Content
January 2018, Volume 31, Issue 1
- 1903-1922 Analysis of factors influencing managerial decision to use trade credit in construction sector
by Nicoleta Bărbuţă-Mişu - 1923-1939 Non-structural approach to implied moments extraction
by Tea Šestanović & Josip Arnerić & Zdravka Aljinović - 1940-1952 Corruption and shadow economy in transition economies of European Union countries: a panel cointegration and causality analysis
by Yilmaz Bayar & Hakki Odabas & Mahmut Unsal Sasmaz & Omer Faruk Ozturk - 1953-1964 The macroeconomic effects of transport infrastructure on economic growth: the case of Central and Eastern E.U. member states
by Nela Vlahinić Lenz & Helga Pavlić Skender & Petra Adelajda Mirković - 1965-1980 Consumption and hysteresis: the new, the old, and the challenge
by Andreea-Daniela Moraru & Alina Barbulescu & Cristina Duhnea - 1981-2002 Minimum wage in Croatia: sectoral and regional perspectives
by Danijel Nestić & Zdenko Babić & Sanja Blažević Burić - 2003-2023 The import content of Croatian economic sectors and final demand
by Davor Mikulić & Željko Lovrinčević - 2024-2043 Exploring the quality of social information disclosed in non-financial reports of Croatian companies
by Milena Peršić & Halmi Lahorka - 2044-2059 An empirical analysis of factors affecting competitiveness of C.E.E. countries
by Valentina Diana Rusu & Angela Roman - 2060-2080 Impact of public expenditure in labour market policies and other selected factors on youth unemployment
by Igor Cvecic & Danijela Sokolic - 2081-2099 Corporation effective tax rates and company size: evidence from Germany
by Francisco J. Delgado & Elena Fernández-Rodríguez & Antonio Martínez-Arias - 2100-2115 Fashion effects: self-limitations of the free will caused by degeneration of the free market
by Konrad Szocik & Agata Gemzik-Salwach & Łukasz Cywiński & Elżbieta Inglot-Brzęk - 2116-2116 Erratum
by The Editors
January 2017, Volume 30, Issue 1
- 1-13 The idea of investor relations in the modern economy: a communication approach
by Tomasz Gackowski - 14-30 Practical aspects of portfolio selection and optimisation on the capital market
by Florin Turcas & Florin Dumiter & Petre Brezeanu & Pavel Farcas & Sorina Coroiu - 31-54 Comparing the innovation performance of EU candidate countries: an entropy-based TOPSIS approach
by Selahattin Kaynak & Serkan Altuntas & Turkay Dereli - 55-75 Board characteristics and firm performances in emerging economies. Lessons from Romania
by Sorin Nicolae Borlea & Monica Violeta Achim & Codruța Mare - 76-90 The effect of adaptation and trust on positional advantage of companies in B2B relationships: the moderating role of relationship value
by Matjaž Iršič - 91-111 The effect of socioeconomic factors on crime rates in Romania: a macro-level analysis
by Oana-Ramona Lobonţ & Ana-Cristina Nicolescu & Nicoleta-Claudia Moldovan & Ayhan Kuloğlu - 112-124 The effect of presidential election in the USA on stock return flow – a study of a political event
by Saša Obradović & Nenad Tomić - 125-139 Identifying relationship between macroeconomic and fiscal policy variables for EU countries and Turkey
by Yusuf Temur & Halit Çiçek & İlhan Eroğlu & Cumhur Erdem - 140-153 Determinants of the performance of investment funds managed in Hungary
by Gábor Bóta & Mihály Ormos - 154-183 Audit reporting for going concern in Spain during the global financial crisis
by Mercedes Mareque & Francisco López-Corrales & Aurea Pedrosa - 184-206 Survival of the fittest: an evolutionary approach to an export-led model of growth
by J. Prašnikar & T. Redek & M. Drenkovska - 207-222 Enhancing growth and welfare through debt-financed education
by Peter J. Stauvermann & Ronald R. Kumar - 223-237 An investigation of export–import ratios in Turkey using spline regression models
