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Issue |
Title |
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Vol 10, No 5 (2019) |
Fraud Intention and Machiavellianism: An Experimental Study of Fraud Triangle |
Abstract
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Intiyas Utami, Yosephine Widwining Astiti, Nafsiah Mohamed |
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Vol 3, No 1 (2012) |
French Firm’s Financing Choices: Towards a Reconciliation of the Static Trade-Off Theory and the Pecking Order Theory? |
Abstract
PDF
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Gharsalli Mazen |
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Vol 5, No 3 (2014) |
From Rural to Microfinance Banking: Contributions of Micro Credits to Nigeria’s Economic Growth – An ARDL Approach |
Abstract
PDF
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Prince C. Nwakanma, Ikechukwu S. Nnamdi, Godfrey O. Omojefe |
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Vol 8, No 3 (2017) |
Full – Perspective Analysis of Medium Income Trap |
Abstract
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Guangtong Wang, Qiang Jiang |
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Vol 5, No 2 (2014) |
Fund Mobilization by Insurance Companies and Fixed Capital Formation: Evidence from the Nigerian Economy |
Abstract
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Lezaasi Lenee Torbira, Onyemachi Maxwell Ogbulu |
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Vol 11, No 4 (2020) |
Fundamental Analysis of Insurance Industry Operations and GDP Increase in Nigeria |
Abstract
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Andrew O. Agbada, Casmir C. Osuji |
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Vol 11, No 2 (2020) |
Funds Manager and Mutual Funds Characteristics on Mutual Funds Performance: Empirical Evidence of Equity Mutual Funds in Indonesia |
Abstract
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Rina Rachmawati, Sugeng Wahyudi, Irene Rini Demi Pangestuti, Najmudin . |
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Vol 10, No 2 (2019) |
Gender and Financial Constraints: An Empirical Investigation in Italy |
Abstract
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Francesco Campanella, Luana Serino |
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Vol 11, No 3 (2020) |
General Election and Stock Market Performance: A Malaysian Case |
Abstract
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Faridah Najuna Misman, Shashazrina Roslan, Muhammad Izzat Mat Aladin |
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Vol 10, No 5 (2019) |
Goods and Services Tax and Sales and Services Tax in Malaysia: A Review of Literature |
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Morni Hayati Jaafar Sidik, Nur Jannah Muhaidin, Masniza Supar |
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Vol 10, No 5 (2019) |
Governance and Efficiency of Zakah Distributions Based on the Dire Necessities of Maqasid Al-Syariah |
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Maheran Zakaria, Muhammad Saiful Anuar Yusoff, Zuraidah Sanusi |
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Vol 12, No 1 (2021) |
Governance and Youth Unemployment in Nigeria |
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Oluwasegun Eseyin, Elizabeth Oloni, Olufemi Ogunjobi, Fadeke Abiodun |
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Vol 11, No 2 (2020) |
Governance Effect of Board of Directors on Banking Performance: Evidence From Tunisia |
Abstract
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Sahbi Missaoui, Nizar Raissi |
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Vol 10, No 3 (2019) |
Government-Linked Investment Companies and Real Earnings Management: Malaysian Evidence |
Abstract
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Rahayu Abdul Rahman, Asheq Rahman, Erlane K Ghani, Normah Hj Omar |
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Vol 10, No 3 (2019) |
Green Supply Chain Management (GSCM) Practices for Sustainability Performance: An Empirical Evidence of Malaysian SMEs |
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Zarinah Abdul Rasit, Maisurah Zakaria, Marshita Hashim, Aliza Ramli, Muzrifah Mohamed |
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Vol 11, No 5 (2020) |
Gross Domestic Product, Number of Employees and Inflation Rate and Its Relationship to Private Final Consumption in Jordan |
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Adnan Abdelkarim Thiabat, Taghreed Musleh Kattoua |
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Vol 6, No 3 (2015) |
Guangdong Province Industrial Structure on Regional Economic Growth and the Impact of Economic Fluctuations |
Abstract
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Feng Yang, Jialin Liu, Haiying Ma |
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Vol 5, No 4 (2014) |
Habit Formation and Risk-free Rate Puzzle |
Abstract
PDF
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Wonnho Choi |
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Vol 12, No 3 (2021) |
Half Century of Gold Price: Regime-Switching and Forecasting Framework |
Abstract
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Nguyen Bao Anh, Yiqiang Q. Zhao |
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Vol 9, No 3 (2018) |
Has Fiscal Rules changed the Fiscal Behaviour of Union Government in India? Anatomy of Budgetary Forecast Errors in India |
Abstract
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Lekha S Chakraborty, Darshy Sinha |
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Vol 6, No 1 (2015) |
Hedge Fund Ownership, Board Composition and Dividend Policy in the Telecommunications Industry |
Abstract
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Eric Haye |
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Vol 8, No 4 (2017) |
Hedge Fund Return Dynamics: Long Memory and Regime Switching |
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M. A. Limam, V. Terraza, M. Terraza |
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Vol 9, No 2 (2018) |
Heir to the Throne: Choice of the Replacement CEO After Unexpected CEO Turnovers |
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Mia L. Rivolta |
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Vol 8, No 3 (2017) |
Higher Education Expansion and Return to Education in China: Evidence from CGSS2005 and CGSS2013 |
Abstract
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Xinxin Ma, Chengcheng Zhang |
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Vol 11, No 6 (2020) |
Highlighting Determinants of Financial Performance of the Jordanian Financial Sector: Panel Data Approach |
Abstract
