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Content
January 2021, Volume 9, Issue 1
- 1913876-1913876 Macroeconomic determinants of mutual funds performance in Ghana
by Adjei Gyamfi Gyimah & Bismark Addai & George Kwasi Asamoah & David McMillan
- 1913877-1913877 Recent trends in business financial risk – A bibliometric analysis
by Ali Murad Syed & Hana Saeed Bawazir & David McMillan
- 1914285-1914285 Pricing vanilla options using artificial neural networks: Application to the South African market
by Ryno du Plooy & Pierre J. Venter & David McMillan
- 1914396-1914396 The nexus between export diversification, imports, capital and economic growth in the United Arab Emirates: An empirical investigation
by Saima Shadab & Aviral Tiwari
- 1915516-1915516 Trade and wage disparities in South Africa
by Brian Tavonga Mazorodze & Christian Nsiah
- 1915932-1915932 African continental free trade area: Is there a trade potential for Côte d’Ivoire?
by Fe Doukouré Charles & Evan Lau
- 1917104-1917104 Does financial innovation improve performance: Case study of Turkey
by Tarana Azimova & David McMillan
- 1917105-1917105 The determinants of dual listing decision of firms from ASEAN-5
by Awadh Saeed Bin-Dohry & Hanita Kadir Shahar & Sharmilawati Sabki & David McMillan
- 1917106-1917106 Determinants of the possibilities by investors’ risk-taking: Empirical evidence from Vietnam
by Linh Duy Bui & Trung Chi Le & Anh Huynh Ngoc Quang & Wing-Keung Wong & David McMillan
- 1918838-1918838 The impact of urbanization on poverty reduction: An evidence from Vietnam
by Nguyen Minh Ha & Nguyen Dang Le & Pham Trung-Kien & Francesco Tajani
- 1920149-1920149 Determinants of financial inclusion in Afar Region: Evidence from selected woredas
by Esmael Abdu & Mohammd Adem & David McMillan
- 1920150-1920150 Measurement of extreme market risk: Insights from a comprehensive literature review
by Gourab Chakraborty & G. R. Chandrashekhar & G. Balasubramanian & David McMillan
- 1920688-1920688 Risk and returns of Indian listed firms after demonetisation
by Varsha Sureshkumar & P Balasubramanian & David McMillan
- 1921323-1921323 Female in top management and firm performance nexus: Empirical evidence from Ghana
by Joseph Dery Nyeadi & Kofi Kamasa & Stephen Kpinpuo & Christian Nsiah
- 1921905-1921905 Public debt and inflation nexus in Nigeria: An ARDL bounds test approach
by Akingbade U. Aimola & Nicholas M. Odhiambo & Christian Nsiah
- 1921911-1921911 Does the green economy really foster food security in Sub-Saharan Africa?
by Somlanare Romuald Kinda & Muhammad Shafiullah
- 1922179-1922179 Efficiency drivers of insurers in GCC: an analysis incorporating company-specific and external environmental variables
by Rohit Bansal & Dharmendra Singh & David McMillan
- 1923620-1923620 Dividend payout policies in the pre and post split share structure reform in China
by Yufan Zhao & Sin Huei Ng & David McMillan
- 1923882-1923882 The effect of knowledge spillover on productivity: Evidence from manufacturing industry in Indonesia
by Irvan Kuswardana & Nachrowi Djalal Nachrowi & Telisa Aulia Falianty & Arie Damayanti & Robert Read
- 1923883-1923883 Is financial development crucial for all economies?