by Ömer Alkan & Erkan Oktay & Aşır Genç & Ali Kemal Çelik - 238-255 Dynamic immunisation does not imply cash flow matching: a hard application to Spain
by J. Iñaki De La Peña & Asier Garayeta & Iván Iturricastillo - 256-272 Use of the method of the stochastic trend for NAIRU estimation in the Czech Republic and Slovakia at the macro- and meso-levels
by Emilie Jašová & Božena Kadeřábková & Klára Čermáková - 273-289 The investigation of inflation persistence in Croatia in the period of 2005–2013
by Piotr Misztal - 290-301 The effects of corporate social responsibility on customer-based brand equity: Spanish hypermarket case
by Pablo Gutiérrez Rodríguez & Pedro Cuesta Valiño & José Luis Vázquez Burguete - 302-317 Changes of marketing culture expression: comparison analysis in times of economic recession and recovery
by Daiva Zostautiene & Renata Zvireliene & Dalia Susniene - 318-333 Efficiency of bank branches: empirical evidence from a two-phase research approach
by Violeta Cvetkoska & Gordana Savić - 334-348 A structural explanation for high interest rates in a rentier-led economy with endogenous money
by Urban Sušnik - 349-367 Firm size and job creation: evidence from Turkey
by Ergun Dogan & M. Qamarul Islam & Mehmet Yazici - 368-380 How do offline and online environments matter in the relational marketing approach?
by Mar Gómez & Belén González-Díaz & David Martín-Consuegra & Arturo Molina - 381-393 Testing causal relation among central and eastern European equity markets: evidence from asymmetric causality test
by Emrah Ismail Cevik & Turhan Korkmaz & Emre Cevik - 394-415 The determinants of electronic payment systems usage from consumers’ perspective
by Emrah Oney & Gizem Oksuzoglu Guven & Wajid Hussain Rizvi - 416-438 The accuracy of alternative stock valuation methods – the case of the Warsaw Stock Exchange
by Błażej Prusak - 439-452 Warfare tourism: an opportunity for Croatia?
by Metod Šuligoj - 453-463 Monetary freedom and economic growth in New European Union Member States
by Vladan Ivanović & Nenad Stanišić - 464-476 The relationship between gross domestic product and monetary variables in Romania. A Bayesian approach
by Mihaela Simionescu & Jenica Popescu & Victoria Firescu - 477-498 GARCH models in value at risk estimation: empirical evidence from the Montenegrin stock exchange
by Julija Cerović Smolović & Milena Lipovina-Božović & Saša Vujošević - 499-510 Short-term and long-term relationships between gold prices and precious metal (palladium, silver and platinum) and energy (crude oil and gasoline) prices
by Mehmet Eryiğit - 511-526 Energy use, CO2 emissions and economic growth – causality on a sample of SEE countries
by Saša Obradović & Nemanja Lojanica - 527-549 Economic growth, financial development, urbanisation and electricity consumption nexus in UAE
by Rashid Sbia & Muhammad Shahbaz & Ilhan Ozturk - 550-565 Analysis of the efficiency of insurance companies in Serbia using the fuzzy AHP and TOPSIS methods
by Mandić Ksenija & Delibašić Boris & Knežević Snežana & Benković Sladjana - 566-580 Taxation, growth and the stock traded nexus in emerging Asian countries: heterogeneous and semi-parametric panel estimates
by Nanthakumar Loganathan & Roshaiza Taha & Norsiah Ahmad & Thirunaukarasu Subramaniam - 581-595 International trade and strategic behaviour: a game theoretical analysis of the trade dispute between Turkey and Russia
by Aslı Taşbaşı - 596-610 The role of financial constraints on precautionary cash holdings: evidence from Pakistan
by Qurat-ul-ann Azmat & Abdullah Muhammad Iqbal - 611-628 Application of transfer pricing methods in related companies in Croatia
by Hrvoje Perčević & Mirjana Hladika - 629-646 How can we apply the models of the quality of life and the quality of life management in an economy based on knowledge?
