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Issue |
Title |
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Vol 5, No 4 (2014) |
A Barrier Option Utility Framework for Bank Interest Margin under Government Bailout |
Abstract
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Ku-Jun Lin, Rosemary Jou, Tzu-Hao Lin |
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Vol 10, No 5 (2019) |
A Case Study Analysis of Typhidot: An Example of Market-Oriented R&D Commercialization in Malaysia |
Abstract
PDF
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Baharudin Kadir, Mohd Farid Shamsudin |
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Vol 7, No 1 (2016) |
A Collective Consideration of the EU’s Capital Market Legislation |
Abstract
PDF
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John A. Consiglio |
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Vol 8, No 4 (2017) |
A Comparative Analysis of Four-Factor Model and Three-Factor Model in the Nigerian Stock Market |
Abstract
PDF
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Esther Ikavbo Evbayiro-Osagie, Ifuero Osad Osamwonyi |
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Vol 10, No 5 (2019) |
A Conceptual Paper on SERVQUAL-Framework for Assessing Quality of Internet of Things (IoT) Services |
Abstract
PDF
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Sheikh Muhammad Hizam, Waqas Ahmed |
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Vol 10, No 5 (2019) |
A Conceptual Study on Contingent Impact of External Integration on Innovation Sme Business Success Relationship |
Abstract
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Sheikh Muhamad Hizam Sheikh Khairuddin, Zuhaib Hassan Qureshi, Rosni Ab. Wahid, Shehnaz Tehseen, Zulfiqar Hussain Pathan, Mohammad Rafat Khan |
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Vol 10, No 5 (2019) |
A Conceptualization of the Effect of Organisational Justice on Turnover Intention: The Mediating Role of Organisational Citizenship Behaviour |
Abstract
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Oussama Saoula, Muhammad Fareed, Saiful Azizi Ismail, Nurul Sharniza Husin, Rawiyah Abd Hamid |
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Vol 7, No 3 (2016) |
A Critical Analysis of the Value Chain in the Rice Industry and Its Effects on the Export Rice Industry in Kien Giang Province, Vietnam |
Abstract
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Van Ngoc Bach, Cuong Hung Pham, Nhan Hoang Vo |
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Vol 11, No 2 (2020) |
A Decade After the Global Financial Crisis: Lessons and Policy for International Stability |
Abstract
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Anjali Karol |
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Vol 11, No 1 (2020) |
A Descriptive Analysis of IPOs Post Listing Liquidity in Malaysia |
Abstract
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Amal Mohammed Al-Masawa, Rasidah Mohd-Rashid, Hamdan Amer Al-Jaifi |
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Vol 3, No 2 (2012) |
A Dialectic Model of Development of Stakeholders’ Theory and Corporate Governance: from Hume Utilitarianism to Aristotelian Virtue Ethics |
Abstract
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S. Morteza Ghayour B., Meysam Doaei |
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Vol 11, No 5 (2020) |
A Formalized Assessment of the Scenario Development of the National Economy in the Context of the Penetration of Blockchain Technologies Into the Financial Sector of Transactions |
Abstract
PDF
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Marat Rashitovich Safiullin, Leonid Alekseevich Elshin, Alia Aidarovna Abdukaeva, Maxim Vladimirovich Savushkin |
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Vol 5, No 3 (2014) |
A Game Theoretic Model of Deposit Contracts between the Bank and the Depositor - Extend Study on the Economic Analysis of Bank Run |
Abstract
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Jue-Shyan Wang, Chiao-Hsin Lin |
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Vol 12, No 5 (2021) |
A General and Theoretical FX Model for the Multi-Currency Basket: Economic, Financial and Mathematical Approach |
Abstract
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Amine El Bied |
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Vol 4, No 4 (2013) |
A Generalized Autoregressive Conditional Heteroskedasticity Model of the Impact of Macroeconomic Factors on Stock Returns: Empirical Evidence from the Nigerian Stock Market |
Abstract
PDF
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Emeka Nkoro, Aham Kelvin Uko |
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Vol 12, No 5 (2021) |
A Hybrid Model to Alleviate Unemployment and Poverty in South Africa |
Abstract
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P. C. Enwereji, D. E. Uwizeyimana |
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Vol 14, No 1 (2023) |
A Longitudinal Study of Sales-Based Investment and Leverage Decisions |
Abstract
PDF
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Rihab Belguith, Fathi Abid |
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Vol 14, No 3 (2023) |
A Model of Uniformity in a Preference Function |
Abstract
PDF
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Partha Pratim Dube |