by Fernando Zanella & Peter Oyelere & David McMillan
- 1926617-1926617 Revisiting the agency conflicts in family owned pyramidal business structures: A case of an emerging market
by Muhammad Farhan Basheer & Shuchi Gupta & Rabeeya Raoof & Waeibrorheem Waemustafa & David McMillan
- 1929678-1929678 Macroeconomic determinants of long-term sovereign bond yields in South Africa
by Sheunesu Zhou & David McMillan
- 1929679-1929679 The share of investments in gold and oil using the example of selected European stock exchanges– A comparative analysis
by Marcin Potrykus & David McMillan
- 1929680-1929680 The determinants of public investment in Ethiopia: An ARDL approach
by Solomon Tilahun & Francesco Tajani
- 1930653-1930653 Ownership and performance of microfinance institutions: Empirical evidences from India
by Asif Khan & Alam Ahmad & Saba Shireen & David McMillan
- 1930669-1930669 Chasing for information during the COVID-19 panic: The role of Google search on global stock market
by Chaiyuth Padungsaksawasdi & Sirimon Treepongkaruna & Zhaojun Yang
- 1930880-1930880 Real exchange rate undervaluation and Indonesia’s manufacturing exports
by M Rasbin & Mohamad Ikhsan & Beta Y. Gitaharies & Yoga Affandi & Evan Lau
- 1930886-1930886 The long- and short-run relationship between the shadow economy and trade openness in Uganda
by Stephen Esaku & Evan Lau
- 1932040-1932040 Determinants of adopting improved bread wheat varieties in Arsi Highland, Oromia Region, Ethiopia: A Double-Hurdle Approach
by Bedilu Demissie Zeleke & Adem K. Geleto & Hussien H. Komicha & Sisay Asefa & Xibin Zhang
- 1932060-1932060 The effect of financial development and remittances on economic growth
by Naqeeb Ur Rehman & Eglantina Hysa & Wai Ching Poon
- 1932246-1932246 Does corruption contribute to the rise of the shadow economy? Empirical evidence from Uganda
by Stephen Esaku & Francesco Tajani
- 1933681-1933681 Herding behaviour in cryptocurrency and emerging financial markets
by Maurice Omane-Adjepong & Imhotep Paul Alagidede & Anna Gustav Lyimo & George Tweneboah & Mohammed M Elgammal
- 1934975-1934975 Determinants of payout choice between open market repurchase, tender offer repurchase and special dividends
by Urvashi Varma & Raveesh K & Alka Munjal & David McMillan
- 1934976-1934976 Financial development and economic growth in sub-Saharan Africa: A sectoral perspective
by Yazidu Ustarz & Ashenafi Beyene Fanta & Wai Ching Poon
- 1934977-1934977 The influence of independence and compensation of the directors on family firms and real earnings management
by Adeeb Abdulwahab Alhebri & Shaker Dahan Al-Duais & Amal Mohammed Almasawa & David McMillan
- 1934978-1934978 Does financial technology matter? Evidence from an alternative banking system
by Dur Almulla & Abdullah A. Aljughaiman & Vassilios Papavassiliou
- 1935530-1935530 Monetary policy and macro economic indicators: A review of a developing country’s perspectives 2002–2017
by Simon Akumbo Eugene Mbilla & Peter Akurigo Atindaana & Samuel Gameli Gadzo & Abiola Adeniyi & Idrisu Salifu & David McMillan
- 1936369-1936369 Debt financing, corporate investment and the productivity of capital invested: Evidence from biggest manufacturing countries
by Tenkir Seifu Legesse & Jiqiang Tang & Zhen Wu & Haifeng Guo & David McMillan
- 1937848-1937848 Impacts of openness on financial development in developing countries: Using a Bayesian model averaging approach
by Diem Pham Thi Thuy & Hoai Nguyen Trong & Evan Lau
- 1937849-1937849 The impact of metropolises’ characteristics on provincial economic structure transformation: evidence from Vietnam
by Bac Truong Cong & Wai Ching Poon
- 1938378-1938378 The link between socio-economic factors and multiple child deprivations in Kenya
by Isaiah Kiprono Byegon & Jane Kabubo-Mariara & Anthony Wambugu & Christian Nsiah