by Amelia Bucur - 647-660 Investors’ behaviour in regard to company earnings announcements during the recession period: evidence from the Macedonian stock exchange
by Julijana Angelovska - 661-675 Measuring recent changes of insurance gross premiums distribution using ten inequality measures: case study of Croatia
by Drago Jakovčević & Ksenija Dumičić & Mihovil Anđelinović - 676-693 Corporate social responsibility and financial performance relationship: a review of measurement approaches
by Adriana Galant & Simon Cadez - 694-704 The role of benefits in employee motivation and retention in the financial sector of the Czech Republic
by Iveta Němečková - 705-720 Using a multilevel modelling approach to explain the influence of economic development on the subjective well-being of individuals
by Matic Novak & Marko Pahor - 721-731 Analysis of annual report disclosure quality for listed companies in transition countries
by Snjezana Pivac & Tina Vuko & Marko Cular - 732-744 Strategic delegation and second mover advantage in duopoly
by Jeong-Yoo Kim & Joon Yeop Kwon - 745-760 Determinants of transparency and disclosure – evidence from post-transition economies
by Sasho Arsov & Vesna Bucevska - 761-776 Catastrophe risk management in Romania and Transylvania’ specifics. Issues for national and local administrations
by Marius Dan Gavriletea - 777-788 Outward foreign direct investment and domestic investment: evidence from China
by Waqar Ameer & Helian Xu & Mohammed Saud M Alotaish - 789-805 Combined forecasts to improve Survey of Profession Forecasters predictions for quarterly inflation in the U.S.A
by Mihaela Simionescu & Beata Gavurova & Luboš Smrčka - 806-817 Investor protection and country-level governance: cross-country empirical panel data evidence
by Paula Ramona Rachisan & Cristina Bota-Avram & Adrian Grosanu - 818-835 Corporate purpose in a small post-transitional economy: the case of Slovenia
by Igor Stubelj & Primož Dolenc & Roberto Biloslavo & Matjaž Nahtigal & Suzana Laporšek - 836-844 A note on the interaction between stock prices and exchange rates in Middle-East economies
by Parham Parsva & Chor Foon Tang - 845-857 Cluster analysis of higher-education competitiveness in selected European countries
by József Kabók & Slobodan Radišić & Bogdan Kuzmanović - 858-872 Are business forecasts of the construction sector rational? Survey-based evidence from Malaysia
by Chin-Hong Puah & Shirly Siew-Ling Wong & Muzafar Shah Habibullah - 873-891 IPR scenario and factors for promoting IPR culture: a post-TRIPS period analysis of selected pharmaceutical firms in North India
by Ravi Kiran - 892-910 Intention to use new mobile payment systems: a comparative analysis of SMS and NFC payments
by Francisco Liébana-Cabanillas & Iviane Ramos de Luna & Francisco Montoro-Ríos - 911-921 If we implement it, will they come? User resistance in post-acceptance usage behaviour within a business intelligence systems context
by Aleš Popovič - 922-938 Audit fees and the salience of financial crisis: evidence from Slovenia
by Maja Zaman Groff & Domen Trobec & Aleksander Igličar - 939-950 Predicting tourism demand by A.R.I.M.A. models
by Biljana Petrevska - 951-963 Doing business with the poor: the rules and impact of the microfinance institutions
by Wajid Khan & Sun Shaorong & Ikram Ullah - 964-984 Determinants of unemployment spells and exit destinations in Romania in a competing-risks approach
by Daniela-Emanuela Dănăcică & Lucia Paliu-Popa - 985-991 Economic activities and unmarried labour
by Muhammad Zaheer Khan & Amtul Hafeez - 992-1002 The influence of science–industry collaboration on firms’ innovative performance – evidence from the Republic of Croatia