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Hussain A. Bekhet, Jad Alkareem Alhyari, Nora Yusma Mohamed Yusoff |
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Vol 8, No 2 (2017) |
Home Bias and the Real Estate Prices |
Abstract
PDF
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Hsiu-yun Chang |
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Vol 8, No 2 (2017) |
Housing Prices at the Time of QEs in California: Effect of Mortgage Rates |
Abstract
PDF
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Yalan Feng, Donald C. Keenan, Taewon Kim, Daniel C. Lee |
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Vol 9, No 1 (2018) |
How Early Can Non-Performance Loan Predict Bank Failure? Evidence from US Bank Failure during 2008-2010 |
Abstract
PDF
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Abdus Samad |
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Vol 4, No 1 (2013) |
How Have Consumers Fared in Bank Privatization? International Evidence |
Abstract
PDF
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Anthony Q. Q. Aboagye, Isaac Otchere |
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Vol 10, No 6 (2019) |
Human Capital, Self-Efficacy and Firm Performance: A Study of Bumiputera SMEs in Malaysia |
Abstract
PDF
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Nurul Naziha Zuhir, Ehsan Fansuree Surin, Hardy Loh Rahim |
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Vol 7, No 2 (2016) |
Hysteresis Effect on Unemployment for Men and Women: A Panel Unit Root Test for OECD Countries |
Abstract
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Selahattin Bekmez, Asli Ozpolat |
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Vol 12, No 2 (2021) |
Ideal Investment Protection in Optimistic Perceptions: Evidence From the Indian Equity Options Market |
Abstract
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Babu Jose, James Varghese |
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Vol 11, No 2 (2020) |
IFRS and Financial Performance: Study in the French Context |
Abstract
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Hela Turki, Senda Wali, Zahra Tajuddin Abdelgader Ali, Mona Hassab Elrasoul Mohammed |
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Vol 12, No 1 (2021) |
Impact of Accounting Information System on Internal Audit Quality: Mediating Role of Organizational Culture |
Abstract
PDF
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Qasim Ahmad Alawaqleh |
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Vol 2, No 1 (2011) |
Impact of Banking Statutes, Housing-Market, Economic, and Financial Conditions on Bank Failures in the U.S, 1970-2008: GARCH Estimates |
Abstract
PDF
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Richard J. Cebula |
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Vol 10, No 6 (2019) |
Impact of Capital Structure on Firm’s Performance: Focusing on Non-financial Listed Egyptian Firms |
Abstract
PDF
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Ahmed Sakr, Amina Bedeir |
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Vol 8, No 4 (2017) |
Impact of Corporate Disclosure on Cost of Equity Capital in Vietnam |
Abstract
PDF
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Dung Viet Nguyen, Lan Thi Ngoc Nguyen |
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Vol 2, No 1 (2011) |
Impact of Cost-Push and Monetary Factors on GDP Deflator: Empirical Evidence from the Economy of Pakistan |
Abstract
PDF
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Zahoor Hussain Javed, Muhammad Farooq, Maqsood Hussain, Abdur-Rehman Shezad, Safder Iqbal, Shama Akram |
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Vol 12, No 2 (2021) |
Impact of Covid-19 in the European Start-ups Business and the Idea to Re-energise the Economy |
Abstract
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Stavros Kalogiannidis, Fotios Chatzitheodoridis |
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Vol 11, No 4 (2020) |
Impact of External Auditing Quality and Audit Committees on Accounting Conservatism and the Performance of Industrial Firms Listed at the Amman Stock Exchange |
Abstract
PDF
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Mahmod AL-Rawashdeh Abdalwahab, Riham Fathi ALkabbji |
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Vol 12, No 1 (2021) |
Impact of Financial Intermediaries on Nigerian Economic Growth |
Abstract
PDF
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Charles O. Manasseh, Johnson I. Okoh, Felicia C. Abada, Jonathan E. Ogbuabor, Felix C. Alio, Adedoyin I. Lawal, Ifeoma C. Nwakoby, Onyinye J. Asogwa |
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Vol 8, No 1 (2017) |
Impact of Financial Ratios on Non-Performing Loans of Publicly Traded Commercial Banks in Bangladesh |
Abstract
PDF
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Md. Ataur Rahman, Md. Asaduzzaman, Md. Shakhaowat Hossin |
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Vol 7, No 4 (2016) |
Impact of Foreign Direct Investment (FDI) on Economic Growth in WAEMU from 1990 to 2012 |
Abstract
PDF
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Galaye Ndiaye, Helian Xu |
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Vol 11, No 2 (2020) |
Impact of Foreign Direct Investment on the Financial Performance of Listed Deposit Banks in Nigeria |
Abstract
PDF
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Tony Ikechukwu Nwanji, Kerry E. Howell, Sainey Faye, Adegbola Olubukola Otekunrin, Damilola Felix Eluyela, Adedoyin Isola Lawal, Sunday Chinedu Eze |
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Vol 11, No 5 (2020) |
Impact of Income Tax Performance on the Application of Accounting Billing Systems in Jordan: Applied to Income Tax Directorates in Jordan |
Abstract
PDF
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Ayman Saleh Mustafa Harb |
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Vol 11, No 5 (2020) |
Impact of Institutional Governance Tools on Reducing Agency Costs to Commercial Banks Listed in the Amman Stock Exchange |
Abstract
PDF
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Omar Fareed Shaqqour |
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Vol 6, No 3 (2015) |
Impact of International Trade on Economic Growth in Nigeria (1988-2012) |
Abstract
PDF
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Adeleye J. O., Adeteye O. S., Adewuyi M. O. |
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Vol 11, No 1 (2020) |
Impact of Microfinance on Poverty: Qualitative Analysis for Grameen Bank Borrowers |
Abstract
PDF
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Mohammad Aslam, Senthil Kumar, Shahryar Sorooshian |