- 1938379-1938379 Audit partner rotation, and its impact on audit quality: Evidence from India
by Partha Mohapatra & Ajit Dayanandan & Sudershan Kuntluru & Athira A & David McMillan
- 1942601-1942601 Panel estimating effects of macroeconomic determinants on inflation: Evidence of Western Balkan
by Esat Durguti & Qazim Tmava & Filloreta Demiri-Kunoviku & Enver Krasniqi & Wai Ching Poon
- 1943910-1943910 The expected sharpe ratio of efficient portfolios under estimation errors
by Bacem Benjlijel & Hatem Mansali & David McMillan
- 1944967-1944967 Drivers of marine fishery dependence: Micro-level evidence from the coastal lowlands of Kenya
by Mohamed Idris Somoebwana & Oscar Ingasia Ayuya & John Momanyi Mironga & Muhammad Shafiullah
- 1946249-1946249 The impact of government debt on economic growth in Nigeria
by Abdulkarim Yusuf & Saidatulakmal Mohd & David McMillan
- 1948659-1948659 Gender diversity on the board of directors and its impact on the Palestinian financial performance of the firm
by Nizar Dwaikat & Ihab Sameer Qubbaj & Abdelbaset Queiri & Yudhvir Seetharam
- 1948665-1948665 COVID-19: The impacts of the global crises on African remittances and countries response to this an extreme crisis
by Andualem Kassegn & David McMillan
- 1949133-1949133 The relative choice over destiny in a country’s long-run economic growth and economic affluence
by Esubalew Tadele & Teshome Sirany & Christian Nsiah
- 1952718-1952718 Firm-specific, industry-specific and macroeconomic determinants of commercial banks’ lending in Ethiopia: Panel data approach
by Mekonnen Yitayaw & David McMillan
- 1952720-1952720 The MPC meetings, macroeconomic announcements and exchange rate behaviour in Nigeria
by A. Daniel Gbadebo & A. Oluwatobi Adekunle & O. Joseph Akande & D. Wahid Olanipekun & David McMillan
- 1953726-1953726 The efficiency of banks and stock performance: Evidence from Saudi Arabia
by Mohammad Alsharif & David McMillan
- 1953736-1953736 Capital structure and profitability: Panel data evidence of private banks in Ethiopia
by Zemenu Amare Ayalew & David McMillan
- 1953737-1953737 Does earnings distribution policy influence corporate stock price instability? Empirical evidence from Tanzanian listed industrial firms
by Josephat Lotto & David McMillan
- 1954317-1954317 The relationship between human capital and firm value: Evidence from Indian firms
by Garima Sisodia & Nemiraja Jadiyappa & Anto Joseph & David McMillan
- 1954318-1954318 Working capital management and firm’s profitability: Evidence from Czech certified firms from the EFQM excellence model
by Muhammad Yousaf & Petr Bris & Ismat Haider & David McMillan
- 1954358-1954358 Determinants of the downward sloping segment of the EKC in high-income countries: The role of income inequality and institutional arrangement
by Hyangsuk Cho & Salvatore Ercolano
- 1954764-1954764 Evaluation of personnel-adjusted added value: Estimating its relationship with future profit in Japan
by Hiroki Iwamoto & Hideo Suzuki & David McMillan
- 1955470-1955470 Regulatory capital: Implications on credit creation and profitability
by Isaiah Oino & David McMillan
- 1956067-1956067 Nexus between economic growth and foreign private investment: Evidence from Pakistan economy
by Misbah Sadiq & Muhammad Usman & Aysha Zamir & Malik Shahzad Shabbir & Ankasha Arif & David McMillan
- 1956140-1956140 Intangible assets, risk management committee, and audit fee
by Aditya Aji Prabhawa & Mohammad Nasih & David McMillan
- 1956774-1956774 Perception and determinants of agricultural technology adoption in North Shoa Zone, Amhara Regional State, Ethiopia
by Solomon Estifanos Massresha & Tadesse Zenebe Lema & Markew Mengiste Neway & Wudineh Ayalew Degu & Muhammad Shafiullah
- 1958504-1958504 Effects of working capital management on firm performance: Evidence from the EFQM certified firms