by Mirjana Jeleč Raguž & Nihada Mujić Mehičić - 1003-1020 The segmentation of the demand for ferry travel – a case study of Stena Line
by Joanna Kizielewicz & Anntti Haahti & Tihomir Luković & Daniela Gračan - 1021-1032 Domestic and cross-border returns to bidders in acquisitions into the E.U
by Samra Chaudary & Nawazish Mirza - 1033-1056 Antecedents and determinants of high-tech SMEs’ commercialisation enablers: opening the black box of open innovation practices
by Aleš Pustovrh & Marko Jaklič & Sheila A. Martin & Matevž Rašković - 1057-1072 Employees’ individual values as a source of human capital
by Ljuan Marko Gashi & Željko Požega & Boris Crnković - 1073-1118 Supplier evaluation and selection in fuzzy environments: a review of MADM approaches
by Mehdi Keshavarz Ghorabaee & Maghsoud Amiri & Edmundas Kazimieras Zavadskas & Jurgita Antucheviciene - 1119-1131 Overconfidence, risk aversion and individual financial decisions in experimental asset markets
by Julija Michailova & Alminas Mačiulis & Manuela Tvaronavičienė - 1132-1151 A social marketing perspective on road freight transportation of fresh fruits and vegetables: a Slovene case
by Sandra Bonča & Andrej Udovč & Romina Rodela - 1152-1180 Evaluation of quality assurance in contractor contracts by multi-attribute decision-making methods
by Eva Trinkūnienė & Valentinas Podvezko & Edmundas Kazimieras Zavadskas & Izolda Jokšienė & Irina Vinogradova & Vaidotas Trinkūnas - 1181-1190 Air pollution, economic growth and health care expenditure
by Soheila Khoshnevis Yazdi & Bahman Khanalizadeh - 1191-1208 Regional absorption capacity of EU funds
by Ines Kersan-Škabić & Lela Tijanić - 1209-1223 Reimbursement and hospital competition in China
by Chan Wang & You-hua Chen - 1224-1236 Effects of corporate diversification on firm performance: evidence from the Serbian insurance industry
by Ranka Krivokapic & Vladimir Njegomir & Dragan Stojic - 1237-1256 B.P.M. in transition economies: joint empirical experience of Slovenia and Serbia
by Dragana Stojanović & Ivan Tomašević & Dragoslav Slović & Dušan Gošnik & Jana Suklan & Klemen Kavčič - 1257-1276 Extracting the innovation policies for Iran based on the approximation of policy implications for comparative economic doctrines
by Sepehr Ghazinoory & Meysam Narimani & Faezeh Khamoushi & Hamid Kazemi - 1277-1299 The application of water cycle algorithm to portfolio selection
by Mohammad Moradi & Ali Sadollah & Hoda Eskandar & Hadi Eskandar - 1300-1317 Examining shopping enjoyment: personal factors, word of mouth and moderating effects of demographics
by Mirela Mihić & Ivana Kursan Milaković - 1318-1338 To be or not to be a business responsible for sustainable development? Survey from small Czech businesses
by Marie Mikušová - 1339-1366 Why did some firms perform better in the global financial crisis?
by Chien-Chiang Lee & Mei-Ping Chen & Shao-Lin Ning - 1367-1389 Risk arbitrage in emerging Europe: are cross-border mergers and acquisition deals more risky?
by Alin Marius Andrieș & Cătălina Alexandra Vîrlan - 1390-1405 Why governments may opt for financial repression policies: selective credits and endogenous growth
by Murat A. Yülek - 1406-1426 Interval-valued upside potential and downside risk portfolio optimisation
by Massimiliano Kaucic & Roberto Daris - 1427-1442 The interaction of clusters between manufacturing and producer services in China
by Bingqiang Li - 1443-1460 Tourism foreign direct investment led tourism gross value added: a co-integration and causality analysis of Croatian tourism
by Heri Bezić & Maja Nikšić Radić - 1461-1476 Are some cultures more favourable for social entrepreneurship than others?
