Browse Title Index

Issue Title
Vol 9, No 1 (2018) Market Fragmentation, Market Quality and Clientele Effects Abstract   PDF
D. Alasdair S. Turnbull
Vol 3, No 4 (2012) Market Value of the Firm, Market Value of Equity, Return Rate on Capital and the Optimal Capital Structure Abstract   PDF
Chao Chiung Ting
Vol 9, No 2 (2018) Measuring Determinants and Effects of Firms’ Financial Structure in a Deleverage Setting: Evidence From Italy Abstract   PDF
Mario Mustilli, Francesco Campanella, Eugenio D’Angelo
Vol 10, No 5 (2019) Measuring the Outreach Level of Micro-finance Institutions in Bangladesh Abstract   PDF
Naziruddin Abdullah
Vol 8, No 4 (2017) Mixed Ownership Structures and Firm Performance in China Listed Firms Abstract   PDF
Xiaolou Yang
Vol 11, No 1 (2020) Mobile Money, Financial Inclusion and Digital Payment: The Case of Vietnam Abstract   PDF
Tran Hung Son, Nguyen Thanh Liem, Nguyen Vinh Khuong
Vol 6, No 2 (2015) Modeling Correlation Structure for Collateralized Debt Obligations Abstract   PDF
Deniz Ilalan
Vol 5, No 3 (2014) Modeling Risk Premia in Forward Foreign Exchange Rates as Unobserved Components: The Model Identification Problem Abstract   PDF
Aziz Chouikh, Abdelwahed Trabelsi
Vol 3, No 1 (2012) Modelling Credit Risk for Personal Loans Using Product-Limit Estimator Abstract   PDF
Okumu Argan Wekesa, Mwalili Samuel, Mwita Peter
Vol 6, No 1 (2015) Modelling the Antecedent and Consequence of Consumer Perceived Deception in Loan Services Abstract   PDF
Mbawuni Joseph, Simon Gyasi Nimako
Vol 8, No 3 (2017) Modelling the Impact of Liquidity Trend on the Financial Performance of Commercial Banks and Economic Growth in Cameroon Abstract   PDF
Godfrey Forgha Njimanted, Akume Daniel Akume, Nkwetta Ajong Aquilas
Vol 7, No 4 (2016) Momentum for Independent versus Group Firms Abstract   PDF
Hsiao-Peng Fu
Vol 8, No 3 (2017) Momentum: An Economic View Abstract   PDF
Wilhelm Berghorn, Sascha Otto
Vol 9, No 1 (2018) Monday Effect in the Chinese Stock Market Abstract   PDF
Gerardo “Gerry” Alfonso Perez
Vol 11, No 1 (2020) Monetary Policy and Financial Stability in the Nigerian Banking Industry Abstract   PDF
Oparah Felix Chukwudi, James Tumba Henry
Vol 6, No 4 (2015) Mortgage Rates and the Corporate Bond Index at the Time of QEs in California Abstract   PDF
Taewon Kim, Daniel C. Lee, Dang Tran
Vol 11, No 1 (2020) Mudharabah Deposits Among Conventional Bank Interest Rates, Profit-Sharing Rates, Liquidity and Inflation Rates Abstract   PDF
Caturida Meiwanto Doktoralina, Fikki Mutarotun Nisha
Vol 9, No 1 (2018) Multi-Criteria Decision-Making Model Evaluating the Performance of Vietnamese Commercial Banks Abstract   PDF
Dinh Xuan Cuong, Hoang Thi Hien, Tran Long
Vol 6, No 2 (2015) Myopic Investor or Active Monitor? The Role of Institutional Investors in Corporate Innovation Abstract   PDF
Xiaoyan Xu, Chunlei Wang, Shijun Cheng
Vol 4, No 1 (2013) Nash Equilibria on Soft Information Control Games--Based on Banking Industry in China Abstract   PDF
Fei Xu, Yong Jiang
Vol 5, No 4 (2014) National Debt and Its Effects on Several Other Variables: An Econometric Study of the United States Abstract   PDF
