total Factor Productivity Growth in Sub-Saharan Africa (SSA)
by Ezra Francis Munyambonera & Corti Paul Lakuma - 1-5 Supply Chain Financing Research of G Bank
by Jian Fei Leng & Xu Gao & YinMei Chen - 1-6 Analyze Cyber-Channel Conflict While Adopting Bancassurance: A Frequency Perspective
by Chiang Ku Fan & Wen-Chin Lu - 1-7 Effects of Bonds Issuance on Banking Performance
by Adler Haymans Manurung - 1-8 Evaluating the Potential for Reverse Innovation in BRIC- T Countries: A Panel Data Analysis
by Nazan Yelkikalan & Erdal Aydın - 1-9 Internal Control Weakness and Information Quality
by Tzu-Ching Weng & Hsin-Yi Chi & Guang-Zheng Chen - 1-10 Relationship Between Financial Performance Of Banks and Stock Revenues: Panel Data Analysis
by Çağatay Başarır & Yakup Ülker - 1-11 Pro-Cyclical Banking Leverage in France: On its Existence and Management
by Carmela D’Avino - 1-12 Rating models and its Applications: Setting Credit Limits
by Mehdi Bazzi & Chamlal Hasna
2015, Volume 5, Issue 4
- 1-1 Asset Price and Monetary Policy: The Japanese Case
by Yutaka Kurihara - 1-2 Impact of Cultural Beliefs on Entrepreneurs’ Intention to use Bank Loans
by Marcellin Makpotche & Kinvi Logossah & Yao Amewokunu & Assion Lawson-Body & Komlan Sedzro - 1-3 Impact of Domestic Acquisition on Acquirer Shareholders’ Equity: An Empirical Study on the US Market
by Giampiero Favato & Mohamed Nurullah & Juliet A. Cottingham - 1-4 The Expiration-Day Effect of Derivatives’ Trading: Evidence from the Taiwanese Stock Market
by Tsung-Yu Hsieh & Huai-I Lee - 1-5 Do Crude Petroleum Imports Affect GDP of Turkey?
by Meliha Ener & Cüneyt Kɪlɪç & Feyza Balan - 1-6 Evaluating the contribution of Bank-specific variables in the Cost Efficiency of the Jordanian Banks
by Ammar Jreisat - 1-7 Why do the Enterprises Engage in Inefficient Investment in China? Evidence from the Government’s Grabbing Hand
by Jifu Cai - 1-8 Does Price increases in Chinese Stock Index cause Brent Crude Oil Index? Applying Threshold Cointegration Regression
by Nicholas Ruei-Lin Lee & Ming-Min Lo & Hsiang-Hui Chu & Hsiang-Jane Su - 1-9 Price Volatility, Information and Noise Trading: Evidence from Chinese Stock Markets
by Johnny K. H. Kwok - 1-10 Flexibility of the Exchange Rate Regime and Exchange Regulation in Morocco
by Omar Bakkou - 1-11 Review of Literature on Finance-Growth Nexus
by Najia Saqib
2015, Volume 5, Issue 3
- 1-1 Stock Markets and Tax Revenue
by Bojan Ilievski - 1-2 Applied Model for Financial Bubbles
by Bodo Herzog - 1-3 Ebitda as a Criterion for Assessment of the Banks System: The Case of Deutesche Bank, Generali and Unicredit
by Antonino Buscemi - 1-4 Did Abenomics’ Two Arrows Hit the Bulls?