by Muhammad Yousaf & Petr Bris & David McMillan
- 1958980-1958980 Modeling the selection of comparable firms: A novel approach for business valuation in ASEAN nations
by Nguyen Kim-Duc & Hay Sinh & Tran Bich-Van & David McMillan
- 1959703-1959703 Macroeconomic factors or firm-specific factors? An examination of the impact on corporate profitability before, during and after the global financial crisis
by Carol Cheong & Huy Viet Hoang & David McMillan
- 1963063-1963063 Determinants of financial development in Ethiopia: ARDL approach
by Teshager Mazengia Asratie & David McMillan
- 1964212-1964212 Determinants of climate finance: Analysis of recipient characteristics in Sub-Sahara Africa
by Isaac Doku & Ronney Ncwadi & Andrew Phiri & Muhammad Shafiullah
- 1965357-1965357 Examining the role of climate finance in the Environmental Kuznets Curve for Sub-Sahara African countries
by Isaac Doku & Ronney Ncwadi & Andrew Phiri & Salvatore Ercolano
- 1966194-1966194 The predictive performance of liquidity risk
by Xiuli Ma & Xindong Zhang & David McMillan
- 1966195-1966195 Investor overreaction and global financial crisis: A case of Pakistan stock exchange
by Bahrawar Said & Shafiq Ur Rehman & Rizwan Ullah & Javed Khan & David McMillan
- 1966917-1966917 Pastoral household’s perceptions of non pastoral activities in Yabello district, Oromia region, Ethiopia
by Doyo Kena & Robert Read
- 1966918-1966918 Monetary policy and economic growth in Ghana: Does financial development matter?
by Prince Mike Sena & Grace Nkansa Asante & William Gabriel Brafu-Insaidoo & Robert Read
- 1967575-1967575 Relationship among cost of financial intermediation, risk, and efficiency: Empirical evidence from Bangladeshi commercial banks
by Anupam Das Gupta & Niluthpaul Sarker & Mohammad Rifat Rahman & David McMillan
- 1968112-1968112 Identifying economic shocks with stock repurchase programs
by Foued Hamouda & David McMillan
- 1969111-1969111 Demand forecasting for successive generations of mobile telecommunication service in Ethiopia
by Birku Reta Entele & Bikram Acharya & Wing-Keung Wong
- 1969759-1969759 Adoption and Ex-post Impact of Agricultural Technologies on Rural Poverty: Evidence from Amhara Region, Ethiopia
by Mesele Belay Zegeye & Robert Read
- 1970869-1970869 The impact of inflation on the financial sector development: Empirical evidence from Jordan
by Khaled Batayneh & Wasfi Al Salamat & Mohammad Q.M. Momani & David McMillan
- 1970870-1970870 Determinants of Trade Balance in West African Economic and Monetary Union (WAEMU): Evidence from heterogeneous panel analysis
by Yaya Keho & Robert Read
- 1971353-1971353 Effect of weather on stock market: A literature review and research agenda
by Chinnadurai Kathiravan & Murugesan Selvam & Balasundram Maniam & Munusamy Dharani & David McMillan
- 1971354-1971354 Asymmetric price transmission of Indonesian coffee
by Kamaruddin & Raja Masbar & Sofyan Syahnur & Shabri A. Majid & Muhammad Shafiullah
- 1971355-1971355 Asymmetrical effect of oil and gas resource rent on economic growth: Empirical evidence from Ghana
by Opoku Adabor & Emmanuel Buabeng & Raoul Fani Djomo Choumbou
- 1972524-1972524 Agricultural productivity growth in vietnam in reform and post-reform period
by Linh Hoang Vu & Le Quy Dinh Nguyen & Robert Read
- 1973653-1973653 Role of financial development in the export performance of a landlocked developing country: The case of Nepal
by Ramesh C. Paudel & Majed Alharthi & Robert Read
- 1974154-1974154 Competition in the insurance sector – An application of Boone indicator
by Sanderson Abel & Juniours Marire & Vassilios Papavassiliou
- 1975412-1975412 Short-term debt and trade credit: Evidence on a non-linear relationship
by Lap Luu & Liem Nguyen & Robert Read
- 1975915-1975915 An empirical investigation of socio-economic impacts of agglomeration economies in major cities of Punjab, Pakistan