by Irena Kedmenec & Sebastjan Strašek - 1477-1496 The nexus between the demand for life insurance and institutional factors in Europe: new evidence from a panel data approach
by Simona Laura Dragos & Codruta Mare & Ingrid-Mihaela Dragota & Cristian Mihai Dragos & Gabriela Mihaela Muresan - 1497-1521 Multivariate Granger causality between macro variables and KSE 100 index: evidence from Johansen cointegration and Toda & Yamamoto causality
by Rizwan Raheem Ahmed & Jolita Vveinhardt & Dalia Streimikiene & Majid Fayyaz - 1522-1535 The effects of fiscal policy during the financial crises in transition and emerging countries: does fiscal policy matter?
by Besnik Fetai - 1536-1552 An evaluation of the effectiveness of an inflation targeting strategy in Turkey
by İlhan Eroglu & Mehmet Çınar & Nadir Eroglu - 1553-1571 External imbalances in emerging and advanced European countries
by Boris Cota & Nataša Erjavec & Željko Bogdan - 1572-1593 Macroeconomic model of institutional reforms’ influence on economic growth of the new EU members and the Republic of Croatia
by Vesna Buterin & Marinko Škare & Denis Buterin - 1594-1610 Portfolio optimisation with higher moments of risk at the Pakistan Stock Exchange
by Bushra Naqvi & Nawazish Mirza & Waqar Azeem Naqvi & S. K. A. Rizvi - 1611-1630 The risk–return profile of Lithuanian private pension funds
by Audrius Kabašinskas & Kristina Šutienė & Miloš Kopa & Eimutis Valakevičius - 1631-1654 Return on strategic effectiveness – the need for synchronising growth and development strategies in the hotel industry using revenue management
by Sonja Brlečić Valčić & Lidija Bagarić - 1655-1668 The influence of the assessment of internet websites offering tourist services on the manner of purchase of holiday packages
by Tomasz Szopiński - 1669-1692 A new proposal for efficiency quantification of capital markets in the context of complex non-linear dynamics and chaos
by Oprean Camelia & Tănăsescu Cristina & Bucur Amelia - 1693-1704 Insolvency in the Republic of Croatia
by Zvonimira Šverko Grdić & Marinela Krstinić Nižić & Maja Mamula - 1705-1723 Correlation and causation between the UN Human Development Index and national and personal wealth and resource exploitation
by Janez Sušnik & Pieter van der Zaag - 1724-1742 Innovation and economic growth in old and new member states of the European Union
by Andrzej Kacprzyk & Wirginia Doryń - 1743-1757 Examining agency governance in the European Union financial sector – a case-study of the European Securities and Markets Authority
by Ivana Bajakić & Marta Božina Beroš - 1758-1769 Financial development and firm growth in Turkish manufacturing industry: evidence from heterogeneous panel based non-causality test
by Mert Topcu & Serap Çoban - 1770-1784 An overview of data envelopment analysis application in studies on the socio-economic performance of OECD countries
by Danijela Rabar - 1785-1803 Accountants’ ethical perceptions from several perspectives: evidence from Slovenia
by Marjan Odar & Mateja Jerman & Anton Jamnik & Slavka Kavčič - 1804-1819 Sector-specific gender pay gap: evidence from the European Union Countries
by Veronika Hedija - 1820-1828 Analysis of competitiveness: energy sector and the electricity market in Russia
by Evgeny Lisin & Yulia Marishkina & Wadim Strielkowski & Dalia Streimikiene - 1829-1839 Strategic management accounting in the Republic of Serbia
by Ljiljana Dmitrović-Šaponja & Edin Suljović - 1840-1849 Do house prices influence stock prices? Empirical investigation from the panel of selected European Union countries
by Ghulam Ali & Khalid Zaman - 1850-1864 Application of international accounting standard-16 in a public company with predominantly agricultural activities
by Slobodan Popović & Srećko Novaković & Dragan Đuranović & Ranko Mijić & Željko Grublješić & Jugoslav Aničić & Aleksandar Majstorović - 1865-1881 The impact of regime-switching behaviour of price volatility on efficiency of the US sovereign debt market
by Omar Masood & Bora Aktan & Beata Gavurová & Bachar Fakhry & Manuela Tvaronavičienė & Raimonda Martinkutė-Kaulienė - 1882-1895 Does rising import competition harm Vietnam’s local firm employment of the 2000s?