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Vol 5, No 3 (2014) |
A Note on a New Weighted Idiosyncratic Risk Measure |
Abstract
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Yin-Ching Jan |
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Vol 5, No 4 (2014) |
A Note on Bank Default Risk and Delivery Channel Strategy under Deposit Insurance Fund Protection |
Abstract
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Shi Chen, Chuen-Ping Chang, Kevin P. Keh |
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Vol 8, No 4 (2017) |
A Proposed Courses Structure for the Preparatory College Year |
Abstract
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Mohammed H. S. Al Ashry (Ashry) |
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Vol 8, No 4 (2017) |
A Proposed Investment on a University Campus |
Abstract
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Mohammed H. S. Al Ashry |
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Vol 8, No 4 (2017) |
A Psychometric Evaluation of Skill Clusters and Practices Used by Highly Effective Executive Presenters |
Abstract
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Augustine C. Arize, Scott Liu, Solomon Nyaanga, John Malindretos |
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Vol 8, No 3 (2017) |
A Robust Newcomb-Benford Account Screening Profiler: An Audit Decision Support System |
Abstract
PDF
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Frank Heilig, Edward J. Lusk |
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Vol 7, No 1 (2016) |
A Robust Set of Indicators for the Financial Stress and Financial Stability: Taiwan’s Case Studies |
Abstract
PDF
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Chau-Jung Kuo, Yu-Wei Li, Li-Hua Lai |
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Vol 11, No 3 (2020) |
A Social Entrepreneurship Case Study of the “Pertubuhan Kebajikan Anak Yatim Islam Segamat” Orphanage in Malaysia |
Abstract
PDF
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Saunah Zainon, Rina Fadhilah Ismail, Soo Kum Yoke, Haryati Ahmad, Nurulzulaiha Saudah Suhadak |
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Vol 10, No 5 (2019) |
A Study of Accounting Outsourcing Decision: The Case of Malaysian SMEs |
Abstract
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Gholamreza Zandi, Thee Kok Chuan, Shaheen Mansori |
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Vol 5, No 4 (2014) |
A Study of the Effect of Macroeconomic Variables on Stock Market: Saudi Perspective |
Abstract
PDF
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Durga Prasad Samontaray, Sultan Nugali, Bokkasam Sasidhar |
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Vol 10, No 2 (2019) |
A Study on How Development Finance Institutions Support SMEs: A Case Study of International Finance Corporation |
Abstract
PDF
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Adjei Gyamfi Gyimah, Annette Serwaa Agyeman |
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Vol 6, No 2 (2015) |
A Study on the Main Determination of Mortgage Risk: Evidence from Reverse Mortgage Markets |
Abstract
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Chien-Chiang Lee, Kuo-Shing Chen, David So-De Shyu |
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Vol 6, No 1 (2015) |
A Study to Check the Applicability of Fama and French, Three-Factor Model on KSE 100-Index from 2004-2014 |
Abstract
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Nahzat Abbas, Jahanzeb Khan, Rabia Aziz, Zain Sumrani |
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Vol 4, No 2 (2013) |
A Study to Examine Time-Varying Effectiveness of Stock Returns on Tehran Stock Exchange |
Abstract
PDF
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Rahele SiamiNamini, Fereydoun RahnamaRoudposhti, Mohammad.H Janani |
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Vol 12, No 4 (2021) |
A Systematic Literature Review on Critical Thinking in an Undergraduate Accounting Programme |
Abstract
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Lilian Ifunanya Nwosu, Hester Vorster |
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Vol 12, No 4 (2021) |
A Systematic Literature Review on Mergers and Acquisitions: A Bibliometric Analysis Approach |
Abstract
PDF
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Godswill Osagie Osuma, Ochei Ailemen Ikpefan, Olawale Yinusa Olonade, Abimbola Abosede Joshua |
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Vol 11, No 2 (2020) |
A Test of Return Predictability in the Vietnamese Stock Market |
Abstract
PDF
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Thanh Trung Le, Anh Tram Luong |
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Vol 8, No 4 (2017) |
A Time Series Analysis of Major Indexes Using GARCH Model with Regime Shifts |
Abstract
PDF
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S. Aun Hassan |
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Vol 14, No 2 (2023) |
Abnormal Returns From Hedging, Firm Size, and the Fama and French Multifactor Models |
Abstract
PDF
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James M. Nelson |
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Vol 11, No 1 (2020) |
Academic Cheating and Characteristics of Accounting Students |
Abstract
PDF