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Vol 6, No 4 (2015) |
Impact of Ownership Structure and Bank Performance – An Empirical Test in Vietnamese Banks |
Abstract
PDF
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Nguyen Hong Son, Tran Thi Thanh Tu, Dinh Xuan Cuong, Lai Anh Ngoc, Pham Bao Khanh |
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Vol 4, No 3 (2013) |
Impact of Personal Epistemology, Heuristics and Personal Attributes on Investment Decisions |
Abstract
PDF
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Sunitha Kumaran |
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Vol 10, No 1 (2019) |
Impact of Stock Market Development on Economic Growth in BRICS |
Abstract
PDF
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Godfrey Osaseri, Ifuero Osad Osamwonyi |
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Vol 12, No 2 (2021) |
Impact of the Application of IFRS 15 on the Profitability of Jordanian Telecom Companies (Case Study: Jordan Orange Telecom) |
Abstract
PDF
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Ola Mohammad Khersiat |
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Vol 4, No 3 (2013) |
Impact of the Financial Crisis on Profitability of the Islamic Banks vs Conventional Banks- Evidence from GCC |
Abstract
PDF
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Muni Sekhar Amba, Fayza Almukharreq |
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Vol 11, No 4 (2020) |
Impacts of Earnings Quality and Debt Maturity on Investment Efficiency: Study Case in Vietnam |
Abstract
PDF
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Dang Ngoc Hung, Vu Thi Thuy Van, Nguyen Thi Thanh Phuong |
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Vol 12, No 1 (2021) |
Impacts of Top Five Executives’ Compensation on Employee Wages |
Abstract
PDF
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Qianqian Li, Unyong Pyo |
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Vol 11, No 2 (2020) |
Imperatives of Effective Working Capital Management and Profitability in the Banking Industry in Nigeria |
Abstract
PDF
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Casmir C. Osuji, Andrew O. Agbada |
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Vol 11, No 1 (2020) |
Implementation of Social Culture in Corporate Governance: A Literature Study |
Abstract
PDF
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Mukhtaruddin Mukhtaruddin, M. Adam, Isnurhadi Isnurhadi, Luk Luk Fuadah |
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Vol 12, No 2 (2021) |
Improving the Mechanisms of Public-Private Partnership |
Abstract
PDF
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Aliya Zyalilevna Minnibaeva, Irina Yurievna Vaslavskaya, Irina Alexandrovna Koshkina, Artur Faridovich Ziyatdinov |
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Vol 9, No 1 (2018) |
Impulse of Dividend Payment Decision: Evidence from Pharmaceutical Industry in Bangladesh |
Abstract
PDF
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Md. Ariful Hoque |
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Vol 4, No 1 (2013) |
Impulse Response Functions and Causality Test of Financial Stress and Stock Market Risk Premiums |
Abstract
PDF
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Vichet Sum |
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Vol 4, No 3 (2013) |
Including More Information Content to Enhance the Value at Risk Estimation for Real Estate Investment Trusts |
Abstract
PDF
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Jin-Ray Lu, Chiang-Chang Hwang, Yi-Chun Chen, Chu-Ting Wen |
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Vol 9, No 1 (2018) |
Inflation Forecasts: Are Market-Based and Survey-Based Measures Informative? |
Abstract
PDF
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Magdalena Grothe, Aidan Meyler |
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Vol 3, No 3 (2012) |
Inflation, Growth, and Impatience in a Generalized Cash-in-Advance Economy |
Abstract
PDF
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Kenji Miyazaki |
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Vol 2, No 1 (2011) |
Inflation, Money and Economic Growth in Cameroon |
Abstract
PDF
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Henri Ngoa Tabi, Henri Atangana Ondoa |
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Vol 11, No 1 (2020) |
Inflation Thresholds and Stock Market Development: Evidence of the Nonlinear Nexus From an Emerging Economy |
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PDF
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Noura Abu Asab, Alaaeddin Al-Tarawneh |
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Vol 10, No 4 (2019) |
Influence of Local Tax and Zakat Infaq Maslahah Through to Regional Income (Overview of New Trends in Sustainable Development) |
Abstract
PDF
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Chablullah Wibisono, Indrayani -, Iskandar Muda |
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Vol 11, No 1 (2020) |
Influence of Rational and Emotional Appeals on Purchasing Through Online: The Case on Social Media |
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Mohamammad Toufiqur Rahman, Tanjina Pial |
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Vol 3, No 1 (2012) |
Influencing Factors of Health Care Expenditure for Rural Residents in China after Enforcing New Rural Cooperative Medical System |
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Ziyuan Deng, Hua Guo, Yuansheng Jiang |
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Vol 11, No 5 (2020) |
Information Spillover and Demand Shock Effect of the IPOs on the Stock Price of the Competitors: Evidence From the Korean Stock Market |
Abstract
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Jae Hoon Min |
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Vol 11, No 2 (2020) |
Inquiry Into the Moroccan Private Equity Industry: A Proposal of an Adapted Value Creation Framework |
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Taoufik A. Taleb, Abdessadeq Sadqi |
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Vol 3, No 1 (2012) |
Institutional Environment and Capital Structure: Evidence from Private Listed Enterprises in China |
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PDF
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Hongbo Duan, Abdul Razak bin Chik, Chonjun Liu |
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Vol 5, No 4 (2014) |
Institutional Investors, Stock Repurchases and Information Asymmetry |
Abstract
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Ricky W. Scott |
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Vol 11, No 1 (2020) |