by Truc Le Nguyen & Huong Vu Van & Lam Duc Nguyen & Tuyen Quang Tran - 1896-1913 The impact of the economic conditions on the innovation activity of the companies from selected Balkan states
by Marek Tomaszewski & Arkadiusz Świadek
January 2016, Volume 29, Issue 1
- () Editorial Board 2016
by The Editors - 1-17 Discretionary vs nondiscretionary in fiscal mechanism – non-automatic fiscal stabilisers vs automatic fiscal stabilisers
by Vasile Brătian & Amelia Bucur & Camelia Oprean & Cristina Tănăsescu - 18-31 The association of selected economic parameters in construction output – an international comparison
by Pavla Odehnalová & Lenka Komárková & Petr Pirožek - 32-49 Does public offering improve company’s financial performance? The example of Poland
by Radosław Pastusiak & Katarzyna Miszczyńska & Bartłomiej Krzeczewski - 50-65 Multiple criteria decision-making KEMIRA-M method for solution of location alternatives
by Aleksandras Krylovas & Edmundas Kazimieras Zavadskas & Natalja Kosareva - 66-84 Determinants of tourism industry in selected European countries: a smooth partial least squares approach
by Lukáš Malec & Josef Abrhám - 85-100 Financial leverage and stock returns: evidence from an emerging economy
by Nawazish Mirza & Birjees Rahat & Krishna Reddy - 101-117 Human resources in a draught: how managers construed the role and meaning of human resource management during the 2008 economic crisis in Slovenia
by Ana Arzenšek & Kristijan Musek Lešnik - 118-130 Relationship between job satisfaction and organisational performance
by Danica Bakotić - 131-139 Differences between domestic and expatriate managers in the Croatian hospitality industry
by Matea Matić & Perica Vojinić & Marija Bečić - 140-147 A research for the competitive environment hypothesis in the short-run for the Turkish manufacturing industry
by Omer Iskenderoglu & Ilhan Ozturk - 148-161 Compliance with IAS/IFRS and firm characteristics: evidence from the emerging capital market of Turkey
by Ali Uyar & Merve Kılıç & Başak Ataman Gökçen - 162-176 The impairment test of goodwill: an empirical analysis of incentives for earnings management in Italian publicly traded companies
by Bojana Korošec & Mateja Jerman & Polona Tominc - 177-192 Seasonal affective disorder and the Romanian stock market
by Aurora Murgea - 193-216 Diagnosing the impact of retail bank customers’ perceived justice on their service recovery satisfaction and post-purchase behaviours: an empirical study in financial centre of middle east
by Halil Nadiri - 217-232 Digital channels diminish SME barriers: the case of the UK
by Ivana Stankovska & Saso Josimovski & Christopher Edwards - 233-249 Start-up intentions of potential entrepreneurs – the contribution of hope to success
by Marcin Staniewski & Katarzyna Awruk - 250-262 Interindustry dividend policy determinants in the context of an emerging market
by Nurul Shahnaz Mahdzan & Rozaimah Zainudin & Nikoo Karimi Shahri - 263-285 The importance of culture for enterprise dynamics: the role of type and strength of culture
by Mojca Duh & Jernej Belak & Borut Milfelner - 286-313 Global liquidity and strategies of exit from unconventional monetary policies
by Ansgar Belke - 314-324 The factors constraining innovation performance of SMEs in Croatia
by Ljiljana Božić & Edo Rajh - 325-342 Operational planning level of development in production enterprises in the machine building industry and its impact on the effectiveness of production
by Željko Mateljak & Damir Mihanović - 343-359 Effects of risk aversion on securities portfolio performance in underdeveloped capital markets: the case of the capital market of Bosnia and Herzegovina
by Sejfudin Zahirović & Jasmina Okičić - 360-379 Causality between corruption and the level of GDP
by Danilo Lučić & Mladen Radišić & Dušan Dobromirov - 380-394 Alternative measures of internal distance in estimating home bias in trade: the case of Croatia
by Hrvoje Jošić & Mislav Jošić - 395-418 The limitations of competition in the insurance markets of Slovenia, Croatia and Serbia
