Content
2018, Volume 9, Issue 2
- 51-55 Does Bitcoin Follow the Market Conditions Anymore
by Harun ERCAN - 56-59 Successes and Drawbacks of the Federal Reserve and the Impact on Financial Markets
by Muhammad RASHID - 60-77 Crypto Currency and its Susceptibility to Speculative Bubbles Manipulation Scams and Fraud
by Paul BARNES - 76-84 Trust Informality in the Indian Credit Market A Snapshot from Recent Data
by Atanu SENGUPTA & Sanjoy DE
2018, Volume 9, Issue 1
- 5-14 The Business Cycle and Bank Failures
by Halil KAYA - 15-23 Synthetic versus Physical Exchange Traded Funds Spillover and Asymmetric Volatility Effects
by Askar KOSHOEV - 24-33 The Theory of Catallactics Misapplication in Monetary Policy of Developing Economies and Consequences
by Emmanuel SENZU - 34-44 Probability Forecast Using Fan Chart Analysis A Case of the Sierra Leone Economy
by Emerson JACKSON & Edmund TAMUKE
2017, Volume 8, Issue 2
- 81-93 Herd Behaviour and Market Efficiency Evidence from the Iberian Stock Exchanges
by Jos CURTO & Pedro FALCÃO & Andr BRAGA - 94-138 Forecasting Realized Volatility A Review
by Andrea BUCCI - 139-145 Effect of Tax Revenues on Economic Growth in Benin The Role of Investment
by Gb tondji NONVIDE & Cocou AMEGNAGLO - 146-159 Stock Market Linkage Financial Contagion and Assets Price Movements Evidence from Nigerian Stock Exchange
by Shafiu ABDULLAHI
2017, Volume 8, Issue 1
- 5-18 Competition Stability and Financial Crisis in Thai Banking Sector
by Anirut PISEDTASALASAI & Karnsiree RUJIRATPICHATHORN - 19-29 Asset and Liability Management in Health Insurance
by Ashiq ILYAS & S RAJASEKARAN - 30-65 United Kingdom Infrastructure Investment and Finance from a European and Global Perspective
by Georg INDERST - 66-72 Is the United States Stock Market Getting Riskier
by Ronny SUAREZ
2016, Volume 7, Issue 2
- 95-106 Government Block Holder Ownership Sovereign Wealth Fund and Firm Performance
by Kerry LIU - 107-116 Wavelet Based Analysis of Major Real Estate Markets
by Adil YILMAZ & Gazanfer UNAL & Cengiz KARATAS - 117-128 Establishment and Development of Tax system Disadvantages and Advantages of Taxes The Case of Kosovo
by Driton BALAJ & Teuta MULAKU-BALAJ - 129-145 Mid Sized Italian Manufacturing Firms A Panel Data Analysis on Profitability
by Carlo MIGLIARDO & Daniele SCHILIRÒ - 146-154 Impact of Domestic Institutional Investors on Indian Stock Market
by S A Salar
2016, Volume 7, Issue 1
- 5-13 The Role of Asymmetries and Banking Sector Indicators in the Interest Rate Pass Through in Malta
by Brian MICALLEF & Noel RAPA & Tiziana GAUCI - 14-37 External Financing Patterns for Small and Medium Firms in Eastern Europe and Central Asia Does Financial and Institutional Development Matter
by Octavian PORUMBOIU - 38-69 How to Stabilize the Currency Exchange Rate
by Sergey BLINOV - 70-76 Assessment of Economic Indicators for Evaluation of Financial Performance
by Mihaela COCO IL - 77-81 A Note on Credit Spread Forwards
by Markus HERTRICH - 82-89 Applications of Simulation Based Methods in Finance The Use of ModelRisk Software
by Hamed HABIBI & Reza HABIBI
2015, Volume 6, Issue 1
- 5-10 Fiscal Sustainability A Note For Cabo Verde
by Cassandro MENDES - 11-19 The Determinants Of The Demand For International Reserves In Mexico A Vector Error Correction Model
by Jorge GARZA-RODRIGUEZ & Luis F GONZALEZ-GAMEZ & Benjamin IZAGUIRRE-MONSIBAIZ & Daniel A NADER-DELEON & Erick H TREVIÑO-CARRILLO - 20-28 The Fees Of Mutual Funds And Real Estate Funds Their Determinants In A Small Market
by Paulo ALVES - 29-39 Romania S Economic Restructuring Must Be Effected Before Euro Adoption
by Andreea Maria CIOBANU
2014, Volume 5, Issue 2