Institutional Ownership, Productivity Sustainable Investment Based on Financial Constrains and Firm Value: Implications of Agency Theory, Signaling Theory, and Asymmetry Information on Sharia Companies in Indonesia |
Abstract
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Riskin Hidayat, Sugeng Wahyudi, Harjum Muharam, Fatlina Zainudin |
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Vol 10, No 2 (2019) |
Insurance Development and Economic Growth: An Examination of the Non-Bank Financial Institutions in Nigeria |
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David Okelue Ugwunta, Uche Boniface Ugwuanyi |
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Vol 7, No 5 (2016) |
Intensive Board Monitoring and Firm Value: An Empirical Analysis in the Context of Saudi Arabia |
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Hanan Alhussayen, Ridha Shabou |
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Vol 11, No 1 (2020) |
Interactions of Financial Assistance and Financial Reporting Competency: Evidence From Local Government in Papua and West Papua Indonesia |
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Pilipus Ramandei, Abdul Rohman, Dwi Ratmono, Imam Ghozali |
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Vol 11, No 4 (2020) |
Internal Control, Organizational Culture, and Quality of Information Accounting to Prevent Fraud: Case Study From Indonesia's Agriculture Industry |
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Puji Rahayu Setyaningsih, Nengzih Nengzih |
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Vol 5, No 3 (2014) |
Internal Controls and Knowledge Reengineering in Organization: Hong Kong Evidence |
Abstract
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Philip Law |
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Vol 11, No 1 (2020) |
Internal Controls and Performance of Selected Tertiary Institutions in Ekiti State: A Committee of Sponsoring Organisations (COSO) Framework Approach |
Abstract
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Gideon Tayo Akinleye, Adebola Daniel Kolawole |
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Vol 7, No 5 (2016) |
Internal Mechanisms of Governance and Risk Bearing of Banks: The Case of the CEMAC Zone |
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Etienne Francois Eloundou, Doris Mireille Befen Djinja |
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Vol 7, No 4 (2016) |
International Parity Relations and Economic Shock: Evidence from Swiss Franc Unpegging |
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Hoje Jo, Julian Dixon, Toshi Masubuchi, Manali Parmar, Stuti Rastogi |
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Vol 11, No 1 (2020) |
International Public Sector Accounting Standards (IPSAS) Adoption and Implementation in Nigerian Public Sector |
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Ademola Abimbola O., Ben-Caleb E., Madugba Joseph U., Adegboyegun Adekunle E., Eluyela Damilola F. |
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Vol 7, No 2 (2016) |
Investigating the Determinants of Inflation: A Panel Data Analysis |
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Pinar Deniz, Mahmut Tekce, Ahmet Yilmaz |
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Vol 5, No 3 (2014) |
Investigating the Effect of Inflation Disclosure on Improving the Information Content of the Financial Reporting |
Abstract
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Vali Khodadadi, Ali Vaez, Hashem Alisufi |
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Vol 11, No 1 (2020) |
Investigating the Efficiency of GCC Banking Sector: An Empirical Comparison of Islamic and Conventional Banks |
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Imran Khokhar, Mehboob ul Hassan, Muhammad Nauman Khan, Md Fouad Bin Amin |
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Vol 10, No 6 (2019) |
Investigating the Relationships Between Organizational Change, Organizational Climate, and Organizational Performance |
Abstract
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Sri Supriyati, Udin Udin, Sugeng Wahyudi, Mahfudz Mahfudz |
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Vol 11, No 6 (2020) |
Investigation on the Value Relevance of Integrated Reporting and Organizational Capital: Evidence From Sri Lanka |
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Athambawa Haleem, Samsudeen Thowfeek Ahamed, Wewaldeniyage Shanika Lakmali Kumarasing |
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Vol 11, No 3 (2020) |
Investment Property, Cost Model, Fair Value Model and Value Relevance: Evidence From Malaysia |
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Mohd Halim Kadri, Juyati Mohd Amin, Zarina Abu Bakar |
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Vol 11, No 4 (2020) |
Investor Decision in Estimating the Effect of Earning Persistence, Financial Leverage, Foreign Ownership Toward Company Reputation and Company Value |
Abstract
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Robert Jao, Djabir Hamzah, Abdul Rakhman Laba, Mediaty Mediaty |
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Vol 11, No 4 (2020) |
Investor Protection, Stock Liquidity, and Capital Structure |
Abstract
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Chuong Hong Pham, Hoang Duc Le, Hung Quoc Dang, Uyen Tu Bui |
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Vol 10, No 5 (2019) |
Investor Sentiment and Firm Financial Performance of Malaysian IPO Firms: Pre and Post Financial Crisis |
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Zalina Zainudin, Zarina Mohd Zaki, Abdul Razak Abdul Hadi, Hafezali Iqbal Hussain, Mazhar Hallak Kantakji |
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Vol 7, No 1 (2016) |
Is Capital Investment Indeed Not Affected by the Market Cost of Capital in the Regulated Energy and Utility Industry? A Reexamination of the Averch-Johnson Model |
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Ken Hung, Hui Wen Cheng, Ching Wen Chi, Shih-shen Chen |
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Vol 8, No 1 (2017) |
Is Carry Trade Still Profitable in Turkish Lira? |
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Aykut Akdag |
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Vol 6, No 4 (2015) |
Is Cash Flow per Share Paternalism by U.S. Accounting Rule Makers Warranted? An Empirical Study |
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Ning Du, John E. McEnroe |
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Vol 6, No 1 (2015) |
Is Earnings Information Superior to Net Income as a Measure of Future Earnings? A Study on Accruals and Real Earnings Management |
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Yung-Chuan Lee, Cheng-Chang Lu |
