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Content
January 2020, Volume 8, Issue 1
- 1791546-1791546 Business training programs and microenterprise formalization in Peru
by Manuel Barron & Antonio Belso-Martinez
- 1792152-1792152 Understanding sociodemographic factors influencing households’ financial literacy in Tanzania
by Josephat Lotto & Damir Tokic
- 1792153-1792153 Modelling the oil price volatility and macroeconomic variables in South Africa using the symmetric and asymmetric GARCH models
by Boitumelo Nnoi Yolanda Sekati & Johannes Tshepiso Tsoku & Lebotsa Daniel Metsileng & Damir Tokic
- 1794279-1794279 Determinants of private sector investment in a less developed country: a case of the Gambia
by Raphael Kolade Ayeni & Christian Nsiah
- 1794493-1794493 A model for female South African investors’ financial risk tolerance
by J. Lawrenson & Z. Dickason-Koekemoer & David McMillan
- 1799480-1799480 Youth unemployment and murder crimes in KwaZulu-Natal, South Africa
by Brian Tavonga Mazorodze & Christian Nsiah
- 1799481-1799481 The effect of bank market power on economic growth in Africa: The role of institutions
by Anthony Adu-Asare Idun & Anthony Q. Q. Aboagye & Godfred Alufar Bokpin & Christian Nsiah
- 1799908-1799908 Oil price shocks against stock return of oil- and gas-related firms in the economic depression: A new evidence from a copula approach
by Thu Thuy Nguyen & Van Chien Nguyen & Trong Nguyen Tran & David McMillan
- 1802806-1802806 Impact of exchange rate on uncertainty in stock market: Evidence from Markov regime-switching GARCH family models
by Mehdi Zolfaghari & Saeid Hoseinzade & Numan Ulku
- 1802807-1802807 The effect of new futures contracts on gold futures price volatility: Evidence from the Thailand futures exchange
by Woradee Jongadsayakul & David McMillan
- 1802808-1802808 Export performance, governance, and economic growth: evidence from Fiji - a small and vulnerable economy
by Ronal Chand & Rup Singh & Arvind Patel & Devendra Kumar Jain & Robert Read
- 1802815-1802815 Does investing in intellectual capital improve financial performance? Panel evidence from firms listed in Tanzania DSE
by Pendo Shukrani Kasoga & Mohammed M Elgammal
- 1803523-1803523 On the relation between government expenditure and revenue in South Africa: An empirical investigation in a nonlinear framework
by Kazeem Abimbola Sanusi & Mariam Camarero
- 1803524-1803524 Price discovery in the cryptocurrency option market: A univariate GARCH approach
by Pierre J. Venter & Eben Mare & Edson Pindza & David McMillan
- 1804036-1804036 Decentralization for improving the provision of public services in developing countries: A critical review
by Christopher Dick-Sagoe & Jorge Miguel Lopo Gonçalves Andraz
- 1804037-1804037 Connectedness of cryptocurrencies and gold returns: Evidence from frequency-dependent quantile regressions
by Peterson Owusu Junior & Anokye M. Adam & George Tweneboah & David McMillan
- 1804038-1804038 Monetary de-measurement of taxation using cogni-economic pressure coefficient on a continuous progressivity model: Towards equitable taxation for Kenya
by Stanley K. Kirika & Rosanna Spano
- 1805138-1805138 Examining the productivity of the ASEAN economies in the presence of transient and persistent efficiency
by Hazwan Haini & Jorge Miguel Lopo Gonçalves Andraz
- 1806479-1806479 Financial literacy, financial self-efficacy and financial account ownership behavior in Pakistan
by Nimra Noor & Irem Batool & Hafiz Muhammad Arshad & David McMillan
- 1807684-1807684 Effects of the 2008 financial crisis on the linkages among the oil, gold, and platinum markets
by Kentaka Aruga & Sudha Kannan
- 1808282-1808282 Ownership, bank size, capitalization and bank performance: Evidence from India
by Neeraj Gupta & Jitendra Mahakud & David McMillan
- 1809120-1809120 Geographic loan diversification and bank risk: A cross-country analysis
by Tu DQ Le & Van TH Nguyen & Son H Tran & David McMillan
- 1809789-1809789 Ownership structure and bank risk-taking in ASEAN countries: A quantile regression approach
by Quang Khai Nguyen & Zhaojun Yang
- 1810390-1810390 Economic growth in an oil-dominant economy of Nigeria: The role of financial system development
by Oliver E. Ogbonna & Ikechukwu A. Mobosi & Okwudili W. Ugwuoke & David McMillan
- 1810879-1810879 Price discovery of South African stocks cross-listed on the New York Stock Exchange
by K. J. Chipunza & K. R. Tsunga & K. McCullough & David McMillan
- 1812252-1812252 Firm age and crude oil returns: Stock price sensitivity of oil-producing and consuming companies
by Hirofumi Nishi & David McMillan
- 1812258-1812258 How does quality of institutions affect the impact of trade openness on economic growth of Ghana?