by Kwok-Chiu Lam - 1-5 Credit, Equity Conversion and Housing Endowment: Analysis of Reverse Mortgage Markets
by Chien-Chiang Lee & Kuo-Shing Chen & David So-De Shyu - 1-6 Determinants of Working Capital and Investment Financing Patterns of SMEs: Evidence from Turkey
by Aysa Ä°pek ErdoÄŸan - 1-7 Measuring the Financial Performance of Islamic Banks
by Mukdad Ibrahim - 1-8 Corporate Social Responsibility and Information Asymmetry
by Lu & Chia-Wu & Chueh & Ting-Shu - 1-9 Investors’ to Reaction to Marketing and Financial Announcements in the Telecommunication Sector
by Batool K. Asiri - 1-10 Merger and Acquisitions of IPO firms in Taiwan
by Jean Yu & Shiow-Ying Wen - 1-11 Investigating Liquidity-Profitability Relationship: Evidence from Companies Listed in Saudi Stock Exchange (Tadawul)
by Mohammed Ziaur Rehman Muhammad Nauman Khan & Imran Khokhar - 1-12 Analysis of the Factors that Determine the Profitability of the Deposit Banks in Turkey
by Nuray Ä°slatince
2015, Volume 5, Issue 2
- 1-1 Study on Efficiency Sustainability of Taiwan’s Bank Performance under a Dynamic Framework
by Cheng-Wen Lee & Chia-Jui Peng & Wen-Chuan Fu - 1-2 Market Behavior in "Lucky" Days
by Jian Zhang & Alex Meisami & Jamshid Mehran - 1-3 Using Financial Disclosures to Evaluate the Risk Profile of Large GCC Banks
by Mahmoud Haddad & Sam Hakim - 1-4 An Empirical Evidence of Measuring Growth Determinants of Indian Firms
by Priyanka Aggarwal - 1-5 Economic Growth and Stock Market Development in Bahrain
by Batool K. Asiri & Mohamed A. Abdalla - 1-6 The Economic Relevance of the Current Exchange Control Regime of Morocco: Morocco can adopt Full Convertibility of the Dirham?
by Omar Bakkou - 1-7 An Empirical Examination of Returns on Select Asian Stock Market Indices
by Kasilingam Lingaraja & Murugesan Selvam & Sankaran Venkateswar - 1-8 The Use of Mixed Methods in Management Research
by Muhammad Moinuddin Qazi Abro & Muhammad Adnan Khurshid & Alamzeb Aamir - 1-9 Technical Efficiency of Banks and the Effects of Risk Factors on the Bank Efficiency in Gulf Cooperation Council Countries
by Bukhari M. S. Sillah & Imran khokhar & Muhammad Nauman Khan
2015, Volume 5, Issue 1
- 1-1 Economic Performance Evaluation of Fragile 5 Countries After the Great Recession of 2008-2009 Using Analytic Network Process and Topsis Methods
by Emrah Onder & Nihat TaÅŸ & Ali HepÅŸen - 1-2 Predictive Ability of Accounting Ratio for Bankruptcy
by Marco Muscettola - 1-3 Trapped in the Here and Now – New Insights into Financial Market Analyst Behavior
by Markus Spiwoks & Zulia Gubaydullina & Oliver Hein - 1-4 Impact of Bank Credits on Economic Growth and Inflation
by Suna Korkmaz - 1-5 Top Manager Background Characteristics, Family Control and Corporate Social Responsibility (CSR) Performance
by Li-Jen He & Chao-Jung Chen & Hsiang-Tsai Chiang - 1-6 The Transformation of Financial System and Its Impact on Consumers: Case Study of Pakistan
by Najia Saqib - 1-7 Risk and Income Diversification in the Vietnamese Banking System
by Thi Canh Nguyen & Dinh Vinh Vo & Van Chien Nguyen - 1-8 Do Institutions Quality Affect FDI Inflows in Sub-Saharan African Countries?