by Naghmana Ghafoor & Sana Fayyaz & Mehr-Un- Nisa & M. Riaz Akbar & Wai Ching Poon
- 1976359-1976359 Firm productivity, innovation, and financial development
by Sheng Xu & Michael Asiedu & Gabriel Kyeremeh & David McMillan
- 1978190-1978190 Investor overconfidence in the South African exchange traded fund market
by Damien Kunjal & Faeezah Peerbhai & Mohammed M Elgammal
- 1978639-1978639 Calendar anomalies in African stock markets
by El Mehdi Ferrouhi & Omar Kharbouch & Samir Aguenaou & Muhammad Naeem & David McMillan
- 1978705-1978705 Livelihood security among rural poor: Evaluating the impact of Rural Livelihood Mission in Odisha, India
by Abhisek Mishra & Byomakesh Debata & GOODNESS AYE
- 1979305-1979305 Remittances, natural resource rent and economic growth in Sub-Saharan Africa
by Pamela Efua Ofori & Daryna Grechyna & Muhammad Shafiullah
- 1982232-1982232 Household-level determinants of employment and earnings in rural Nigeria
by John Chiwuzulum Odozi & Abigail Gbemisola Adeyonu & Christian Nsiah
- 1982234-1982234 Bank stability and dividend policy
by Dung Viet Tran & David McMillan
- 1985201-1985201 Impact of institutional and regulatory quality on FDI inflow: case of a developing Indian economy
by Leena Ajit Kaushal & Muhammad Shafiullah
- 1986926-1986926 Fintech, financial inclusion and income inequality nexus in Africa
by Tough Chinoda & Tafirei Mashamba & Andrew Vivian
- 1986930-1986930 A theoretical framework for simulating systemic risk and its application to analysis of the banking system
by Chirongo Moses Keregero & David McMillan
- 1986931-1986931 Asymmetric impact of real exchange rate on inflation in Ethiopia: a non-linear ARDL approach
by Samuel Elias Kayamo & David McMillan
- 1988201-1988201 Estimating bank of Ghana’s policy responses in the context of Taylor rule: Is the inflation target realistic?
by Abdul-Aziz Iddrisu & Imhotep Paul Alagidede & David McMillan
- 1988380-1988380 Spectral analysis and the death of value investing
by John-Morgan Bezuidenhout & Gary van Vuuren & Yudhvir Seetharam
- 1991084-1991084 A dynamic analysis on foreign bank entry Nexus economic growth in Sub-Sahara African countries
by Fetene Bogale Hunegnaw & Adem Feto Bedhaso & Christian Nsiah
- 1992875-1992875 Do government policies drive economic growth convergence? Evidence from East Java, Indonesia
by Achmad Solihin & Wahyu Wisnu Wardana & Erfan Fiddin & Ni Made Sukartini & Robert Read
- 1992876-1992876 Empirical analysis of internet banking adoption in Vietnam
by Bang Nguyen-Viet & Khanh Ngoc Huynh & David McMillan
- 1997160-1997160 Technical efficiency, technological progress and productivity growth of large and medium manufacturing industries in Ethiopia: A data envelopment analysis
by Obsa Teferi Erena & Mesfin Mala Kalko & Sara Adugna Debele & Christian Nsiah
- 1997425-1997425 The effects of conventional and unconventional monetary policy on exchange rate volatility
by Wan Wei & Susan Pozo & Evan Lau
- 1999004-1999004 Momentum and disposition effect in the US stock market
by Ranjeeta Sadhwani & M. U. R. Bhayo & Mohammed M Elgammal
- 1999060-1999060 The short- and long-run relationship between trade openness and economic growth in Uganda
by Stephen Esaku & Miao Wang
- 1999590-1999590 The cost and benefit analysis of climate change adaptation strategies among smallholder crop producers in the case of Sekela district, West Gojjam zone, Ethiopia
by Yaregal Tilahun & Lanouar Charfeddine
- 2000555-2000555 Revisiting the natural resource curse: A cross-country growth study
by Khalid Adnan Saeed & Muhammad Shafiullah
- 2001960-2001960 The optimal government size in the kingdom of Saudi Arabia: an ARDL bounds testing approach to cointegration
by Bashier Al-Abdulrazag & Walid Mensi
- 2002501-2002501 How does capital structure affect firm’s market competitiveness?