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Vol 12, No 2 (2021) |
Is Islamic Bank More Stable Than Conventional Bank? Evidence From Islamic Rural Banks in Indonesia |
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Agus Widarjono, M. B. Hendrie Anto, Faaza Fakhrunnas |
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Vol 12, No 3 (2021) |
Is Risk Based Capital Ratio a True Measure of the Soundness of Banks? Evidence From India |
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J. Navas, P. Dhanavanthan, D. Lazar |
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Vol 7, No 5 (2016) |
Is S&P100 Index a Mean-Variance Efficient Portfolio? |
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Mohammad G. Robbani, Ajeet Jain |
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Vol 7, No 2 (2016) |
Is ‘Excess’ Board Independence Good for Firm Performance? An Empirical Investigation of Non-financial Listed Firms in Saudi Arabia |
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Basmah Altuwaijri, Lakshmi Kalyanaraman |
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Vol 10, No 6 (2019) |
Islamic Organizational Culture, Islamic Corporate Social Responsibility, and Corporate Performance: Evidence From Sharia Bank in Indonesia |
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Luluk Muhimatul Ifada, Imam Ghozali, Faisal Faisal |
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Vol 8, No 3 (2017) |
Japan’s Yen Loan, Prerequisite to Mass FDI from Japan |
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Kikuo Oishi |
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Vol 7, No 3 (2016) |
Job Stress, Involvement, Satisfaction and Performance of Employees in Garment 10 Corporation in Vietnam |
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Viet Duc Than, Cuong Hung Pham, Long Pham |
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Vol 9, No 3 (2018) |
Knowledge Sharing and Individuals’ Work Performance: A Virtuous Spiral |
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Angela Teixeira, Paulo L. Henriques, Maria C. Santos |
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Vol 7, No 1 (2016) |
La Dolce Vita in Japan: The Effect of Bank Mergers on Corporate Governance |
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Heather Montgomery, Yuki Takahashi |
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Vol 7, No 1 (2016) |
Large Shareholder’s Identity and Stock Price Synchronicity: Evidence from a MENA Market |
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Adel Bino, Diana Abu-Ghunmi, Mohammad Tayeh, Dua’a Shubita |
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Vol 10, No 3 (2019) |
Leaders’ Emotional Intelligence and Employee Retention: Mediation of Job Satisfaction in the Hospitality Industry |
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Adel Ali Yassin Alzyoud, Umair Ahmed, Mahmoud Radhwan Hussein Alzgool, Munwar Hussain Pahi |
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Vol 9, No 1 (2018) |
Lead-Lag Relationships in International Stock Markets Revisited: Are They Exploitable? |
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Andreas Gruener, Christian Finke |
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Vol 7, No 5 (2016) |
Lecturer’s Working Environment and Teaching Competence in Selected Agricultural Colleges in Vietnam |
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Duong Thai Le, Cuong Hung Pham |
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Vol 4, No 1 (2013) |
Lévy Processes and the Financial Crisis: Can We Design a More Effective Deposit Protection? |
Abstract
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Sara Maccaferri, Jessica Cariboni, Wim Schoutens |
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Vol 2, No 2 (2011) |
Life-Cycle Theory and Free Cash Flow Hypothesis: Evidence from Dividend Policy in Thailand |
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Yordying Thanatawee |
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Vol 7, No 2 (2016) |
Linking Quality Management Practices and Effective Knowledge Integration to New Product Development (NPD): An Empirical Study of Saudi-firms |
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Abdullah Mohammed Aldakhil |
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Vol 5, No 3 (2014) |
Liquidity Analysis Using Cash Flow Ratios as Compared to Traditional Ratios in the Pharmaceutical Sector in Jordan |
Abstract
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Sulayman H. Atieh |
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Vol 10, No 3 (2019) |
Liquidity, Growth and Profitability of Non-financial Public Listed Malaysia: A Malaysian Evidence |
Abstract
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Mazurina Mohd Ali, Nik Noor Ayu Nik Hussin, Erlane K Ghani |
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Vol 11, No 5 (2020) |
Liquidity Management and Financial Performance: Evidence From Commercial Banks in Botswana |
Abstract
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C.R. Sathyamoorthi, Mogotsinyana Mapharing, Mashoko Dzimiri |
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Vol 9, No 1 (2018) |
Liquidity, Synergy and Winner-take-all Effect |
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Mingyuan Sun |
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Vol 11, No 6 (2020) |
Literature Review: Game Based Pedagogy in Accounting Education |
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Ganga Bhavani, Anupam Mehta, Suchi Dubey |
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Vol 7, No 1 (2016) |
Loan as a Durable Good and Bank Indirect-Tax Incidence |
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Gerasimos T. Soldatos, Erotokritos Varelas |
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Vol 4, No 4 (2013) |
Logit Regression Approach to Rating Banks Using Financial Ratios: A Study of Gulf Cooperation Council Banks |
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Sree Rama Murthy Y |
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Vol 6, No 1 (2015) |
Long-term Performance of Acquirers Involved in Domestic Bank Ms&As in Europe |
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George Kyriazopoulos, Evangelos Drymbetas |
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Vol 5, No 2 (2014) |
Long-Term Profitability of Volume-Based Price Momentum in Taiwan |
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Hsiao-Peng Fu |
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Vol 6, No 2 (2015) |
Losers Win, Winners Lose: Evidence against Market Efficiency |
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Zachary Alexander Smith |