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Nur Sayidah, Sulis Janu Hartati, Muhajir Muhajir |
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Vol 10, No 4 (2019) |
Accountants’ Perception on the Factors Affecting the Adoption of International Financial Reporting Standards in Yemen |
Abstract
PDF
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Mujeeb Saif Mohsen Al-Absy, Ku Nor Izah Ku Ismail |
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Vol 10, No 1 (2019) |
Accounting Conservatism and Performance of Nigerian Consumer Goods Firms’: An Examination of the Role of Accruals |
Abstract
PDF
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David Okelue Ugwunta, Boniface Uche Ugwuanyi |
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Vol 7, No 4 (2016) |
Accounting Conservatism Trends and Financial Distress: Considering the Endogeneity of the C-Score |
Abstract
PDF
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Hui-Sung Kao, Pei-Jhen Sie |
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Vol 12, No 1 (2021) |
Accreditation of Tour Guides: The World Experience and the Implementation in Russian Hospitality Industry |
Abstract
PDF
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Oleg Aleksandrovich Bunakov, Liudmila Valerievna Semenova, Firuz Fakhritdinovich Zokhidov, Boris Mojshevich Eidelman |
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Vol 11, No 1 (2020) |
Advocacy of Competition in the Mechanism of State Regulation of the Economy |
Abstract
PDF
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Olga Bakalinska, Olena Belianevych, Olena Honcharenko |
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Vol 4, No 2 (2013) |
Allocation of Assets on the Ghana Stock Exchange (GSE) |
Abstract
PDF
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Lord Mensah, R. K. Avuglah, Vincent Dedu |
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Vol 10, No 6 (2019) |
An Agency Perspective on Firm Diversification, Efficiency and Performance: Evidence From Malaysia |
Abstract
PDF
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Sin-Huei Ng, Tze San Ong, Boon Heng Teh |
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Vol 10, No 4 (2019) |
An Analysis of Behavioral Biases in Investment Decision-Making |
Abstract
PDF
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Geetika Madaan, Sanjeet Singh |
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Vol 11, No 4 (2020) |
An Analysis of Mutual Fund Managers’ Timing Abilities - Evidence From Chinese Equity Funds |
Abstract
PDF
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Jun-Hao Li, Chun-Fan You |
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Vol 12, No 5 (2021) |
An Analysis of the Aspects Hampering Informal Sector Tax Administration: Case of the Zimbabwe Revenue Authority |
Abstract
PDF
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Adegbola Otekunrin, Kudzanai Matowanyika, Chena Tafadzwa |
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Vol 5, No 2 (2014) |
An Analysis of the Relationship between the Finance and the Economic Growth of Counties in China's Shandong Province |
Abstract
PDF
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Lei Zhang |
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Vol 7, No 1 (2016) |
An Analysis on the Behaviour of Corporate Social Responsibility towards Profitability of Islamic Banks: Asean and Europe |
Abstract
PDF
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Akhmad Affandi Mahfudz, Muhammad Safizal Abdullah, Arman Hadi Abdul Manaf, Abdullah Osman |
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Vol 7, No 1 (2016) |
An Assessment on Graham’s Approach for Stock Selection: The Case of Turkey |
Abstract
PDF
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Nuray Terzi |
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Vol 12, No 1 (2021) |
An Early Warning Signal (EWS) Model for Predicting Financial Crisis in Emerging African Economies |
Abstract
PDF
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Kehinde Damilola Ilesanmi, Devi Datt Tewari |
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Vol 12, No 2 (2021) |
An Empirical Analysis of Macroeconomic and Bank-Specific Factors Affecting Bank Deposits in Vietnam |
Abstract
PDF
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Vu Thi Phuong Thao, Le Trung Thanh |
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Vol 14, No 2 (2023) |
An Empirical Analysis of Private Equity, Listed Private Equity and Public Equity |
Abstract
PDF
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Ernst Fahling, Celina Funfgeld, Robert Kelm |
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Vol 9, No 2 (2018) |
An Empirical Analysis of the Impact of Fund Manager’s Personal Characteristics on Fund Performance in China’s Fund Market - Based on DEA Model and Threshold Panel Model |
Abstract
PDF
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Jialin Li, Siying Li |
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Vol 7, No 5 (2016) |
An Empirical Analysis of Volatility Characteristics of Inter-Bank Offered Rate of International Financial Centers |
Abstract
PDF
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Maoguo Wu, Xin Luo |
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Vol 7, No 1 (2016) |