Augustine C. Arize, Ioannis N. Kallianotis, Scott Liu, John Malindretos, Alex Panayides
Vol 4, No 2 (2013) New Risk Measure and Idiosyncratic Risk in Taiwan Stock Market Abstract   PDF
Yin-Ching Jan, Su-Ling Chiu, Jerry M. C. Wang
Vol 9, No 3 (2018) Nexus Between Pension Fund Size, Design and Investment Strategy: A Review of Occupational Retirement Benefits Schemes in Kenya Abstract   PDF
Wilson Ngugi, Amos Njuguna
Vol 11, No 2 (2020) Nollywood Accounting and Financial Performance: Evidence From Nigerian Cinemas Abstract   PDF
Olaoluwa Elsie Umukoro, Damilola Felix Eluyela, Emmanuel Ozordi, Ofe Iwiyisi Inua, Sheriff Babajide Balogun
Vol 8, No 1 (2017) Noninterest Income and Financial Performance at Jordanian Banks Abstract   PDF
Alaaeddin Al-Tarawneh, Bashar K. Abu Khalaf, Ghazi Al Assaf
Vol 8, No 1 (2017) Oil Price Fluctuations and Their Impact on Stock Market Returns in Jordan: Evidence from an Asymmetric Cointegration Analysis Abstract   PDF
Buthaina M. A. Muhtaseb, Ghazi Al-Assaf
Vol 5, No 4 (2014) On Risk Comprehensive Evaluation of Carbon Finance in Commercial Banks under Low-Carbon Economy in China Abstract   PDF
Wenjuan Pan
Vol 5, No 2 (2014) On the Establishment of Green Fiscal Transfer Payment Mechanism in Northwest Ethnic Regions of China Abstract   PDF
Afan Sun
Vol 5, No 1 (2014) On the Impact of Bond's Rating Changes on the Firm's Stock Price Abstract   PDF
Gil Cohen
Vol 4, No 2 (2013) On the Influence of Oil Price Shocks on Economic Activity, Inflation, and Exchange Rates Abstract   PDF
Yasunori Yoshizaki, Shigeyuki Hamori
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 Abstract   PDF
Wei Wang, Haiying Ma
Vol 7, No 5 (2016) On the Systematic Downside Risk Measure: A Note Abstract   PDF
Yin-Ching Jan
Vol 4, No 1 (2013) On the Time-varying Linkages among the London Interbank Offer Rates for Major European Currencies Abstract   PDF
Go Tamakoshi, Shigeyuki Hamori
Vol 5, No 2 (2014) On the Urban Comprehensive Carrying Capacity of the Ethnic Regions in China Abstract   PDF
Peng Li, Haiying Ma
Vol 7, No 1 (2016) Opting for a Controlled-Firm Majority Independent Directors Exemption to NYSE or NASDAQ Listing Requirements: Much Ado about Nothing? Abstract   PDF
Jeffery A. Born
Vol 10, No 5 (2019) Organization Culture - Oriented Training Design Abstract   PDF
Darwis Agustriyana, Gusni ., Didi Tarmidi, Dinda Kayani Putri Bestari
Vol 8, No 4 (2017) Over-Valuation: Avoid Double Counting when Retaining Dividends in the FCFE Valuation Abstract   PDF
Joao Marques Silva, Jose Azevedo Pereira
Vol 10, No 6 (2019) Ownership Hierarchy and Cash Holding: A Study From Pakistan Abstract   PDF
Muhammad Nabeel Safdar, Tian Lin, Papel Tanchangya, Saba Amin
Vol 9, No 3 (2018) Ownership Structure and Efficiency of Banking Industry in China and Vietnam - A Political View Abstract   PDF
Manh-Trung Phung, Cheng-Ping Cheng, Chen-Yu Kao
Vol 11, No 2 (2020) Ownership Structure and Firm Performance Abstract   PDF
Gholamreza Zandi, Jaspal Singh, Shafi Mohamad, Syed Ehsanullah
Vol 5, No 2 (2014) Ownership Structure and Investor’s Sentiments for Dividends Abstract   PDF
Elisabete Duarte Neves