by Komlan Fiodendji & Kodjo Evlo - 1-9 Using Principal Components Analysis to Model Interest Rate Moves and Measure Delta Exposure: A Comprehensive Breakdown of a Lebanese Commercial Bank’s Portfolio
by Viviane Y. Naimy - 1-10 Empirical Proof of the CAPM with Higher Order Co-moments in Nigerian Stock Market: The Conditional and Unconditional Based Tests
by Arewa Ajibola & Onafalujo Akinwunmi Kunle & Nwakanma Prince C
2014, Volume 4, Issue 6
- 1-1 Modification of Earnings Quality Capability Measurement Indices by adding the Centralized Tendency Factor
by Shen-Ho Chang - 1-2 What Determinants China’s Mortgage Credit Boom
by Ming Qi & Chengcheng Zheng - 1-3 Market Risk Measures using Finite Gaussian Mixtures
by Jorge Rosales Contreras - 1-4 The Divergence of Long - and Short-run Effects of Manager’s Shareholding on Bank Efficiencies in Taiwan
by Ying-Hsiu Chen & Pao-Peng Hsu - 1-5 Investor Protections, Financial Development and Corporate Investment Efficiency
by Ji-fu Cai - 1-6 Perspectives of Turkish Banks on Basel II
by Sema Bayraktar & Ayşe Evren Hoşgör & Tarık Erhan Göztepe - 1-7 Financial Inclusion through Mobile Banking: A Case of Bangladesh
by Nur Alam Siddik & Gang Sun & Yanjuan & Sajal Kabiraj - 1-8 Financial Fragility and Performance of Nigerian Banking Institutions: An Inter-Temporal Analysis
by Adolphus J. Toby - 1-9 Estimation of Term Structures using Nelson-Siegel and Nelson-Siegel-Svensson: A Case of a Zimbabwean Bank
by Jacob Muvingi & Takudzwa Kwinjo - 1-10 Bank Return Volatility and Management Structure
by Xiaolou Yang & Gang Peng
2014, Volume 4, Issue 5
- 1-1 The Dynamic Market-Derived Capital Pricing Model: Theoretical Foundations and Empirical Analysis
by Chaouki Mouelhi & Jacques Saint-Pierre - 1-2 An Era of Intangible Assets
by Alem Hagos Yallwe & Antonino Buscemi - 1-3 What Determines Capital Adequacy in the Banking System of Kingdom of Saudi Arabia? A Panel Data Analysis on Tadawul Banks
by Ali Polat & Hassan Al-khalaf - 1-4 Using Multi-class AdaBoost Tree for Prediction Frequency of Auto Insurance
by Yue Liu & Bing-Jie Wang & Shao-Gao Lv - 1-5 The Determinants of Bank Capital Structure and the Global Financial Crisis: The Case of Turkey
by Tuncer Gocmen & Osman Sahin - 1-6 Does Investment Experience Affect Investors’ Brand Preference and Purchase Intention?
by Ya-Hui Wang - 1-7 Testing Short-Term Over/Underreaction Hypothesis: Empirical Evidence from the Egyptian Exchange
by Aliaa Bassiouny & Amira Ragab - 1-8 The Effects of the Fair Value Option under IAS 40 on the Volatility of Earnings
by Husam Aldeen Al-Khadash & Ahmad Y. Khasawneh - 1-9 Corporate Governance Practices in Commercial Banking Sector of Malawi: Evidence from Annual Reports
by Andrew Munthopa Lipunga
2014, Volume 4, Issue 4
- 1-1 Do European Central Bank Announcements Influence Stock Prices and Exchange Rates?
by Yutaka Kurihara - 1-2 What Determines Trade Liberalization in Banking Services under the WTO?
by Ching-Yang Liang - 1-3 An Evidence for Ineffectiveness of Central Bank Foreign Exchange Interventions from Turkey
by Macide Çiçek - 1-4 Cross Usage of Banks and Credit Unions
by Jeffrey Gutenberg & William Caren & Michael Schinski & James Prinzi - 1-5 The Impact of Wealth ManagementKnowledge on Job Performances: Evidence from Insurance Industry
by Hui-Lin Hsu - 1-6 Iceland’s Currency Options
by Mustapha Ibn Boamah - 1-7 Cross-listing, Volatility and Liquidity: Evidence from a Perfectly Segmented Market
by Johnny K. H. Kwok - 1-8 Credit Risk Management in the Financial Markets
by Mehmet Nar - 1-9 The Determinants of the Return of Investment: An Empirical Study of Egyptian Listed Corporations
by Mahmoud A. Touny & Amir A. Shusha - 1-10 Estimating the VaR of Brazilian stock portfolios via GARCH family models and via Monte Carlo Simulation
by Lucas Lucio Godeiro
2014, Volume 4, Issue 3
- 1-1 Is Financial Communication on Euronext Brussels linked to Ownership Structure?