An Empirical Investigation into the Applicability of Fama-French Three Factor Model in Explaining Portfolio Returns: Evidence from Non-Financial Firms on the Ghana Stock Exchange |
Abstract
PDF
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Prince Acheampong, Sydney Kwesi Swanzy |
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Vol 11, No 2 (2020) |
An Empirical Model of Indian Foreign Investment and Stock Market Volatility: Evidence From ARDL Bounds Testing Analysis |
Abstract
PDF
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Amar Singh, Arvind Mohan |
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Vol 7, No 2 (2016) |
An Empirical Research on Investor Biases in Financial Decision-Making, Financial Risk Tolerance and Financial Personality |
Abstract
PDF
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Bilgehan Kubilay, Ali Bayrakdaroglu |
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Vol 10, No 5 (2019) |
An Empirical Study in Human Resource Management to Optimize Malaysian School Counselling Department |
Abstract
PDF
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Gholamreza Zandi, Ananda Devan Sivalingam, Shaheen Mansori |
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Vol 4, No 3 (2013) |
An Empirical Study of Asymmetric Pricing in Retail Gasoline and Diesel Markets in Taiwan, Japan, South Korea, and Singapore |
Abstract
PDF
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Kuo-Wei Chou, Chin-Yuen Chang, Fei Hu |
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Vol 3, No 4 (2012) |
An Empirical Study on the Effects of Real Effective Exchange Rate on Algeria’s Trade Balance |
Abstract
PDF
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Yasmina Guechari |
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Vol 2, No 2 (2011) |
An Empirical Study on the Relationship between Foreign Investment and International Trade in Bangladesh |
Abstract
PDF
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Mohammad Zillur Rahman |
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Vol 6, No 2 (2015) |
An Evaluation of the Financial Performance of REITs in Borsa Istanbul: A Case Study Using the Entropy-Based TOPSIS Method |
Abstract
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Mehmet Islamoglu, Mehmet Apan, Ahmet Oztel |
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Vol 11, No 4 (2020) |
An Event Study Analysis of Thailand’s 2019 General Election: A Long Window of Multiple Sub-events |
Abstract
PDF
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Anya Khanthavit |
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Vol 12, No 2 (2021) |
An Examination Into the Causal Links Among Inward FDI Determinants: Empirical Evidence From Jordan |
Abstract
PDF
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Mohamed Ibrahim Mugableh |
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Vol 7, No 4 (2016) |
An Examination of the Relationship of Corporate Governance to Firm Performance: Empirical Evidence from Vietnamese Listed Companies |
Abstract
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Nguyen Ngoc Dieu Le, Nguyen Ngoc Dieu Thi |
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Vol 5, No 1 (2014) |
An Explanation for the Paradox Phenomenon in Taiwan’s Bank Performances |
Abstract
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Ming-Chung Chang |
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Vol 10, No 2 (2019) |
An Extended Stochastic Goal Mixed Integer Programming for Optimal Portfolio Selection in the Amman Stock Exchange |
Abstract
PDF
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Rula Hani Salman AlHalaseh, Aminul Islam, Rosni Bakar |
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Vol 10, No 4 (2019) |
An Introduction to Quantum Computers and Their Effect on Banking Institutions |
Abstract
PDF
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Tae L. Aderman |
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Vol 7, No 1 (2016) |
An Investigation of the Recent Linkages of Consumer Prices in Japan |
Abstract
PDF
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Chikashi Tsuji |
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Vol 9, No 3 (2018) |
Analysis Grid of Adjustment Strategies of Non-profit Organizations Benefiting From Microcredit to the Constraints of Microfinance Institutions: The Case of Burundi |
Abstract
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Marie-Goreth Nduwayo, Michel Sayumwe |
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Vol 10, No 3 (2019) |
Analysis of Abnormal Operating Performance Between Family Owned Firms and State Owned Firms in Indonesia and Malaysia |
Abstract
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Citra Sukmadilaga, Erlane K Ghani |
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Vol 11, No 5 (2020) |
Analysis of Audit Opinion of Financial Statements From State Institutions: Indonesia Empirical Study, Period 2012-2017 |
Abstract
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Fransisca Listyaningsih Utami, Yananto Mihadi Putra, Putri Renalita Sutra Tanjung, Lucky Nugroho |
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Vol 11, No 1 (2020) |
Analysis of Company Characteristics of Firm Values: Profitability as Intervening Variables |
Abstract
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M. Chabachib, Hersugondo Hersugondo, Erna Ardiana, Imang Dapit Pamungkas |