by Emmanuel Duodu & Samuel Tawiah Baidoo & Evan Lau
- 1814508-1814508 Fiscal dominance and inflation: Evidence from Nigerian and South African’s experiences
by Kazeem Abimbola Sanusi & Christian Nsiah
- 1814509-1814509 The effect of credit risk, liquidity risk and bank capital on bank profitability: Evidence from an emerging market
by Isam Saleh & Malik Abu Afifa & Louis Murray
- 1815962-1815962 Grey directors, corporate governance and firms performance nexus: Evidence from Nigeria
by Damilola Felix Eluyela & Abiola John Asaleye & Olabisi Popoola & Adedoyin Isola Lawal & Henry Inegbedion & Louis Murray
- 1815979-1815979 Restrictive policy impacts in emerging economies
by Chokri Zehri & David McMillan
- 1816257-1816257 Macroeconomic variables and long-term stock market performance. A panel ARDL cointegration approach for G7 countries
by Andreas Humpe & David G. McMillan & Mariam Camarero
- 1816281-1816281 Value of cash and accounting conservatism: The role of audit quality and firm growth
by Abbas Ali Daryaei & Yasin Fattahi & Ramazan Hasani & Hamed Sadeqi & Yudhvir Seetharam
- 1816611-1816611 Corporate governance structure, Bank externalities and sensitivity of non-performing loans in Nigeria
by Alex Adegboye & Stephen Ojeka & Kofo Adegboye & David McMillan
- 1817252-1817252 Return predictability and valuation ratios: sector-level evidence on the Johannesburg stock exchange
by Kudakwashe Joshua Chipunza & Hilary Tinotenda Muguto & Lorraine Muguto & Paul-Francois Muzindutsi & David McMillan
- 1818409-1818409 Holdings of sovereign bonds by commercial banks in Vietnam
by Van Dan Dang & Japan Huynh & David McMillan
- 1821482-1821482 The effect of economic policy uncertainty and herding on leverage: An examination of the BRICS countries
by Prudence Makololo & Yudhvir Seetharam & David McMillan
- 1821483-1821483 The effect of macroeconomic variables on exchange rate: Evidence from Ghana
by Samuel Antwi & Mohammed Issah & Aboagyewaa Patience & Solomon Antwi & David McMillan
- 1821997-1821997 Speculation in Delhi potato wholesale markets, 2007–2019: Causal connections of prices and arrival quantities
by Olli Salmensuu & David McMillan
- 1821998-1821998 Market miracles: Resilience of Karachi stock exchange index against terrorism in Pakistan
by Mosab I. Tabash & Umaid A. Sheikh & Muzaffar Asad & David McMillan
- 1822018-1822018 Agency conflicts, firm value, and monitoring mechanisms: An empirical evidence from Indonesia
by Faisal Faisal & M. Shabri Abd Majid & A. Sakir & David McMillan
- 1823065-1823065 A model for assessing the efficiency of government expenditure
by Bassam A. Albassam & Mariam Camarero
- 1824362-1824362 Does option trading affect idiosyncratic momentum?