by Nga Thi Viet Nguyen & Chi Thi Kim Nguyen & Phuong Thi Minh Ho & Huong Thi Nguyen & Duy Van Nguyen & David McMillan
- 2003000-2003000 Estimating the size of the informal sector in Kenya
by James Murunga & Moses Kinyanjui Muriithi & Nelson Were Wawire & Christian Nsiah
- 2003503-2003503 Regulatory capital requirements and bank performance in Ghana: evidence from panel corrected standard error
by Joshua Nsanyan Sandow & Emmanuel Duodu & Eric Fosu Oteng-Abayie & Yudhvir Seetharam
- 2006905-2006905 Agricultural technologies adoption and smallholder farmers’ welfare: Evidence from Northern Ghana
by Abdulai Adams & Emmanuel Tetteh Jumpah & Muhammad Shafiullah
- 2007614-2007614 How international capital inflows and domestic financial institutional development affect domestic credit: Evidence from developing countries
by Subroto Rapih & David McMillan
- 2009090-2009090 Enterprise risk management (ERM) and firm value: The mediating role of investment decisions
by Faisal Faisal & Zainal Abidin & Haryanto Haryanto & Yudhvir Seetharam
January 2020, Volume 8, Issue 1
- 1710970-1710970 Assessment of model risk due to the use of an inappropriate parameter estimator
by Modisane B. Seitshiro & Hopolang P. Mashele & Stephanos Papadamou
- 1716446-1716446 Financial development–economic growth nexus in Pakistan: new evidence from the Markov switching model
by Abdul Rahman & Muhammad Arshad Khan & Lanouar Charfeddine & David McMillan
- 1716920-1716920 The effects of reporting standards and information sharing on loan contracting: Cross-country evidence
by Balagopal Gopalakrishnan & Sanket Mohapatra & David McMillan
- 1719574-1719574 Adaptive market hypothesis: An empirical analysis of time –varying market efficiency of cryptocurrencies
by Ambreen Khursheed & Muhammad Naeem & Sheraz Ahmed & Faisal Mustafa & David McMillan
- 1719593-1719593 Exchange rate regimes and global cocoa trade: to float or to peg?
by Bismark Addai & Adjei Gyamfi Gyimah & Kwadwo Poku-Agyemang & Evan Lau
- 1720056-1720056 Algorithmic setups for trading popular U.S. ETFs
by Gil Cohen & David McMillan
- 1720893-1720893 Determinants of behaviour of working capital requirements of BSE listed companies: An empirical study using co-integration techniques and generalised method of moments
by Rakesh Kumar Sharma & Apurva Bakshi & Sheena Chhabra & David McMillan
- 1722306-1722306 In search of inflation limits for financial sector development in ECOWAS and SADC regions: A panel smooth transition analysis
by Sulemana Mahawiya & Abraham Haim & Oteng-Abayie Eric Fosu & Christian Nsiah
- 1723185-1723185 Stylized patterns in implied volatility indices and stock market returns: A cross country analysis across developed and emerging markets
by Jalaj Pathak & Soumya G. Deb & David McMillan
- 1723826-1723826 Financial contracting and misreporting with limited enforcement, firm financing and growth
by Adams Sorekuong Yakubu Adama & David McMillan
- 1723827-1723827 Stock market reaction to inflation announcement in the Indian stock market: A sectoral analysis
by Gurmeet Singh & Lakshmi Padmakumari & David McMillan
- 1724241-1724241 Managers’ financial practices and financial sustainability of Nigerian manufacturing companies: Which ratios matter most?