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Vol 10, No 5 (2019) |
Analysis of Distribution Information System of Rice Supply Chain Management at PT. Jatisari Sri Rejeki |
Abstract
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Parlindungan Harahap, R. A. E. Virgana, Wiwik Tri Hapsari, Tezza Adriansyah Anwar |
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Vol 10, No 2 (2019) |
Analysis of Factors Influencing Financial Performance of Savings and Credit Co-operative Societies in Lesotho: Evidence From Maseru District |
Abstract
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Goodluck A. Mmari, Lebitso C. Thinyane |
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Vol 11, No 5 (2020) |
Analysis of Fraudulent Financial Reporting With the Role of KAP Big Four as a Moderation Variable: Crowe's Fraud's Pentagon Theory |
Abstract
PDF
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Maylia Pramono Sari, Nindya Pramasheilla, Fachrurrozie -, Trisni Suryarini, Imang Dapit Pamungkas |
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Vol 11, No 5 (2020) |
Analysis of Impact of Non-financial Information Disclosure on Capitalization of Russian Oil and Gas Sector Companies |
Abstract
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Elena Vetoshkina, Anna Ivanovskaya, Elvira Kazykhanova, Natalia Semenikhina |
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Vol 12, No 2 (2021) |
Analysis of Macroeconomic Determinants of Peruvian Gold Export Value in the Period 2003-2019 |
Abstract
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Carlos Alberto Tovar Jaco, Madeleyne Karol Mucha Alhuay, Pedro Bernabe Venegas Rodriguez, Nivardo Alonzo Santillan Zapata, Jimmy Alberth Deza Quispe |
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Vol 7, No 1 (2016) |
Analysis of Regional Supporting Force for the Development of Industrial Area in Order to Improve Regional Income in East Java, Indonesia |
Abstract
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Sugeng Hadi Utomo |
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Vol 12, No 1 (2021) |
Analysis of Zakat Accounting and the Role of the Internal Control System based on Financial Accounting Standards Guidelines (PSAK 109) Zakat Agency in Indonesia |
Abstract
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Hari Setiyawati |
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Vol 12, No 3 (2021) |
Analyzing the Dynamics Between Macroeconomic Variables and the Stock Indexes of Emerging Markets, Using Non-linear Methods |
Abstract
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Huthaifa Alqaralleh, Ahmad Al-Majali, Abeer Alsarayrh |
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Vol 4, No 4 (2013) |
Announcement of Retraction |
Abstract
PDF
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Gina Perry |
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Vol 6, No 3 (2015) |
Announcement of Retraction |
Abstract
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Gina Perry |
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Vol 10, No 2 (2019) |
Announcement of Retraction |
Abstract
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Gina Perry |
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Vol 12, No 2 (2021) |
Announcement of Retraction |
Abstract
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Gina Perry |
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Vol 12, No 3 (2021) |
Announcement of Retraction |
Abstract
PDF
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Gina Perry |
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Vol 11, No 1 (2020) |
Antecedent Variables and Consequences of Religiosity on Fraud |
Abstract
PDF
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Muhamad Taqi, Sabaruddinsah ., Tubagus Ismail, Meutia . |
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Vol 11, No 2 (2020) |
Applicability of Forensic Accounting to Reduce Fraud and its Effects on Financial Statement of Jordanian Shareholding Companies From the Perspective of Judiciary and Certified Public Accountant |
Abstract
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Abdussalam Mahmoud Abu Tapanjeh, Ashwaq Rateb AlTarawneh |
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Vol 14, No 3 (2023) |
Application of Machine Learning With News Sentiment in Stock Trading Strategies |
Abstract
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Tse-Mao Lin, Jing-Long Yu, Jhih-Wei Chen, Chin-Sheng Huang |
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Vol 12, No 3 (2021) |
Applying the ARIMA Model to the Process of Forecasting GDP and CPI in the Jordanian Economy |
Abstract
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Abdullah Ghazo |
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Vol 11, No 5 (2020) |
Applying the Process Approach in the Financial Service |
Abstract
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K. I. Dairukina, O. V. Demyanova |
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Vol 9, No 2 (2018) |
Applying the Theory of Planned Behaviour (TPB) in Saving Behaviour of Pomak Households |
Abstract
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Nikolaos Satsios, Spyros Hadjidakis |
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Vol 8, No 4 (2017) |