Vol 9, No 1 (2018) Perceived Benefits and Challeges of IFRS Adoption in Ghana: Views of Members of Institute of Chartered Accountants, Ghana (ICAG) Abstract   PDF
Joseph Mbawuni
Vol 9, No 1 (2018) Performance Evaluation and Determinant Factors of China’s Logistics Enterprises Based on Careersmart Balanced Score Card Abstract   PDF
Maoguo Wu, Chengzhe Bai
Vol 8, No 4 (2017) Performance Evaluation of Religious Funds Abstract   PDF
Praveen Das, S. P. Uma Rao, Denis Boudreaux
Vol 10, No 1 (2019) Perspectives From the Past for the Federal Reserve’s Monetary Policy and Communication Abstract   PDF
Arto Kovanen
Vol 4, No 1 (2013) Portfolio Risk and Dependence Modeling Abstract   PDF
Arsalan Azamighaimasi
Vol 7, No 2 (2016) Predicting Bankruptcy in Private Firms: Towards a Stepwise Regression Procedure Abstract   PDF
Jonathan Bauweraerts
Vol 11, No 1 (2020) Predicting Likelihood for Loan Default Among Bank Borrowers Abstract   PDF
Mohammad Aslam, Senthil Kumar, Shahryar Sorooshian
Vol 7, No 4 (2016) Predicting the Volatility of the Russell 3000 Stock Index Abstract   PDF
Bing Xiao
Vol 11, No 1 (2020) Predicting Time-Lag Stock Return Using Tactical Asset Allocation Trading Strategies Across Global Stock Indices Abstract   PDF
Fahim Afzal, Pan Haiying, Farman Afzal, Faisal Ghafoor Bhatti
Vol 6, No 4 (2015) Prediction of Financial Crisis with Artificial Neural Network: An Empirical Analysis on Turkey Abstract   PDF
Alev Dilek Aydin, Seyma Caliskan Cavdar
Vol 7, No 3 (2016) Predictors of Performance of the ERP Adpopters in the Companies of LILAMA Abstract   PDF
Khanh Viet Tran, Cuong Hung Pham, Long Pham
Vol 9, No 1 (2018) Preferential Trade Agreements under Declining American Hegemony Abstract   PDF
Kaoru Ishiguro
Vol 8, No 4 (2017) Presidential Election and Portfolio Selections in the Nigeria Stock Exchange Abstract   PDF
Ifuero Osad Osamwonyi, Osazee G. Omorokunwa
Vol 6, No 2 (2015) Price Dynamics and Market Volatility: Behavioral Heterogeneity under Switching Trading Strategies on Artificial Financial Market Abstract   PDF
Yosra Mefteh Rekik, Younes Boujelbene
Vol 6, No 1 (2015) Pricing Model for Financial Guaranty Products Using Actuarial Methodology and Most Prudent Principle Abstract   PDF
Jinyu Yang, Weiguo Zhang, Donglai Li
Vol 4, No 4 (2013) Pricing Onion Options: A Probabilistic Approach Abstract   PDF
Thorsten Upmann
Vol 9, No 2 (2018) Principal Components-based Investigative Study of Counter Measures to Financial Crimes Abstract   PDF
Gabriel Babatunde Iwasokun, Raphael Olufemi Akinyede, Oniyide Alabi Bello
Vol 5, No 1 (2014) Probability Analysis of Exchange Rate Target Zones Abstract   PDF
Huimin Zhao, Fuzhou Gong, Fangping Peng, Qin Liu
Vol 3, No 2 (2012) Problem of Financial Resource Mobilization for Local Development: The Case of Single Land Tax (CFU) in the Governorate of Conakry Guinea Abstract   PDF
Diallo Mamadou Saliou Kokouma, Huang Kai
Vol 3, No 3 (2012) Profitability and Consistency Analysis of Pharmacy Sector in India Abstract   PDF
K.S. Vataliya, Rajesh A. Jadav, Abhishek R. Belani
Vol 10, No 4 (2019) Prognostications With Applications to the British Pound Abstract   PDF
Augustine C. Arize, John Malindretos, Tao Guo, Demetri Tsanacas, Lawrence Verzani