by Songchan Guo & Unyong Pyo & David McMillan
- 1826655-1826655 Revisiting the Volatility- Growth relationship: Some cross country evidence, 1978–2017
by Y N Raju & Debashis Acharya & Aviral Tiwari
- 1827762-1827762 Behavioral influence and financial decision of individuals: A study on mental accounting process among Indian households
by Mousumi Singha Mahapatra & Ramkumar Mishra & Yudhvir Seetharam
- 1829273-1829273 An empirical assessment of fintechs heterogeneous transmission channels to financial development among African economies
by Tochukwu Timothy Okoli & Devi Datt. Tewari & Muhammad Shafiullah
- 1829802-1829802 A SAM framework for general equilibrium modeling and economic policy analysis
by Truong Hong Trinh & Nguyen Manh Toan & Evan Lau
- 1831725-1831725 Real exchange rate in the long run: A multi-resolution analysis
by Duc Hong Vo & Nhan Thien Nguyen & McMillan David
- 1832344-1832344 Convergence in military expenditure and economic growth in Africa and its regional economic communities: evidence from a club clustering algorithm
by Charles Shaaba Saba & Nicholas Ngepah & Christian Nsiah
- 1832729-1832729 Nexus between healthcare financing and output per capita: Analysis of countries in ECOWAS sub-region
by Oluchukwu F. Anowor & Hyacinth E. Ichoku & Vincent A. Onodugo & David McMillan
- 1832732-1832732 Asset-pricing models: A case of Indian capital market
by Khurshid Khudoykulov & David McMillan
- 1833503-1833503 Technical efficiency and impact of improved farm inputs adoption on the yield of haricot bean producer in Hadiya zone, SNNP region, Ethiopia
by Tamirat Beyene & Wondaferahu Mulugeta & Tesfaye Merra & Wing-Keung Wong
- 1834175-1834175 Extreme return-volume relationship in cryptocurrencies: Tail dependence analysis
by Muhammad Naeem & Kashif Saleem & Sheraz Ahmed & Naeem Muhammad & Faisal Mustafa & Papavassiliou Vassilios
- 1837440-1837440 Impact of small scale irrigation technology on women empowerment in Amhara national regional state of Ethiopia
by Belainew Belete & Surafel Melak & Goodness Aye
- 1837441-1837441 Spatial analysis of multidimensional poverty in Colombia: Applications of the Unsatisfied Basic Needs (UBN) Index
by Álvaro Turriago-Hoyos & William Andrés Martínez Mateus & Ulf Thoene & Robert Read
- 1838418-1838418 An ARDL investigation on the nexus of oil factors and economic growth: A timeseries evidence from Sultanate of Oman
by Sarfaraz Javed & Uvesh Husain & Muhammad Shafiullah
- 1838685-1838685 Efficiently monitoring the ship of financially distressed companies sinking in Iron law of earnings management: Evidence from Pakistan
by Muqaddas Khalid & Qaisar Abbas & Mian Sajid Nazir & David McMillan
- 1838686-1838686 The role of reference-dependent preferences in the idiosyncratic volatility puzzle: Evidence from Korea
by Lê Thị Minh Hằng & Hoang Van Hai & Nguyen Truong Son & David McMillan
- 1838687-1838687 Ownership concentration, firm life cycle, and leverage: Evidence from Italian family firms
by William Mbanyele & David McMillan
- 1838688-1838688 The conundrum of bank capital structure: Empirical evidence from Pakistan
by Bilal Sarwar & Noor Muhammad & Nadeem Uz Zaman & Zia Ur Rehman & David McMillan
- 1838689-1838689 Symmetrical cointegrating relationship between money supply, interest rates, consumer price index, terroristic disruptions, and Karachi stock exchange: Does global financial crisis matter?