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Vol 6, No 4 (2015) |
Low Pension Participation among Minority Workers in the U.S. |
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Sung David Chun, Wei Sun, Yeojun Caleb Chun |
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Vol 9, No 3 (2018) |
Macroeconomic Drivers of Stock Market Development: Evidence From Jordan |
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Alaaeddin Al-Tarawneh, Ghazi Al-Assaf |
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Vol 9, No 1 (2018) |
Macroeconomic Factors and Corporate Capital Structure: Evidence from Listed Joint Stock Companies in Vietnam |
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Phan Thi Quoc Huong |
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Vol 3, No 2 (2012) |
Macroeconomic Factors of Emerging Stock Market: The Evidence from Thailand |
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Nopphon Tangjitprom |
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Vol 5, No 1 (2014) |
Macroeconomic Forces and Stock Prices: Some Empirical Evidence from Saudi Arabia |
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Lakshmi Kalyanaraman, Basmah Al Tuwajri |
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Vol 7, No 5 (2016) |
Macroeconomics, Firm-Specific Factors and Stock Liquidity: An Empirical Evidence from Jordan |
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Wasfi A. Al Salamat |
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Vol 9, No 4 (2018) |
Macroprudential Policy: Resolution and Continued Challenges |
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Igor M Tomic, John Angelidis |
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Vol 11, No 3 (2020) |
Malaysian Public Sector Ethical Stimulants |
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Azizah Abdullah, Norazamina Mohamed, Najihah Marha Yaacob, Suraya Ahmad |
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Vol 10, No 2 (2019) |
Mall Performance: Corporate, Retail, Restaurants and E-commerce Effects |
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Elisee Joseph |
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Vol 12, No 1 (2021) |
Management Accounting Research Approaches: A Critical Review |
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Achchi Mohamed Inun Jariya, Thirunavukkarsu Velnampy |
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Vol 11, No 1 (2020) |
Management Compensation, Gender Diversification, and Executive Preferences on Tax Avoidance of IDX Manufacturing Companies |
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Frans Sudirjo |
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Vol 7, No 4 (2016) |
Management Control and Takeover Premiums |
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Trevor W. Chamberlain, Maxime Fabre |
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Vol 12, No 1 (2021) |
Management of the Process of Formation of Financial and Credit Infrastructure to Support Agricultural Enterprises |
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Kateryna Andriushchenko, Vitalii Tkachuk, Vitalii Lavruk, Vita Kovtun, Oleksandr Datsii, Ganna Ortina, Helena Petukhova |
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Vol 6, No 2 (2015) |
Managerial Ability and Internal Control Quality: Evidence from China |
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Han Li |
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Vol 10, No 5 (2019) |
Managing a Country’s Sustainabilty - The Case of Malaysia and Indonesia Public Debt |
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Abdul Razak Abdul Hadi, Tasya Aspiranti, Tahir Iqbal, Raja Rehan |
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Vol 7, No 2 (2016) |
Managing Risk in Livestock Farming: The Role of Insurance Companies |
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Sanam Jokhio, Muhammad Moinuddin Qazi Abro, Lamya Alaali |
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Vol 8, No 3 (2017) |
Mandelbrot Market-Model and Momentum |
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Wilhelm Berghorn, Sascha Otto |
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Vol 12, No 3 (2021) |
Mapping Global Research on International Financial Reporting Standards: A Scientometric Review |
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Oleh Pasko, Mykola Hordiyenko, Fuli Chen, Yarmila Tkal, Yulia Abraham |
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Vol 10, No 5 (2019) |
Mapping in Intellectual Capital Measurement in Creative Industries in East Java |
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Gendut Sukarno, Wulan Retno Wigati, Sulastri Irbayuni, Mas Anienda Tien Fitriyah |
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Vol 6, No 2 (2015) |
Market Efficiency and Technical Analysis in Romania |
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Dan Gabriel Anghel |
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Vol 12, No 1 (2021) |
Market Efficiency of Indian Capital Market: An Event Study Around the Announcement of Results of Lok Sabha Election 2019 |
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Nazreen Parveen Ali, Ashit Saha |
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Vol 9, No 1 (2018) |
Market Fragmentation, Market Quality and Clientele Effects |
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D. Alasdair S. Turnbull |
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Vol 3, No 4 (2012) |
Market Value of the Firm, Market Value of Equity, Return Rate on Capital and the Optimal Capital Structure |
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Chao Chiung Ting |
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Vol 9, No 2 (2018) |
Measuring Determinants and Effects of Firms’ Financial Structure in a Deleverage Setting: Evidence From Italy |
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Mario Mustilli, Francesco Campanella, Eugenio D’Angelo |
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Vol 10, No 5 (2019) |
Measuring the Outreach Level of Micro-finance Institutions in Bangladesh |
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Naziruddin Abdullah |
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Vol 8, No 4 (2017) |
Mixed Ownership Structures and Firm Performance in China Listed Firms |
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Xiaolou Yang |
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Vol 11, No 1 (2020) |
Mobile Money, Financial Inclusion and Digital Payment: The Case of Vietnam |
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Tran Hung Son, Nguyen Thanh Liem, Nguyen Vinh Khuong |