Vol 10, No 5 (2019) Propagating Transparency and Accountability Through Integrated Reporting: An Empirical Insight From a Developing Country Abstract   PDF
Faizah Darus, Shafawati Farhana Mohd Safihie, Haslinda Yusoff
Vol 6, No 4 (2015) Prospect of Sukuk in the Fixed Income Market: A Case Study on Kuwait Financial Market Abstract   PDF
Saadi Al Trad, Rafiq Bhuyan
Vol 10, No 4 (2019) Prospects and Feasibility of Diaspora Bond: The Case of Ghana Abstract   PDF
Lord Mensah
Vol 7, No 5 (2016) R&D Investment and Market Reactions in Non-crisis and Crisis Periods: Evidence from Taiwan Abstract   PDF
Shu-Ching Chou, Thanh Long Phan
Vol 9, No 1 (2018) Raising Interest Rates: IOER vs. OMO: Interest on Excess Reserves vs Open Market Operations Abstract   PDF
William H. Carlson, Conway L. Lackman
Vol 10, No 4 (2019) Reasons Are Given for the Current Wildcat Strikes in Vietnam: The Blue-Collar Workers' Perspective Abstract   PDF
Hung Van Tran
Vol 5, No 4 (2014) Recent Experiences with Currency Substitution Abstract   PDF
Hisao Kumamoto
Vol 10, No 5 (2019) Regional Financial Model Mapping Independence to Fiscal in East Java Abstract   PDF
Syamsul Huda, Wiwin Priana, Zumrotul Fitriyah
Vol 7, No 2 (2016) Relationship between Bank Credit and Economic Growth: Evidence from Jordan Abstract   PDF
Izz Eddien N. Ananzeh
Vol 7, No 2 (2016) Relationship between Board Remuneration and Financial Performance in the Kenyan Financial Services Industry Abstract   PDF
Rita Ruparelia, Amos Njuguna
Vol 1, No 1 (2010) Relationship between External Debt Management Policies and Economic Growth in Nigeria (1970-2006) Abstract   PDF
Chris O. Udoka, Roland A. Anyingang
Vol 6, No 2 (2015) Relationship between Gender Diversity on Boards and Firm’s Performance - Case Study about ASEAN Banking Sector Abstract   PDF
Tran Thi Thanh Tu, Hoang Huu Loi, Tran Thi Hoang Yen
Vol 5, No 1 (2014) Relationship of Stock Price and Monetary Variables of Asian Small Open Emerging Economy: Evidence from Thailand Abstract   PDF
Nararuk Boonyanam
Vol 10, No 3 (2019) Relative Comprehensiveness of Performance Measurement System: Organisational Ownership Structure and Size Abstract   PDF
Zarinah Abdul Rasit, Che Ruhana Isa
Vol 10, No 5 (2019) Religious and Socioeconomic Implications of Islamic Insurance: A Review Abstract   PDF
Nursyuhadah Abdul Rahman, Zurul Aisya Osman, Nur Syairah Ani, Zulkarnian Ahmad
Vol 11, No 1 (2020) Remittances and Economic Growth Tie in Selected South Asian Countries: A Panel Data Analysis Abstract   PDF
Md. Nezum Uddin, Mohammed Jashim Uddin, Joynal Uddin, Monir Ahmmed
Vol 9, No 4 (2018) Reporting of Real Option Value Related to ESG: Including Complementary Systems for Disclosure Incentives Abstract   PDF
Nobuhito Ochi
Vol 3, No 1 (2012) Research on Risk Evaluation of SME Financing based on Grey Theory Abstract   PDF
Zhangliu Wang, Lan Wang, Kai Wang
Vol 4, No 2 (2013) Research on the Determinants of Foreign Direct Investment Inflows of Gansu Province China Abstract   PDF
Yuxia Hu
Vol 4, No 2 (2013) Research on the FDI Inflows in Western Region of China - Exemplified by Guangxi Zhuang Autonomous Region Abstract   PDF