by Laetitia Pozniak & Mélanie Croquet & Olivier Colot - 1-2 Institutional Factors and Investors Sentiments for Dividends
by Maria Elisabete Duarte Neves - 1-3 Short-term Stock Price Behaviour around European Cross-border Bank M&As
by Evangelos Drymbetas & George Kyriazopoulos - 1-4 Illiquidity, Systemic Risk, and Macroprudential Regulation: The Case of Taiwan's Capital Market
by Po-Hsiang Huang & Shih-Cheng Lee & Szu-Lang Liao - 1-5 Validating Black-Scholes Model in Pricing Indian Stock Call Options
by R.Nagendran & S. Venkateswar - 1-6 The Dynamic Co-movements between Oil and Stock Market returns in: The Case of GCC Countries
by Zainab Jaafar Alhayki - 1-7 Banks and Young People in Italy: Financial Product, Credit and other Features
by Pasqualina Porretta & Fabrizio Santoboni - 1-8 The Role of the Macro-economic Factors in the Credit Risk Management in Tunisian Deposit Banks
by Gassouma Mohamed Sadok - 1-9 Economic Growth, Financial Depth and Savings Nexus in Saudi Arabia: An Empirical Investigation
by Najeeb Muhammad Nasir & Nasir Ali - 1-10 Equity-based Executive Compensation, Managerial Legal Liability Coverage and Earnings Management
by Tzu-Ching Weng & Chia-Hsuan Tseng & Chun-Ho Chen & Yun-Sheng Hsu - 1-11 Consumer Protection in Banking: Investigating the 10 High Level Principles of G20 in Saudi Arabia
by Ali Polat & Abdulsalam A. Alsaif - 1-12 Transmission of the U.S. Subprime Crisis and the European Sovereign Debt Crisis to Emerging Markets
by Kae-Yih Tzeng & Christina Tay - 1-13 The Impact of Bank Characteristics on the Efficiency: Evidence from MENA Islamic Banks
by Mustapha Ben Hassine & Ratiba Limani - 1-14 Banking during Bubbles: What Difference does it Make on Post-bubble Lending?
by Laura Gonzalez
2014, Volume 4, Issue 2
- 1-1 Effect of Enterprise Resource Planning Information System on Business Performance: An Empirical Case of Taiwan
by Chenyin Kuo - 1-2 The Cost of Credit and Positive Feedback Trading: Title Evidence from the U.K. Stock Market
by Antonios Antoniou & Gregory Koutmos - 1-3 Economic Integration and Structure Change in Stock Market Dependence: Empirical Evidences of CEPA
by Chung-Chu Chuang & Jeff T.C. Lee - 1-4 Has Borsa Istanbul been conceded Goals by Fenerbahce and Trabzonspor?
by Ekrem Tufan & Bahattin Hamarat - 1-5 Predictors of Financial Development in Ghana
by Michael Adusei & Joseph Magnus Frimpong - 1-6 Did Linear Stochastic Processes predict accurately Short Term Interest Rate Intertemporal Behaviour?
by Mouna Ben Salah & Fathi Abid - 1-7 Effects of Sovereign Credit Ratings on Foreign Direct Investment Inflows: Evidence from Turkey
by Yılmaz Bayar & Cüneyt Kılıc - 1-8 Residual Based Test for Cointegration between Oil Prices and Stock Prices in Saudi Arabia in the Presence of Structural Break
by Lakshmi Kalyanaraman - 1-9 Fiscal Deficits Financing: Implications for Monetary Policy Formulation in Uganda
by Thomas Bwire & Dorothy Nampewo - 1-10 Audit Quality and Earnings Response Coefficients of Quoted Companies in Nigeria
by Augustine O. Okolie - 1-11 Impact of Ownership Structure on Financial Performance of Banks: Case of Tunisia
by Ben Moussa Mohamed Aymen - 1-12 The Impact of Capital Structure on Firm’s Performance Evidence from Saudi Arabia
by Abdullah Ewayed M. Twairesh
2014, Volume 4, Issue 1
- 1-1 Exorbitant Global Imbalances
by M Halim Dalgin - 1-2 Determinants of Bank Profitability: Evidence from Syria
by Mohamed Khaled Al-Jafari & Mohammad Alchami - 1-3 Bank Lending Channel of the Monetary Policy Transmission Mechanism in Uganda: Evidence from Disaggregated Bank-level Data