by Umaid A. Sheikh & Muzaffar Asad & Aqeel Israr & Mosab I. Tabash & Zahid Ahmed & David McMillan
- 1838690-1838690 On understanding the implication of pension debt on fiscal policy in Tanzania: Is there any room for improving the adequacy of pension benefits?
by Josephat Lotto & Irene Isaka & Aviral Tiwari
- 1838691-1838691 Investigating the determinants and growth of financial technology depth of penetration among the heterogeneous Africa economies
by Tochukwu Timothy Okoli & Devi Datt. Tewari & David McMillan
- 1838692-1838692 Price-sensitive announcements and stock return anomalies: Evidence from Pakistan
by Faisal Sagheer Uddin & Muhammad Azam & David McMillan
- 1838693-1838693 Dynamics of bank capital ratios and risk-taking: Evidence from US commercial banks
by Faisal Abbas & Shoaib Ali & David McMillan
- 1838694-1838694 Role of size and risk effects in value anomaly: Evidence from the Indian stock market
by Mehak Sharma & Anshul Jain & David McMillan
- 1838734-1838734 Dynamic modeling of idiosyncratic risk under economic sensitivity. A case of Pakistan
by Hasan Hanif & Muhammad Naveed & David McMillan
- 1838735-1838735 Regulation’s influence on EU banking efficiency: An evaluation post crisis
by Edward Bace & Ana Ferreira & David McMillan
- 1839171-1839171 Macroeconomic surprises and stock market responses in view of global linkage – A study of Indian stock market
by Santanu Pal & Ajay K. Garg & David McMillan
- 1840102-1840102 Enterprise risk management and firm performance: Empirical evidence from Ghana equity market
by Sylvester Senyo Horvey & Jacob Ankamah & David McMillan
- 1843255-1843255 The portrait of Uganda’s informal sector: What main obstacles do the sector face?
by Salmon Mugoda & Stephen Esaku & Rose Kibuka Nakimu & Edward Bbaale & Robert Read
- 1844399-1844399 Herd behavior and firm-specific information
by Chaiyuth Padungsaksawasdi & Yudhvir Seetharam
- 1848972-1848972 Analysing investment product choice in South Africa under the investor lifecycle
by D. Kellerman & Z. Dickason-Koekemoer & S. Ferreira & David McMillan
- 1849970-1849970 Investigation of Factors Influencing Risk Tolerance among Investors using Ordinal Logistic Regression: A case from Nepal
by Dipesh Karki & Trijya Kafle & David McMillan
- 1849980-1849980 Earnings management to avoid earnings decreases and losses: Evidence from Vietnamese listed companies
by Ky Han Tran & Nguyen Hung Duong & David McMillan
- 1849981-1849981 Multimarket contacts and bank profitability: do diversification and bank ownership matter?
by Tu Dq Le & David McMillan
- 1850400-1850400 Carbon Emissions And Economic Growth In Africa: Are They Related?