by Milan Kostić & Ljiljana Maksimović & Boban Stojanović - 419-433 Romanian pensions system at a glance: some equity comments
by Alina Cristina Nuţă & Constantin Zaman & Florian Marcel Nuţă - 434-445 Constructing a composite coincident indicator for a post-transition country
by Ivana Rašić Bakarić & Marina Tkalec & Maruška Vizek - 446-458 IMF lending arrangements in emerging and developing countries – participation and prediction
by Ramona Orăștean & Silvia Mărginean & Claudiu Opreana - 459-474 The determinants of Serbian banking industry profitability
by Ana Knezevic & Dusan Dobromirov - 475-484 Assessing the accuracy of delta-normal VaR evaluation for Serbian government bond portfolio
by Milica Obadović & Evica Petrović & Nenad Vunjak & Mirjana Ilić - 485-497 Financial crisis and bank efficiency: An empirical study of European banks
by Alin Marius Andrieș & Silviu Gabriel Ursu - 498-514 Corporate capital structure: the case of large Croatian companies
by Sandra Pepur & Marijana Ćurak & Klime Poposki - 515-528 Modelling the impact of macroeconomic variables on aggregate corporate insolvency: case of Croatia
by Ivana Tomas Žiković - 529-544 Performance appraisals of ICT companies in the Tehran stock market: contradiction with the global trend
by Sepehr Ghazinoory & Amir Khorasani & Ali Asghar Anvari Rostamy & Ghazaleh Taheriattar & Mona Rashidirad - 545-558 A nonparametric data mining approach for risk prediction in car insurance: a case study from the Montenegrin market
by Vladimir Kašćelan & Ljiljana Kašćelan & Milijana Novović Burić - 559-572 Impact of hotel service quality on the loyalty of customers
by Edmundas Jasinskas & Dalia Streimikiene & Biruta Svagzdiene & Arturas Simanavicius - 573-582 Were Ukrainian regions too different to start interregional confrontation: economic, social and ecological convergence aspects?
by Leonid G. Melnyk & Oleksandr V. Kubatko & Oleksandra V. Kubatko - 583-597 Efficiency in the hotel industry: an empirical examination of the most influential factors
by Katarina Poldrugovac & Metka Tekavcic & Sandra Jankovic - 598-611 Does eWOM influence destination trust and travel intention: a medical tourism perspective
by Abubakar Mohammed Abubakar - 612-622 Is the PPP valid for the EA-11 countries? New evidence from nonlinear unit root tests
by Alenka Kavkler & Darja Boršič & Jani Bekő - 623-642 Public accounting history in post-communist Romania
by Cristina Silvia Nistor & Adela Deaconu - 643-664 Dynamics of the total factor productivity in Lithuanian family farms with a statistical inference: the bootstrapped Malmquist indices and Multiple Correspondence Analysis
by Tomas Baležentis & Alvydas Baležentis - 665-681 Differences in consumer decision-making styles among selected south-east European countries
by Ivan-Damir Anić & Anita Ciunova-Shuleska & Sunčana Piri Rajh & Edo Rajh & Arnela Bevanda - 682-695 Switching personal income tax and social security contributions between Slovenia and the Federation of Bosnia and Herzegovina
by Dželila Kramer & Mitja Čok & Andreja Cirman & Miroslav Verbič - 696-705 Time varying causality between stock market and exchange rate: evidence from Turkey, Japan and England
by Feyyaz Zeren & Mustafa Koç - 706-720 A study of the relationship between service atmosphere and customer loyalty with specific reference to structural equation modelling
by Oktay Emir - 721-734 Investigating the impact of customer orientation on innovativeness: evidence from born-global firms in Turkey
by Osman M. Karatepe & M. Mithat Uner & Akin Kocak - 735-745 The revenues-spending nexus in Romania: a TAR and MTAR approach
by Aviral Kumar Tiwari & Mihai Mutascu - 746-757 Public debt and pro-poor economic growth evidence from South Asian countries
by Naeem Akram - 758-769 Determinants of capital market in the new member EU countries
by Bojana Olgić Draženović & Tino Kusanović - 770-781 Examination of factors influencing employees’ adoption of mobile commerce and services in Turkey
by Ibrahim Akman & Mohammad Rehan - 782-798 Does the geographic location influence takeovers?