by Jacob Opolot & Dorothy Nampewo - 1-4 The Impact of Intangible Assets on Financial and Governance Policies: A Simultaneous Equation Analysis
by Sandra Alves & Júlio Martins - 1-5 Macroeconomic Variables Effect on US Market Volatility using MC-GARCH Model
by Jang Hyung Cho & Ahmed Elshahat - 1-6 Empirical Evidence of Financial Services Marketing in the Nigerian Banking Industry
by Ikpefan & Ochei & Ailemen - 1-7 Impact of Internal Factors on Bank Profitability: Comparative Study between Saudi Arabia and Jordan
by Ahmad Aref Almazari - 1-8 The Effect of Capital Market Deepening on Economic Growth in Kenya
by Josiah Aduda & Ronald Chogii & Maina Thomas Murayi - 1-9 Effect of Macro-economic Factors on Aggregate Stock Returns in the Tunisian Financial Market
by Jaber Yasmina - 1-10 Efficiencies of Life/Pension Insurance Industry in Turkey: An Application of Data Envelopment Analysis
by Nilüfer Dalkılıç & Ayşen Altun Ada - 1-11 Factoring as a financial alternative to firms (Case of study of firms providing services to the Federal Electricity Commission)
by Arturo GarcÃa-Santillán & Elena Moreno-GarcÃa & Aseneth del Carmen Aguirre Núñez - 1-12 Lending Values and Liquidity Risk
by Alessandro Juri - 1-13 Measuring the Dependency between Securities via Factor-ICA Models
by Changho Han
2013, Volume 3, Issue 6
- 1-1 Further Evidence of Deficiencies in Classical Finance
by Erhard Reschenhofer & Kevin Windisch - 1-2 The Sensitivity of Non-U.S. Bank Stock Returns to Changes of U.S. Monetary Policy
by Haiyan Yin & Jiawen Yang - 1-3 Interbank Exposures and Risk of Contagion in Crises: Evidence from Finland in the 1990s and the 2000s
by Mervi Toivanen - 1-4 The Ratio Model and its Application: A Revisit
by Zhibai Zhang & Xinyue Zou - 1-5 The Effects of Sovereign Ratings Changes on Turkey’s Stock Market
by Burhan Kabadayi - 1-6 Zimbabwean Commercial Banks Liquidity Risk Determinants after Dollarisation
by Chikoko Laurine - 1-7 The Influence of Reinsurance on Insurance Companies\' Profitability: Evidence from the Austrian, Croatian and Romanian Insurance Industry
by Tomislava Pavic Kramaric & Fran Galetic - 1-8 On the efficiency of the Corporate Bond Market and the Rating Agencies: Evidence from the Israeli Bond Market
by Gil Cohen - 1-9 Analyzing Integration between Stock Market of Turkey and G8 Nations with Maki Cointegration Test
by Feyyaz Zeren & Mustafa Koç - 1-10 Towards Unbiased Portfolio Daily Returns
by Yuxing Yan - 1-11 Guarantee Funds in Microfinance: A Comparative Analysis
by Pasqualina Porretta & Paola Leone & Sabrina Leo - 1-12 Volume-Return Relationship in ETF Markets: A Reexamination of the Costly Short-Sale Hypothesis
by Jung-Chu Lin - 1-13 The Stability of Broad Money Demand (M3) in South Africa: Evidence from a Shopping-Time Technology and an ARDL Model
by Smile Dube - 1-14 The Behavior of Turkish Lira forward and Spot Foreign Exchange Rates
by Neslihan Topbas
2013, Volume 3, Issue 5
- 1-1 The Relative Financial Efficiency of Brazilian Firms and American Firms in the Manufacturing Sector: A Ratio Analysis
by Parviz Asheghian - 1-2 Application of Neural Network and Simulation Modeling to Evaluate Russian Banks’ Performance
by Satish Sharma & Mikhail Shebalkov - 1-3 The Regional Performances of Agricultural Bank of China Applying GEE Method Multiple Linear Regression
by Yi-cheng Liu & Yue-cune Chang - 1-4 Management Practices of the Banking Industry in theKingdom of Bahrain
by Aaron Paul M. Pineda - 1-5 Redistributive Impacts of Public Resources for Basic Education in Cameroon
by Isaac Tamba - 1-6 A Preliminary Causal Analysis of Small Business Access to Credit during Economic Expansion and Contraction