by Olusanya Elisa Olubusoye & Dasauki Musa & Salvatore Ercolano
- 1852729-1852729 Evaluating investment decisions based on the business cycle: A South African sector approach
by Johnny Jansen van Rensburg & Gary van Vuuren & Xibin Zhang
- 1853325-1853325 The effect of trade liberalization on inter-industry wage difference in Indonesia’s manufacturing sector
by Watekhi Watekhi & Nachrowi Djalal Nachrowi & Muhammad Shafiullah
- 1853326-1853326 Redistributive fiscal policies and regional economic disparities
by Bankole Fred Olayele & Kwok Tong Soo & Mariam Camarero
- 1854412-1854412 Food system transformation and its impact on smallholder farmers’ income and food security in Indonesia
by Hery Toiba & Tri Wahyu Nugroho & Dwi Retnoningsih & Moh. Shadiqur Rahman & Goodness Aye
- 1854948-1854948 Portfolio design and management through state-based analytics: A probabilistic approach
by Matthew W. Burkett & William T. Scherer & Andrew Todd & Vassilios Papavassiliou
- 1856458-1856458 How Islamic and conventional bank in Indonesia contributing sustainable development goals achievement
by Nunung Ghoniyah & Sri Hartono & David McMillan
- 1857005-1857005 A Fundamental Misunderstanding of Risk: The Bias Associated with the Annualized Calculation of Standard Deviation
by Matthew W. Burkett & William T. Scherer & David McMillan
- 1858566-1858566 The solution to overcome the disappearing dividend phenomenon: Learning from the experience of the Indonesia Stock Exchange
by Zainul Kisman & Aviral Tiwari
January 2019, Volume 7, Issue 1
- 1565609-1565609 The dynamics of the economic cycle with duration dependence: Further evidence from Jordan
by Huthaifa Alqaralleh & Radi Adayleh
- 1567965-1567965 Individual differences and cognitive reflection across gender and nationality the case of the United Arab Emirates
by Ray Saadaoui Mallek & Mohamed Albaity
- 1568656-1568656 Impact of external debt and exchange rate volatility on domestic consumption. New evidence from Pakistan
by Ameet Kumar & Niaz Ahmed Bhutto & Khalid Ahmed Mangrio & Muhammad Ramzan Kalhoro
- 1568657-1568657 Super-replication of the best pairs trade in hindsight
by Alex Garivaltis
- 1568849-1568849 Management of shadow banks for economic and financial stability in South Africa
by Kehinde Damilola Ilesanmi & Devi Datt Tewari
- 1570581-1570581 Remittances and financial access: Evidence from Sub-Saharan Africa
by Kenneth A. Tah
- 1571692-1571692 Measuring business cycles: Empirical evidence based on an unobserved component approach
by Huthaifa Alqaralleh
- 1573471-1573471 Liquidity-adjusted CAPM — An empirical analysis on Indian stock market
by Gaurav Kumar & Arun Kumar Misra
- 1575565-1575565 RETRACTED ARTICLE: Penalties and contagion in financial networks
by Dike Chukwudi Henry
- 1576350-1576350 Industry concentration, stock returns and asset pricing: The UK evidence
by Sulaiman Mouselli & Aziz Jaafar
- 1582317-1582317 Long-term interest rate predictability: Exploring the usefulness of survey forecasts of growth and inflation
by Hamid Baghestani
- 1582318-1582318 Maximum likelihood estimation of stock volatility using jump-diffusion models
by Nixon S. Chekenya
- 1582319-1582319 A cross-sectional application of the Nelson-Siegel-Svensson model to several negative yield cases
by Maria Teresa Medeiros Garcia & Vítor Hugo Ferreira Carvalho
- 1585223-1585223 Multidimensional approach to factors affecting Japanese firms’ expansion in the MENA region
by Anis Khayati
- 1586078-1586078 Cross-sectional returns predictability for emerging market banks: A study on Indian banking system
by Sabyasachi Mohapatra & Arun Kumar Misra
- 1586297-1586297 Stock market and its liquidity: Evidence from ARDL bound testing approach in the Indian context
by Sharad Nath Bhattacharya & Mousumi Bhattacharya & Sankarshan Basu
- 1586621-1586621 Preference shocks in an RBC model with intangible capital
by Kashif Zaheer Malik & Syed Zahid Ali & Ali Imtiaz & Ammar Aftab
- 1587804-1587804 Stock liquidity and capital structure: International evidence
by Tung Lam Dang & Hai Ly Ho & Chi Dzung Lam & Thanh Thao Tran & Xuan Vinh Vo
- 1589406-1589406 Credit risk and operational risk on financial performance of universal banks in Ghana: A partial least squared structural equation model (PLS SEM) approach
by Samuel Gameli Gadzo & Holy Kwabla Kportorgbi & John Gartchie Gatsi
- 1589412-1589412 Risk and returns of different foreign ownership portfolios: Evidence from Vietnam stock market
by Anh Phong Nguyen & Hoang Anh Nguyen & Thi Hong Minh Ho & Phu Thanh Ngo
- 1590818-1590818 Measuring the relative efficiency of insurance companies in Saudi Arabia: The case study of Takaful vs cooperative industries
by Slah Benyoussef & Wael Hemrit
- 1593071-1593071 Legal theory of finance: Evidence from global financial networks
by Prince Kwasi Sarpong & Jugjith Deodutt
- 1593072-1593072 Can Bitcoin be a diversifier, hedge or safe haven tool?