- 133-144 Analysis Of Non Performing Loan And Capital Adequacy Ratio Among Chinese Banks In The Post Reform Period In China
by Mei CAI & Zhonglin HUANG - 145-156 The Effect Of International Soccer Games On Exchange Rates Using Evidence From Turkey
by Ender DEMIR & Chi Keung Marco LAU & Ka Wai Terence FUNG - 157-163 Linkages In Corporate Social Responsibility Indices And Major Financial Market Indices An Arma Aparch Approach
by Li Lun LIU & John Francis DIAZ & Esentur IVAGOV - 163-178 Capital Market Efficiency An Empirical Test Of The Weak Form In The Nigerian Capital Market
by Barine Michael NWIDOBIE & Julius Babatunde ADESINA
2014, Volume 5, Issue 1
- 5-26 A Tale Of Two Euro Zones Banks Funding Sovereign Risk And Unconventional Monetary Policies
by Nicolas FULLI LEMAIRE - 27-36 Microeconomic Determinants Of Losses In Financial Institutions During The Crisis
by Alessandra CEPPARULO & Antonio FORTE - 37-46 Does Payment Method Of Mergers And Acquisitions Matter An Examination Of The Medical Industry In China
by Chengkui YE & Hao YUAN & Pingan LU - 47-55 The Gini Coefficient Decomposition And Overlapping
by Augustine C ARIZE & Paraskevas BAKAREZOS & Krishna M KASIBHATLA & John MALINDRETOS & Alex PANAYIDES - 56-65 Effect Of Inlation On Nominal And Real Stock Returns A Behavioral View
by Andrey KUDRYAVTSEV & Eyal LEVAV & Shosh SHAHRABANI - 66-102 Cross Border Listings And Price Discovery Evidence From Chinese Companies Triple Listed In Shanghai Hong Kong And New York
by Xiaoou YANG & Peng KUN - 103-114 The Carry Trade On The Euro And The European Stock Market
by Fabio PARLAPIANO
2013, Volume 4, Issue 2
- 91-98 The Demand And Supply Factors Of Economic Growth In The Czech And Slovak Republic
by J lia ĎURČOVÁ & Manuela RAISOVÁ - 99-108 An Extreme Value Approach In Exchange Rates Modelling
by Ivan MOJSEJ & Alena TARTAĽOVÁ - 109-114 Simplified Mathematical Model Of Financial Crisis
by Alexei KROUGLOV - 115-120 Financing Shipping Market Special Characteristics And The Impact Of Basel Iii
by Evangelos SAMBRACOS & Marina MANIATI - 121-144 Basel Iii Bank For International Settlements And Global Financial Governance
by Haider KHAN - 145-155 Features That Influence The Exit Decision From The Private Pension System In Turkey
by Saime S KAYAM & Merih CELİKTOPUZ & Mehmet KORAY PARKIN
2013, Volume 4, Issue 1
- 5-31 THE RISE AND FALL OF UNIVERSAL BANKING UPS AND DOWNS OF A SAMPLE OF LARGE AND COMPLEX FINANCIAL INSTITUTIONS SINCE THE LATE 90s
by Sergio MASCIANTONIO & Andrea TISENO - 32-61 Living With Interconnected Banking Sectors During The Period Of Global Financial Market Uncertainties Experiences Of East And Southeast Asia
by Reza Yamora SIREGAR - 62-69 Predictability Of Major Swedish Exchange Rates
by Kenneth A TAH - 70-83 Efficiency Analysis Of Turkish Banking System
by Ay e Alt ok YILMAZ
2012, Volume 3, Issue 2
- 131-139 Globalization Financial Crisis And Contagion Time Dynamic Evidence From Financial Markets Of Developing Countries
by Simplice A ASONGU - 140-150 Macroeconomic Impacts Of The Interest Rate Shocks In The Selected Euro Area Countries
by J lia UR OV - 151-161 Analysis On Runs Of Daily Returns In Istanbul Stock Exchange
by Ahmet ENSOY - 162-170 Overnight Stock Price Reversals
by Andrey KUDRYAVTSEV - 171-183 Marx S Theory Of Crisis In The Context Of Financialization Analytical Insights On The Current Crisis
by Nikos STRAVELAKIS
2012, Volume 3, Issue 1
- 5-26 Managing Sovereign Credit Risk In Bond Portfolios
by Benjamin Bruder & Pierre Hereil & Thierry Roncalli - 27-38 Characteristics Of The Chinese Bourses Stock Markets
by Jeffrey E Jarrett & Eric Kyper - 39-48 Fiscal Policy And National Savings In The Czech Republic And Slovakia
by Petr Musil & Eva Vincencová - 49-57 Volatility Information And Stock Market Crashes