by Kimble Byrd & Linda W. Ross & Caroline E. W. Glackin - 1-7 Does External Debt Increase Net Private Wealth? The Relative Impact of Domestic versus External Debt on the US Demand for Money
by Meng Li & Sumaria Mohan-Neill - 1-8 How important is the Experience of the External Auditor in the Audit of Electronic Commerce (A Case of Jordan)
by Mohammad Ebrahim Nawaiseh & Suhayb Yunis Sarareh & Madher Hamdallah - 1-9 An Empirical Study on the Relationship between R&D and Financial Performance
by Feng-Jui Hsu & Mu-Yen Chen & Yu-Cheng Chen & Wei-Chieh Wang - 1-10 Liquidity Risk and Incentive Compensation in Open-ended Funds
by Maojun Zhang & Jiangxia Nan & Jianbo Cai - 1-11 The Forward Rate Biasedness in Developing and Developed Country Currencies
by Neslihan Topbas - 1-12 Exchange Rate Volatility’s Effect on Algeria and its Major Trading Partners’ Trade
by Hayet Hannachi - 1-13 Changing Paradigms in Stock Exchanges’ Governance
by Josanco Floreani & Maurizio Polato - 1-14 CEO Tenure, Independent Directors and Corporate Innovation
by Hsiang-Lan Chen - 1-15 Puzzles in the Relationship between Financial Development and Economic Growth
by Binam Ghimire & Gianluigi Giorgioni - 1-16 The Role of Premium Calculation in the Stability of Private Insurance Companies: The Case of Germany
by Kemal Yaman - 1-17 The Economic Growth and Policy Implications in Vietnam
by Bui Trinh & Nguyen Viet Phong & Binh Phan - 1-18 The Determinants of Sukuk Market Development: Does Macroeconomic Factors Influence the Construction of Certain Structure of Sukuk?
by Ali Said & Rihab Grassa - 1-19 The Correlation and Hedging Effects between Commodity and Stock Markets
by Yu-Min Wang & Chia-Fei Lin & Yu-Hsien Li - 1-20 The Effect of Soccer Performance on Stock Return: Empirical Evidence From “The Big Three Clubs†of Turkish Soccer League
by Mehmet Saraç & Feyyaz Zeren - 1-21 Mean-Reverting-Ebit-Based Stock Option Evaluation: Theory and Practice
by Hassan El Ibrami
2013, Volume 3, Issue 4
- 1-1 Moneyball in the Turkish Football League: A Stock Behavior Analysis of Galatasaray and Fenerbahce Based on Information Salience
by Caner Özdurak & Veysel Ulusoy - 1-2 A Prognostic Theory for the Systemic Cost of Bank Failures
by Dror Parnes - 1-3 Multilateral Exchange Rates and Fundamentals: The Case of Taiwan
by Kuo-Wei Chou & Chin-Mei Lee & Mei-Mei Lee - 1-4 Analysis of the Publication of Forecast Information by Managers and Financial Analysts
by Myriam Boudiche - 1-5 A Housing Bubble Debate Resolved
by Sarah K. Bryant & Jonathan W. Kohn - 1-6 Forecasting Macroeconomic Variables using Artificial Neural Network and Traditional Smoothing Techniques
by Emrah Önder & Fɪrat Bayɪr & Ali Hepșen - 1-7 The Effect of Merger on Deposit Money Banks Performance in the Nigerian Banking Industry
by Ikpefan & Ochei Ailemen & Kazeem & Bayo Liafez Oyero - 1-8 Volatility Transmission and Conditional Correlation between Oil prices, Stock Market and Sector Indexes: Empirics for Saudi Stock Market
by Ahmed Almohaimeed & Nizar Harrathi - 1-9 The Day-of-the-Week Effect on Return and Volatility in the Turkish Stock Markets
by Macide Çiçek - 1-10 Oil Price Shocks and Sub-sector Performance: Impact of Dominant Markets
by N. Alper Gormus - 1-11 The Importance of Health Sector in Economies of Countries: The Case of Germany
by Kemal Yaman - 1-12 Determination of Opening Prices of Equities of the Day
by Shri Prakash & Chitra Bhatia Arora - 1-13 Global Economy: New Trends
by A.C. Prabhakar - 1-14 The Performance of Privatized Financial Institutions in Egypt: The Case of Alexandria Bank
by Tarek Roshdy Gebba & Ibrahim Elsiddig Ahmed - 1-15 Performance Based Diversification How To Create a Multistrategy hedge fund?