by Anders Stensås & Magnus Frostholm Nygaard & Khine Kyaw & Sirimon Treepongkaruna
- 1594505-1594505 Dividend catering, life-cycle, and policy: Evidence from Indonesia
by Novi Swandari Budiarso & Bambang Subroto & Sutrisno T & Winston Pontoh
- 1595291-1595291 Determinants of livelihood strategies of fishing households in the volta Basin, Ghana
by F. K. Y. Amevenku & R. K. Asravor & J. K. M. Kuwornu
- 1595992-1595992 The sectoral effect of demonetization on the economy: Evidence from early reaction of the Indian stock markets
by Mohammad Shameem Jawed & Amol S. Dhaigude & Archit Vinod Tapar
- 1597430-1597430 Volatility behavior of asset returns based on robust volatility ratio: Empirical analysis on global stock indices
by Muneer Shaik & S. Maheswaran
- 1597665-1597665 The influence of corporate financial events on selected JSE-listed companies
by S. J. Ferreira & S. Mohlamme & G Van Vuuren & Z. Dickason (Koekemoer)
- 1597956-1597956 Generalized additive model with embedded variable selection for bankruptcy prediction: Prediction versus interpretation
by Carlos Valencia & Sergio Cabrales & Laura Garcia & Juan Ramirez & Diego Calderona
- 1598248-1598248 Macroeconomic surprises and stock market responses—A study on Indian stock market
by Santanu Pal & Ajay K Garg
- 1598835-1598835 A Crank-Nicolson finite difference approach on the numerical estimation of rebate barrier option prices
by Nneka Umeorah & Phillip Mashele
- 1598836-1598836 The determinants of leverage decisions: Evidence from Asian emerging markets
by Quratulain Zafar & Winai Wongsurawat & David Camino
- 1600222-1600222 Nexus between corporate governance practices and cost of capital in PSX listed firms
by Muhammad Arslan & Sazali Abidin
- 1600233-1600233 Investor sentiment and stock return volatility: Evidence from the Johannesburg Stock Exchange
by Lorraine Rupande & Hilary Tinotenda Muguto & Paul-Francois Muzindutsi
- 1600462-1600462 Ownership structure influencing the joint determination of dividend, leverage, and cost of capital
by Abhinav Kumar Rajverma & Rakesh Arrawatia & Arun Kumar Misra & Abhijeet Chandra
- 1602240-1602240 Enhancing auditors’ independence in auditing enterprises in Vietnam
by Le Doan Minh Duc & Nguyen Thi Hoang Yen & Vo Hoang Ngoc Thuy & Nguyen Hoang Tien & Dinh Ba Hung Anh
- 1603653-1603653 Is public debt harmful towards economic growth? New evidence from South Africa
by N. Mhlaba & A. Phiri
- 1603654-1603654 Shadow financial services and firm performance in South Africa
by Sheunesu Zhou & D. D. Tewari
- 1605105-1605105 Ramadan effect on stock market return and trade volume: Evidence from Dhaka Stock Exchange (DSE)
by Md. Hashibul Hassan & Md. Shahidullah Kayser
- 1605683-1605683 The impact of bank capital, bank liquidity and credit risk on profitability in postcrisis period: A comparative study of US and Asia