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Vol 6, No 2 (2015) |
Modeling Correlation Structure for Collateralized Debt Obligations |
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Deniz Ilalan |
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Vol 5, No 3 (2014) |
Modeling Risk Premia in Forward Foreign Exchange Rates as Unobserved Components: The Model Identification Problem |
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Aziz Chouikh, Abdelwahed Trabelsi |
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Vol 11, No 6 (2020) |
Modeling the Effectiveness of Employee Compensation Based on Financial Resources |
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L. B. Sungatullina, E. I. Kadochnikova, G. R. Faizrahmanova |
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Vol 11, No 4 (2020) |
Modelling and Forecasting the Volatility of Cryptocurrencies: A Comparison of Nonlinear GARCH-Type Models |
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Huthaifa Alqaralleh, Alaa Adden Abuhommous, Ahmad Alsaraireh |
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Vol 3, No 1 (2012) |
Modelling Credit Risk for Personal Loans Using Product-Limit Estimator |
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Okumu Argan Wekesa, Mwalili Samuel, Mwita Peter |
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Vol 6, No 1 (2015) |
Modelling the Antecedent and Consequence of Consumer Perceived Deception in Loan Services |
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Mbawuni Joseph, Simon Gyasi Nimako |
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Vol 8, No 3 (2017) |
Modelling the Impact of Liquidity Trend on the Financial Performance of Commercial Banks and Economic Growth in Cameroon |
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Godfrey Forgha Njimanted, Akume Daniel Akume, Nkwetta Ajong Aquilas |
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Vol 7, No 4 (2016) |
Momentum for Independent versus Group Firms |
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Hsiao-Peng Fu |
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Vol 8, No 3 (2017) |
Momentum: An Economic View |
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Wilhelm Berghorn, Sascha Otto |
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Vol 9, No 1 (2018) |
Monday Effect in the Chinese Stock Market |
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Gerardo “Gerry” Alfonso Perez |
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Vol 11, No 1 (2020) |
Monetary Policy and Financial Stability in the Nigerian Banking Industry |
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Oparah Felix Chukwudi, James Tumba Henry |
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Vol 6, No 4 (2015) |
Mortgage Rates and the Corporate Bond Index at the Time of QEs in California |
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Taewon Kim, Daniel C. Lee, Dang Tran |
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Vol 11, No 1 (2020) |
Mudharabah Deposits Among Conventional Bank Interest Rates, Profit-Sharing Rates, Liquidity and Inflation Rates |
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Caturida Meiwanto Doktoralina, Fikki Mutarotun Nisha |
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Vol 9, No 1 (2018) |
Multi-Criteria Decision-Making Model Evaluating the Performance of Vietnamese Commercial Banks |
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Dinh Xuan Cuong, Hoang Thi Hien, Tran Long |
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Vol 6, No 2 (2015) |
Myopic Investor or Active Monitor? The Role of Institutional Investors in Corporate Innovation |
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Xiaoyan Xu, Chunlei Wang, Shijun Cheng |
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Vol 4, No 1 (2013) |
Nash Equilibria on Soft Information Control Games--Based on Banking Industry in China |
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Fei Xu, Yong Jiang |
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Vol 5, No 4 (2014) |
National Debt and Its Effects on Several Other Variables: An Econometric Study of the United States |
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Augustine C. Arize, Ioannis N. Kallianotis, Scott Liu, John Malindretos, Alex Panayides |
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Vol 4, No 2 (2013) |
New Risk Measure and Idiosyncratic Risk in Taiwan Stock Market |
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Yin-Ching Jan, Su-Ling Chiu, Jerry M. C. Wang |
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Vol 12, No 2 (2021) |
Nexus Between Corporate Social Responsibility, Environmental Disclosure and Financial Reporting Quality Among Listed Firms in Nigeria |
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Odia Honesty Amenaghawon, Gbenga Ekundayo, Festus Odhigu, Mary Josiah |
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Vol 9, No 3 (2018) |
Nexus Between Pension Fund Size, Design and Investment Strategy: A Review of Occupational Retirement Benefits Schemes in Kenya |
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Wilson Ngugi, Amos Njuguna |
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Vol 11, No 2 (2020) |
Nollywood Accounting and Financial Performance: Evidence From Nigerian Cinemas |
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Olaoluwa Elsie Umukoro, Damilola Felix Eluyela, Emmanuel Ozordi, Ofe Iwiyisi Inua, Sheriff Babajide Balogun |
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Vol 8, No 1 (2017) |
Noninterest Income and Financial Performance at Jordanian Banks |
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Alaaeddin Al-Tarawneh, Bashar K. Abu Khalaf, Ghazi Al Assaf |
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Vol 8, No 1 (2017) |
Oil Price Fluctuations and Their Impact on Stock Market Returns in Jordan: Evidence from an Asymmetric Cointegration Analysis |
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Buthaina M. A. Muhtaseb, Ghazi Al-Assaf |
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Vol 5, No 4 (2014) |
On Risk Comprehensive Evaluation of Carbon Finance in Commercial Banks under Low-Carbon Economy in China |
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Wenjuan Pan |
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Vol 5, No 2 (2014) |
On the Establishment of Green Fiscal Transfer Payment Mechanism in Northwest Ethnic Regions of China |
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Afan Sun |
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Vol 5, No 1 (2014) |
On the Impact of Bond's Rating Changes on the Firm's Stock Price |
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Gil Cohen |