Lina Lian
Vol 3, No 4 (2012) Research on the Problems and Countermeasures of China's Service Trade in the New Era Abstract   PDF
Zhijun Sheng, Kuo Wang
Vol 10, No 2 (2019) Risk Analysis of the Stock Price Index of Countries Participating in the “Belt and Road” Initiative - Based on GARCH-VaR Model Abstract   PDF
Maoguo Wu, Daimin Lu
Vol 9, No 2 (2018) Risk Analysis of World Major Stock Index Before and After the 2008 Financial Crisis – Based on GARCH-VaR Approach Abstract   PDF
Maoguo Wu, Yanyuan Wang
Vol 7, No 1 (2016) Risk Classification in Natural Catastrophe Insurance: The Case of Italy Abstract   PDF
Donatella Porrini
Vol 4, No 1 (2013) Risk Management Practices: A Survey of Micro-Insurance Service Providers in Kenya Abstract   PDF
Amos Gitau Njuguna, Abigael Arunga
Vol 10, No 2 (2019) Risks Faced by Islamic Banks: A Study on the Compliance Between Theory and Practice Abstract   PDF
Salma Rhanoui, Khalid Belkhoutout
Vol 10, No 6 (2019) Role of Advertising Expenditure as an Influential Non-traditional Regressor in Russia’s Money Demand Specification Abstract   PDF
Lee-Chea Hiew, Chin-Hong Puah, Mohammand Affendy Arip, Mei-Teing Chong
Vol 6, No 4 (2015) Role of Financial Banks in Promoting the Entrepreneurship: A Mixed Methodology Approach from Kingdom of Saudi Arabia Abstract   PDF
Abdullah Mohammed Aldakhil, Muhammad Moinuddin Qazi Abro, Muhammad Adnan Khurshid, Alamzeb Aamir
Vol 4, No 2 (2013) Role of Financial Development in Economic Growth: Evidence from Savings and Credits Cooperative Societies in Tanzania Abstract   PDF
Xuezhi Qin, Benson Otieno Ndiege
Vol 8, No 2 (2017) School Governance, Accountability and Performance Management Abstract   PDF
Daniela M. Salvioni, Raffaella Cassano
Vol 7, No 3 (2016) Seasonality Effect on the Vietnamese Stock Exchange Abstract   PDF
Chung Tien Luu, Cuong Hung Pham, Long Pham
Vol 5, No 1 (2014) Seasonality of Earnings Momentum in an Emerging Market: The Taiwan Experiences Abstract   PDF
Hsiao-Peng Fu
Vol 10, No 6 (2019) Secondary Equity Offer Announcements and Share Returns at Nairobi Securities Exchange, Kenya Abstract   PDF
Kenneth Marangu, Stephen Muathe, Lucy Mwangi
Vol 8, No 1 (2017) Selection of PPP Projects in China Based on Government Guarantees and Fiscal Risk Control Abstract   PDF
Yong Jiang
Vol 9, No 1 (2018) Semi-Strong Form of Efficiency of Nigerian Stock Market: An Empirical Test in the Context of Input and Output Index Abstract   PDF
Ajayi John Ayodele, Segun Anthony Oshadare, Olufunmilayo Adekemi Ajala
Vol 3, No 4 (2012) Sense and Sensitivity: An Input Space Odyssey for Asset-Backed Security Ratings Abstract   PDF
Francesca Di Girolamo, Henrik Jonsson, Francesca Campolongo, Wim Schoutens
Vol 7, No 3 (2016) Service Quality and Students Level of Satisfaction in Private Colleges in Vietnam Abstract   PDF
Hung Van Truong, Cuong Hung Pham, Nhan Hoang Vo
Vol 6, No 4 (2015) Several Econometric Tests of Exchange Rate Efficiency for a Few European Countries Abstract   PDF
Gilda M. Agacer, Augustine C. Arize, Ioannis N. Kallianiotis, Krishna M. Kasibhatla, John Malindretos
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