by Nikolaos Antonakakis & Johann Scharler - 58-83 Moody S Credit Ratings And The Stock Market Performance Of Portuguese Rated Firms
by Lu s Pacheco - 84-94 The Development Of The Portfolio Management For The Unit Investment Funds
by Irina Sergeeva & Vera Nikiforova - 95-109 The Current Financial And Economic Crisis Empirical And Methodological Issues
by Eduardo Strachman & Jos Ricardo Fucidji
2011, Volume 2, Issue 2
- 74-100 Fair Redistribution In Financial Markets A Game Theory Complete Analysis
by David Carfì & Francesco Musolino - 101-115 Money Stock Prices And Economic Activity In Selected European Countries
by Lum r Kulh nek - 116-137 Financial Integration And Economic Growth In The European Transition Economies
by Rajmund Mirdala - 138-148 International Movement Of Capital Debt Finances The Case Of Six Post Communist Economies
by Manuela Raisov - 149-167 An Empirical Analysis Of Funds Alternative Measures In The Drawdown Risk Measure Drm Framework
by Mohammad Reza Tavakoli Baghdadabad & Fauzias Mat Nor & Izani Ibrahim - 168-175 Marketing Pricing Strategies Used By The Branches Of Chain Stores
by R bert Štefko & Jaroslava Gburová & Jana Jurková - 176-185 The Index Effect Is It Possible To Predict
by Tchai Tavor
2011, Volume 2, Issue 1
- 4-17 Portfolio Investments In The Selected European Transition Economies
by udmila Bart kova - 18-25 Credit Risk Tools An Overview
by Francesco P Esposito - 26-46 What Do We Know About Exposure At Default On Contingent Credit Lines A Survey Of The Literature Empirical Analysis And Models
by Michael Jacobs, Jr. & Pinaki Bag - 47-52 Commodity Etfs In The Japanese Stock Exchanges
by Nobuyoshi Yamori - 53-68 The Euro Sovereign Debt Crisis Determinants Of Default Probabilities And Implied Ratings In The Credit Default Swaps Market An Econometric Analysis
by Carlos Santos
2010, Volume 1, Issue 2
- 121-143 The Determinants Of Systematic Risk International Evidence From The Macro Finance Interface
by Mongi ARFAOUI & Ezzeddine ABAOUB - 144-151 Debt Market Timing Evidence From Bank Based Systems
by Khemaies Bougatef & Jameleddine Chichti - 152-170 Estimating Value At Risk Var Using Tivex Pot Models
by Peter Julian A Cayton & Dennis S Mapa & Mary Therese A Lising - 171-180 Impact Of Governamental Policies In Legislation After The Global Financial Crisis Especially In Kosovo
by Armand Krasniqi - 181-187 Macroeconomic Determinants Of Stock Returns In Pakistan The Case Of Karachi Stock Exchange
by Nadeem SOHAIL & Hussain ZAKIR - 188-196 Reliability And Heterogeneity Of Real Estate Indexes And Their Impact On The Predictability Of Returns
by Francesca Battaglia & Claudio Porzio & Gabriele Sampagnaro
2010, Volume 1, Issue 1
- 4-17 Central Bank Reaction To Public Deficit And Sound Public Finance The Case Of The European Monetary Union
by Rosaria Rita Canale - 18-22 Theory Of Argumentation In Financial Markets
by Fernando ESTRADA - 23-30 Volatility Co Movement Of Asean 5 Equity Markets
by Swee Ling OH & Evan LAU & Chin Hong PUAH & Shazali ABU MANSOR - 31-59 An Empirical Study of Exposure at Default
by Michael Jacobs Jr - 60-71 Sources Of Exchange Rate Dynamics In The European Transition Economies
by Rajmund MIRDALA - 71-82 Foreign Direct Investments As A Factor For Economic Growth In Romania
by Piotr MISZTAL - 83-99 The Role of Central Banks in Sustaining Economic Recovery and in Achieving Financial Stability
by Reza Yamora SIREGAR & Vincent Choon Seng LIM - 100-107 Inverse Vertical Ratio Put Spread Strategy And Its Application In Hedging Against A Price Drop
by Vincent ŠOLTÉS & Omer Faraj S AMAITIEK - 108-117 Breakdown Of Trust In Financial Institutions In Light Of The Global Financial Crisis
by Nat lia VAŠKOVÁ & Vanda VAŠKOVÁ