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Vol 4, No 2 (2013) |
On the Influence of Oil Price Shocks on Economic Activity, Inflation, and Exchange Rates |
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Yasunori Yoshizaki, Shigeyuki Hamori |
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Vol 6, No 3 (2015) |
On the Rural Social Endowment Insurance in Ethnic Minority Areas: A Case Study of Gannan Tibetan Autonomous Prefecture of Gansu Province |
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Wei Wang, Haiying Ma |
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Vol 7, No 5 (2016) |
On the Systematic Downside Risk Measure: A Note |
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Yin-Ching Jan |
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Vol 4, No 1 (2013) |
On the Time-varying Linkages among the London Interbank Offer Rates for Major European Currencies |
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Go Tamakoshi, Shigeyuki Hamori |
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Vol 5, No 2 (2014) |
On the Urban Comprehensive Carrying Capacity of the Ethnic Regions in China |
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Peng Li, Haiying Ma |
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Vol 7, No 1 (2016) |
Opting for a Controlled-Firm Majority Independent Directors Exemption to NYSE or NASDAQ Listing Requirements: Much Ado about Nothing? |
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Jeffery A. Born |
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Vol 10, No 5 (2019) |
Organization Culture - Oriented Training Design |
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Darwis Agustriyana, Gusni ., Didi Tarmidi, Dinda Kayani Putri Bestari |
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Vol 11, No 4 (2020) |
Organizational Commitments in Financial Service Audit With Antecedents of Organizational Justice and Job Satisfaction |
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Petrus Ridaryanto |
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Vol 8, No 4 (2017) |
Over-Valuation: Avoid Double Counting when Retaining Dividends in the FCFE Valuation |
Abstract
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Joao Marques Silva, Jose Azevedo Pereira |
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Vol 10, No 6 (2019) |
Ownership Hierarchy and Cash Holding: A Study From Pakistan |
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Muhammad Nabeel Safdar, Tian Lin, Papel Tanchangya, Saba Amin |
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Vol 9, No 3 (2018) |
Ownership Structure and Efficiency of Banking Industry in China and Vietnam - A Political View |
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Manh-Trung Phung, Cheng-Ping Cheng, Chen-Yu Kao |
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Vol 11, No 2 (2020) |
Ownership Structure and Firm Performance |
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Gholamreza Zandi, Jaspal Singh, Shafi Mohamad, Syed Ehsanullah |
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Vol 5, No 2 (2014) |
Ownership Structure and Investor’s Sentiments for Dividends |
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Elisabete Duarte Neves |
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Vol 12, No 2 (2021) |
Peer to Peer Lending Industry in China and Its Implication on Economic Indicators: Testing the Mediating Impact of SMEs Performance |
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Babak Naysary, Siti Nurbaayah Daud |
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Vol 9, No 1 (2018) |
Perceived Benefits and Challeges of IFRS Adoption in Ghana: Views of Members of Institute of Chartered Accountants, Ghana (ICAG) |
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Joseph Mbawuni |
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Vol 12, No 1 (2021) |
Performance Analysis of GCC Banks: A Survey |
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Manuel Fernandez, Luluwa Juma, Hanan Alkharoossi, Robinson Joseph |
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Vol 9, No 1 (2018) |
Performance Evaluation and Determinant Factors of China’s Logistics Enterprises Based on Careersmart Balanced Score Card |
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Maoguo Wu, Chengzhe Bai |
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Vol 8, No 4 (2017) |
Performance Evaluation of Religious Funds |
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Praveen Das, S. P. Uma Rao, Denis Boudreaux |
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Vol 12, No 3 (2021) |
Personnel Expenses and Productivity Change in Peruvian Stock Mining Companies |
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Johan Axcel Torres Bonilla, Fiorella Melissa Arena Pariona Marcos, Pedro Bernabe Venegas Rodriguez, Nivardo Alonzo Santillan Zapata, Jimmy Alberth Deza Quispe |
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Vol 10, No 1 (2019) |
Perspectives From the Past for the Federal Reserve’s Monetary Policy and Communication |
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Arto Kovanen |
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Vol 11, No 3 (2020) |
Political Connection and Firm’s Performance Among Malaysian Firms |
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Nurul Azlin Azmi, Nor Balkish Zakaria, Fazrul Hanim Abd Sata, Zuraidah Mohd Sanusi |
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Vol 12, No 3 (2021) |
Political Instability and Banks Performance in the Light of Arab Spring: Evidence From GCC Region |
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Bassam Omar Ali Jaara |
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Vol 4, No 1 (2013) |
Portfolio Risk and Dependence Modeling |
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Arsalan Azamighaimasi |
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Vol 11, No 6 (2020) |
Potential of Cryptocurrency as Global Money of the Sixth Technological Mode Based on the Global Financial System |
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Marat Rashitovich Safiullin, Mikhail Valerievich Savelichev, Leonid Alekseevich Elshin, Vadim Olegovich Moiseev |
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Vol 7, No 2 (2016) |
Predicting Bankruptcy in Private Firms: Towards a Stepwise Regression Procedure |
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Jonathan Bauweraerts |
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Vol 11, No 1 (2020) |
Predicting Likelihood for Loan Default Among Bank Borrowers |
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Mohammad Aslam, Senthil Kumar, Shahryar Sorooshian |
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