by Faisal Abbas & Shahid Iqbal & Bilal Aziz
- 1607050-1607050 Recruitment strategies in a university institution: a theoretical cost minimization approach
by Iddrisu Awudu & Saravanan Kuppusamy & Mario Norbis & Matthew O’Connor
- 1607127-1607127 Growth effect of trade and investment in Sub-Saharan Africa countries: Empirical insight from panel corrected standard error (PCSE) technique
by Fredrick Ikpesu & Olusegun Vincent & Olamitunji Dakare
- 1607431-1607431 Crude oil price shocks and macroeconomic performance in Africa’s oil-producing countries
by Adeleke Omolade & Harold Ngalawa & Adebayo Kutu
- 1608052-1608052 Myopia, liquidity constraints and private consumption: the case of Cote d’Ivoire
by Yaya Keho
- 1609155-1609155 Latent earning capacity and the race marriage gap
by Robert Nakosteen & Michael Zimmer
- 1609766-1609766 Why APRC is misleading and how it should be reformed
by Edina Berlinger
- 1612573-1612573 Does direct-sold funds provide a sizeable edge to investors? Evidences from selected mutual funds in India
by Jayanta Kumar Seal & Arunima Paul
- 1616521-1616521 The determinants of liquidity of Indian listed commercial banks: A panel data approach
by Eissa A. Al‐Homaidi & Mosab I. Tabash & Najib H. Farhan & Faozi A. Almaqtari
- 1618229-1618229 Impact of contract farming on rice farm performance: Endogenous switching regression
by John Kanburi Bidzakin & Simon C. Fialor & Dadson Awunyo-Vitor & Iddrisu Yahaya
- 1620154-1620154 Modelling the determinants of government expenditure in Nigeria
by Adamu Jibir & Chandana Aluthge
- 1622171-1622171 Are financial market states recurrent and persistent?
by Matthew W. Burkett & William T. Scherer & Andrew Todd
- 1622172-1622172 A Participatory Systems Mapping (PSM) based approach towards analysis of business sustainability of rural Indian milk dairies
by Vasanth Kamath & Seena Biju & Giridhar B Kamath
- 1622179-1622179 Intermediate tariffs and intraregional intermediate exports: Implications for regional value chains in ECOWAS
by Barnabas Olusegun Obasaju & Wumi Kolawole Olayiwola & Henry Okodua & Oluwasegun Eseyin & Ayodele Victor Ahmed
- 1622180-1622180 Do mobile phones, economic growth, bank competition and stability matter for financial inclusion in Africa?
by Tough Chinoda & Farai Kwenda
- 1622483-1622483 Contribution of financial market development in competitiveness growth
by Mohammad W. Alomari & Zyad Marashdeh & Ala G. Bashayreh
- 1622998-1622998 Government debt, government debt service and economic growth nexus in Zambia: a multivariate analysis
by Talknice Saungweme & Nicholas M. Odhiambo
- 1623751-1623751 Financial strength information and institutional investor demand: Evidence from India
by V. Gopikumar & Smitha Nair & S Sreevathsava & Raja Sreedharan V
- 1625100-1625100 Is there any relationship between monetary policy tools and external credit-growth nexus in Nigeria?