by Radu Ciobanu - 799-815 Pricing of risk and volatility dynamics on an emerging stock market: evidence from both aggregate and disaggregate data
by Faisal Khan & Saif-Ur Rehman & Hashim Khan & Tie Xu - 816-838 Innovation performance measurement: research into Czech business practice
by Ondrej Zizlavsky - 839-856 In search of insolvency among European countries
by Beata Szetela & Grzegorz Mentel & Jacek Brożyna - 857-887 Hybrid multiple criteria decision-making methods: a review of applications for sustainability issues
by Edmundas Kazimieras Zavadskas & Kannan Govindan & Jurgita Antucheviciene & Zenonas Turskis - 888-903 Labour institutions and vulnerability of developing economies under capital inflows
by Vladimir Matveenko - 904-913 The impact of clustering on the business performance of Croatian SMHEs
by Zorica Krželj Čolović & Ivona Milić Beran & Ivona Vrdoljak Raguž - 914-937 Changes in consumer behaviour – the challenges for providers of tourist services in the destination
by Iris Mihajlović & Niko Koncul - 938-949 Foreign direct investment, exports and economic growth: evidence from two panels of developing countries
by Majid Mahmoodi & Elahe Mahmoodi - 950-966 Management culture and mobbing in a social organisation: whether a special status provides a guarantee of safety
by Jolita Vveinhardt & Dalia Streimikiene - 967-979 Child domestic labour and mothers’ employment in Turkey
by Z. Bilgen Susanli & Ozlem Inanc-Tuncer & Serhat Kologlugil - 980-990 Interactions between business conditions, economic growth and crude oil prices
by Setareh Sodeyfi & Salih Katircioglu - 991-1002 Deindustrialisation and productivity in the EU
by Lorena Škuflić & Marko Družić - 1003-1004 7th International scientific conference by Juraj Dobrila University of Pula and Istrian Development Agency
by The Editors - 1005-1020 R&D expenditure and economic growth: EU28 evidence for the period 2002–2012
by Svetlana Sokolov-Mladenović & Slobodan Cvetanović & Igor Mladenović - 1021-1037 The importance of the supportive control environment for internal audit effectiveness – the case of Croatian companies
by Ivana Barišić & Boris Tušek - 1038-1049 Monetary policy and unemployment in Croatia
by Manuel Benazić & Jasmin Rami - 1050-1061 Economic crisis, women entrepreneurs and bank loans: some empirical evidence from Italy
by Francesca Maria Cesaroni & Annalisa Sentuti - 1062-1074 Drivers of entrepreneurial intentions among business students in Macedonia
by Ana Tomovska Misoska & Makedonka Dimitrova & Jadranka Mrsik - 1075-1090 The influence of intellectual capital on innovativeness and growth in tourism SMEs: empirical evidence from Slovenia and Croatia
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