by Donatien Tafin Djoko - 1-16 Stock Returns with Price Impact
by Alfred Ka Chun Ma & Xiayun Sun
2013, Volume 3, Issue 3
- 1-1 Banking Stability, Market Structure and Financial System in Emerging Countries
by Shiow-Ying Wen & Jean Yu - 1-2 Performance Comparison between Dollar Cost Averaging and Value Averaging Investment Strategies and the Impacts of Investment Horizon and Target Terminal Wealth
by Kamphol Panyagometh - 1-3 Industry Effect and Stock Market Reaction to Global Financial Crisis: A Comparative Analysis
by Nader Alber - 1-4 An Empirical Investigation of the Relationship between Stock Return and Trading Volume: Evidence from the Jordanian Banking Sector
by Mohamed Khaled Al-Jafari & Ahmad Tliti - 1-5 The Association between Current Account Deficit and House Prices in Turkey
by Ali Hepşen & Mehmet Aşıcı - 1-7 The Effect of Enterprise Risk Management Implementation on the Value of Companies Listed on the Nairobi Stock Exchange
by Nelson Waweru & Eric Kisaka - 1-8 Financial Failure Prediction Using Financial Ratios: An Empirical Application on Istanbul Stock Exchange
by Emin Zeytınoglu & Yasemin Deniz Akarım - 1-9 The Effect of Target Federal Funds Rate Changes on the Foreign Exchange Markets: An Event Study Approach
by Alan T. Wang & Shu-Hsun Hung & I-Ming Jiang - 1-10 The Impact of Budgetary Participation on Managerial Performance: Evidence from Jordanian University Executives
by Osama Mah’d & Husam Al-Khadash & Mohammed Idris & Abdulhadi Ramadan - 1-11 The Role of the Overall Economic Development on the Insurance Market Growth–Evidence of the European Union
by Tomislava Pavic Kramaric & Fran Galetic - 1-12 Exchange Rate Determination: Which Is Appropriate, Chartist model or Fundamental Model?
by Yutaka Kurihara - 1-13 Revisiting Uncertain Investment and Financing Decisions using Entry Probability
by Po-Yuan Chen - 1-14 Returns on Investment of Deposit Money Banks (DMBs) in Nigeria
by Adegboye Folasade Bosede & Olowe Olusegun & Uwuigbe Olubukunola - 1-15 Cross Subsidization and its Effect on Pakistani Business Group’s Affiliated Firm Performance
by Raheel Gohar - 1-16 Banking Industry Consolidation and Financial Performance of Selected Quoted Banks in Nigeria
by Owolabi & Sunday Ajao & Ogunlalu & Adewale Emmanuel - 1-18 Bank Mergers and Acquisition and Shareholders’ Wealth Maximization in Nigeria
by Nwidobie Barine Michael - 1-19 Adjustment Policy of Deposit Rates in the Case of Swiss Non-maturing Savings Accounts
by Florentina Paraschiv - 1-20 Hedging Italian Equity Mutual Fund Returns during the Recent Financial Turmoil: A Duration-Dependent Markov-Switching Approach
by Paolo Zagaglia
2013, Volume 3, Issue 2
- 1-1 Comparative Performance Study of Conventional and Islamic Banking in Egypt
by Mona Esam Fayed - 1-2 Currency Exposure, Second-Moment Exchange Rate Exposure and Asymmetric Volatility of Stock Returns: The Effects of Financial Crises on Taiwanese Firms
by René Ferenc (Franck) Varga - 1-3 Cost of Deposit Insurance Under Capital Forbearance: Basel I vs. II
by Shih-Cheng Lee - 1-4 The Forecasting Performances of Volatility Models in Emerging Stock Markets: Is a Generalization Really Possible?
by Zeynep Iltuzer & Oktay Tas