by Oluwasogo S. Adediran & Emmanuel O. George & Philip O. Alege & Barnabas O. Obasaju
- 1625107-1625107 Financial development, remittances and economic growth: A threshold analysis
by James Atta Peprah & Isaac Kwesi Ofori & Abel Nyarko Asomani
- 1625480-1625480 Analysts and stock liquidity – Global evidence
by Tung Lam Dang & Nguyen Trang Phuong Doan & Thi Minh Hue Nguyen & Thanh Thao Tran & Xuan Vinh Vo
- 1625739-1625739 A structural equation model of reputational risk in South Africa
by SJ Ferreira & E. Redda & SH Dunga
- 1626321-1626321 Foreign aid, poverty and economic growth in developing countries: A dynamic panel data causality analysis
by Edmore Mahembe & Nicholas Mbaya Odhiambo
- 1626526-1626526 Board gender diversity and firm financial performance in France: Empirical evidence using quantile difference-in-differences and dose-response models
by Ramzi Ben Slama & Aymen Ajina & Faten Lakhal
- 1628494-1628494 Investigating critical resource determinants of start-ups: An empirical study of the MENA region
by Abdulaziz Abdulmohsen Alfalih
- 1628512-1628512 Exchange rate and Chinese financial market: Variance decomposition under vector autoregression approach
by Shweta Ahalawat & Archana Patro
- 1629787-1629787 Retraction: Penalties and Contagion in Financial Networks
by The Editors
- 1630161-1630161 Macro-determinants of short-term foreign debt in Ghana
by William Gabriel Brafu-Insaidoo & Ferdinand Ahiakpor & Fiador Vera Ogeh & Cantah William G.
- 1630931-1630931 Double-sided balanced conditional Sharpe ratio
by Saeid Tajdini & Mohsen Mehrara & Reza Tehrani
- 1631525-1631525 Profitability and profit efficiency of certified groundnut seed and conventional groundnut production in Northern Ghana: A comparative analysis
by Dominic Tasila Konja & Franklin N. Mabe & Richard Oteng-Frimpong
- 1631987-1631987 The impact of agricultural package programs on farm productivity in Tigray-Ethiopia: Panel data estimation
by Araya Mebrahtu Teka & Sung-Kyu Lee
- 1632528-1632528 Credit risk clustering in a business group: Which matters more, systematic or idiosyncratic risk?
by Feng Li & Zhuojing He
- 1636496-1636496 Are structural policies in countries bordering mediterranean appropriate to economic convergence: Panel ARDL application
by Wajdi Bardi & Saif Eddine Ayouni & Mekki Hamdaoui
- 1636508-1636508 Shadow banking, risk-taking and monetary policy in emerging economies: A panel cointegration approach
by Sheunesu Zhou & D. D. Tewari
- 1637051-1637051 Dividend policy and stock price volatility in an emerging market: Does ownership structure matter?
by Thi Kieu Hoa Phan & Nam Hoai Tran
- 1637592-1637592 Exploring bequest intentions of Indian households
by Smitha Nair & V Gopikumar & Anjaly Ajith & Raja Sreedharan V
- 1638112-1638112 Access to homebuyer credit and housing satisfaction among households buying affordable apartments in urban Vietnam
by Tuan Anh Nguyen & Tuyen Quang Tran & Huong Vu Van & Dat Quoc Luu
- 1639878-1639878 Market power and the role of banks as liquidity providers in GCC markets
by Ritab Al-Khouri & Houda Arouri
- 1640098-1640098 Does rainfall variability matter for food security in developing countries ?
by Somlanare Romuald Kinda & Felix Badolo
- 1640099-1640099 CEO Compensation in IPOs
by Randy Beavers
- 1641063-1641063 Replicating the CBOE VIX using a synthetic volatility index trading algorithm
by Dayne Cary & Gary van Vuuren
- 1641683-1641683 Correction
by The Editors
- 1642173-1642173 Social Networks and Commercialisation of African Indigenous Vegetables in Kenya: A Cragg’s Double Hurdle Approach
by Catherine Mwema & Wibke Crewett
- 1644703-1644703 Gender diversity in boardrooms – A literature review
by Sudheer Reddy & Aditya Mohan Jadhav
- 1645583-1645583 Determinants of farm livelihoods of smallholder farmers in Yayu biosphere reserve, SW Ethiopia: a gender disaggregated analysis
by Beneberu A. Wondimagegnhu & Admassu T. Huluka & Sarah M. Nischalke
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