by Japhet Osazefua Imhanzenobe & David McMillan
- 1724242-1724242 Profit efficiency and determinants of Indian banks; A truncated bootstrap and data envelopment analysis
by Piyush Kumar Singh & Keyur Thaker & Vassilios Papavassiliou
- 1727158-1727158 Mapping of sovereign risks in small island economies: An application of contingent claim approach to fiji
by Devendra Kumar Jain & Rup Singh & Arvind Patel & Evan Lau
- 1729569-1729569 Failure prediction of Indian Banks using SMOTE, Lasso regression, bagging and boosting
by Santosh Shrivastava & P Mary Jeyanthi & Sarbjit Singh & David McMillan
- 1730078-1730078 Inflation and infrastructure sector returns in emerging markets—panel ARDL approach
by Rabson Magweva & Mabutho Sibanda & Mariam Camarero
- 1730079-1730079 Linking biopsychosocial indicators with financial risk tolerance and satisfaction through macroeconomic literacy: A structural equation modeling approach
by Muhammad Hasnain Abbas Naqvi & Yushi Jiang & Miao Miao & Mishal Hasnain Naqvi & David McMillan
- 1732072-1732072 Determinants of export supply in Pakistan: A sector wise disaggregated analysis
by Sayed Irshad Hussain & Akhtar Hussain & Muhammad Mehboob Alam & Professor Caroline Elliott
- 1732640-1732640 Ownership concentration, corporate risk-taking and performance: Evidence from Vietnamese listed firms
by Nam Hoai Tran & Chi Dat Le & David McMillan
- 1733279-1733279 Use anger to guide your stock market decision-making: results from Pakistan
by Abdul Moueed & Ahmed Imran Hunjra & Zhaojun Yang
- 1733280-1733280 Pitfalls in long memory research
by Kunal Saha & Vinodh Madhavan & Chandrashekhar G. R. & David McMillan
- 1734324-1734324 Funding liquidity and bank lending
by Dung Viet Tran & David McMillan
- 1735196-1735196 Abnormal returns and idiosyncratic volatility puzzle: An empirical investigation in Vietnam stock market
by Xuan Vinh Vo & Van Phong Vo & Thanh Phuc Nguyen & David McMillan
- 1735680-1735680 Does herding behavior exist in cryptocurrency market?
by Amina Amirat & Wafa Alwafi & David McMillan
- 1735681-1735681 A proposed benchmark model using a modularised approach to calculate IFRS 9 expected credit loss
by Willem Daniel Schutte & Tanja Verster & Derek Doody & Helgard Raubenheimer & Peet Jacobus Coetzee & David McMillan
- 1735781-1735781 Spatial productivity and efficiency spillovers in the presence of transient and persistent efficiency: Evidence from China’s provinces
by Hazwan Haini & Professor Caroline Elliott
- 1737347-1737347 The impact of foreign direct investment, foreign aid and trade on poverty reduction: Evidence from Sub-Saharan African countries
by Friday Osemenshan Anetor & Ebes Esho & Grietjie Verhoef & Christian Nsiah
- 1738809-1738809 A conceptual model of the influence of South African investor well-being on risk tolerance
by R. W. Masenya & Z. Dickason-Koekemoer & David McMillan
- 1739465-1739465 A contingency model of board characteristics and foreign institutional investor ownership: the moderating role of firm size and market valuation
by Smitha Nair & V Gopikumar & P.K Viswanathan & Sruthy Gopakumar & Mathew Thomas Gil & David McMillan
- 1741308-1741308 Volatility spillovers between the European and South African foreign exchange markets
by Olivier Niyitegeka & Devi Datt Tewari & David McMillan
- 1741309-1741309 Manufactured goods’ export diversification in Saudi Arabia: A spatial panel approach
by Abdessalem Gouider & Hedi Ben Haddad & Mohammed M Elgammal
- 1742023-1742023 Governance, urbanization, and pollution: A cross-country analysis of global south region
by Devi Prasad Dash & Smruti Ranjan Behera & D. Tripati Rao & Narayan Sethi & Nanthakumar Loganathan & Salvatore Ercolano
- 1747890-1747890 The impact of BRICS formation on portfolio diversification: Empirical evidence from pre- and post-formation eras
by Somar Al-Mohamad & Audil Rashid & Walid Bakry & Ammar Jreisat & Xuan Vinh Vo & Damir Tokic
- 1748969-1748969 K-score categorisation of JSE listed sectors under the financial distress continuum theory: A quantitative approach
by Navitha Singh Sewpersadh & David McMillan
- 1750258-1750258 Financing modes, risk, efficiency and profitability in Islamic banks: Modeling for the GCC countries
by Samir Belkhaoui & Naif Alsagr & Stefan F. van Hemmen & Mohammed M. Elgammal
- 1750259-1750259 Corporate growth strategies and financial performance of quoted manufacturing firms in Nigeria: The mediating role of global economic crises
by Samson Ige Abolarinwa & Cosmas Ikechukwu Asogwa & Charity A. Ezenwakwelu & Timinepere O. Court & Samuel Adedoyin & Tor Eriksson
- 1751487-1751487 Does Infrastructural Absorptive Capacity Stimulate FDI-Growth Nexus in ECOWAS?
by Adeyemi A. Ogundipe & Queen Esther Oye & Oluwatomisin M. Ogundipe & Romanus Osabohien & Jorge Miguel Lopo Gonçalves Andraz
- 1751488-1751488 Family ownership concentration and real earnings management: Empirical evidence from an emerging market
by Belal Ali Abdulraheem Ghaleb & Hasnah Kamardin & Mosab I. Tabash & Muhammad Shafiullah
- 1752449-1752449 Correction
by The Editors
- 1752451-1752451 Correction
by The Editors
- 1754150-1754150 Does firm size affect learning-by-exporting? Empirical evidence from Sub-Saharan Africa
by Stephen Esaku & Christian Nsiah
- 1754321-1754321 Impact of foreign and domestic investment in stock market volatility: Empirical evidence from India
by Bhaskar Chhimwal & Varadraj Bapat & David McMillan
- 1756144-1756144 Forex and financial markets dynamics: A case of China and ASEAN
by Mohammad Uzair Akram & Kashif Zaheer Malik & Ali Imtiaz & Ammar Aftab & Maggie Chen
- 1757800-1757800 Effect of the U.S. quantitative easing policy on institutional investor flows of an emerging country
by Harshali Damle & Sankarshan Basu & Salvatore Ercolano
- 1757801-1757801 Market discipline and the regulatory change: Evidence from Vietnam
by Tu Dq Le & David McMillan
- 1757802-1757802 Asymmetrical relationship between oil prices, gold prices, exchange rate, and stock prices during global financial crisis 2008: Evidence from Pakistan
by Umaid A. Sheikh & Muzaffar Asad & Zahid Ahmed & Umer Mukhtar & David McMillan
- 1758007-1758007 Gender and economic growth: Is there a correlation? The example of Kyrgyzstan
by Nurkhodzha Akbulaev & Basti Aliyeva & Juan Sapena
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