Are Analysts Overoptimistic about the Prospects of Sin Firms? |
Abstract
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Jin Zhang, Haeyoung Shin |
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Vol 7, No 2 (2016) |
Are Institutional Investors Beneficial to Family Firm Performance? Evidence from the French Stock Exchange |
Abstract
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Olivier Colot, Jonathan Bauweraerts |
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Vol 11, No 6 (2020) |
Are Kuwaiti Stock Returns Affected by Fluctuations in Oil Prices? |
Abstract
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Salem Alshihab, Nayef AlShammari |
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Vol 10, No 5 (2019) |
Are SMEs Ready for Integrated Reporting? The Malaysian Experience of Accountability |
Abstract
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Mira Susanti Amirrudin, Mazni Abdullah, Nooraslinda Abdul Aris, Nor Farizal Mohammed |
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Vol 15, No 1 (2024) |
Are The Sudanese Banks Financially Sound? |
Abstract
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Nawal Hussein Abbas Elhussein, Ahmed Ali Eldawaha |
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Vol 12, No 5 (2021) |
Are There Gender Differences in Sustainable Entrepreneurship Indicators Amongst SMEs in South Africa? Application of MANOVA |
Abstract
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Ogujiuba Kanayo, Ebenezer Olamide, Isaac Agholor, Estelle Boshoff |
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Vol 5, No 4 (2014) |
Are There Non-linear Effects of Banking Relationships and Ownership Concentration on Operational Performance? Empirical Evidence from Portuguese SMEs Using Cross-section Analysis and Panel Data |
Abstract
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Antonio Pedro Soares Pinto, Mario Gomes Augusto |
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Vol 11, No 5 (2020) |
Are Trade Policies Performance Enhancing? The Special Case of the GCC Countries |
Abstract
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Turki Alshammari |
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Vol 11, No 5 (2020) |
Artificial Intelligence and Its Use in Financial Markets |
Abstract
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Lilia Mirgaziyanovna Yusupova, Irina Arkadevna Kodolova, Tatyana Viktorovna Nikonova, Madina Irekovna Agliullina, Zarina Irekovna Agliullina |
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Vol 4, No 3 (2013) |
Ascertaining the Financial Cost of Malaria and Mitigating against It Using Actuarial Models for Financial Cost |
Abstract
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I. K. Dontwi, V. K. Dedu, N. K. Aboagye |
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Vol 7, No 5 (2016) |
Assessing Performance of Liquidity Adjusted Value-at-Risk Models |
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Vandana Rao Daka, Sankarshan Basu |
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Vol 7, No 3 (2016) |
Assessing the Education and Training Strategy of Selected Colleges Responding to the Needs of Highly Qualified Professional |
Abstract
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Vu Quach, Nhan Hoang Vo, Cuong Hung Pham |
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Vol 6, No 2 (2015) |
Assessment of the Impact of Fiscal Policy Operations on Stock Price Performance: Empirical Evidence from Nigeria |
Abstract
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Onyemachi Maxwell Ogbulu, Lezaasi Lenee Torbira, Chizoba Lynda Umezinwa |
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Vol 11, No 2 (2020) |
Attainment Discrepancy Level, Firm Resources Slack, and Sticky Cost |
Abstract
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Riha Dedi Priantana, Abdul Rohman, Fuad . |
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Vol 4, No 4 (2013) |
Attracting Chinese Foreign Direct Investment (FDI) to Africa: Determinants and Policies - The Case of Guinea |
Abstract
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Diallo Mamadou Saliou Kokouma, Kaning Xu |
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Vol 3, No 4 (2012) |
Attracting Foreign Direct Investment in Developing Countries: Determinants and Policies-A Comparative Study between Mozambique and China |
Abstract
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Paulo Elicha Tembe, Kangning Xu |
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Vol 11, No 4 (2020) |
Audit Committee Chair Attributes and Audit Report Lag in an Emerging Market |
Abstract
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Ayad Ahmed Mohammed Al-Qublani, Hasnah Kamardin, Rohami Shafie |
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Vol 11, No 5 (2020) |
Audit Committee Features and CSR Disclosure: Additional Evidence From an Emerging Market |
Abstract
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Sumaia Ayesh Qaderi, Turki Raji Alhmoud, Belal Ali Abdulraheem Ghaleb |
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Vol 11, No 4 (2020) |
Audit Committee’s Role in Moderating the Effect of Financial Distress Towards Going Concern Audit Opinion |
Abstract
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Anna Kania Widiatami, Nanny Dewi Tanzil, Cahya Irawadi, Ahmad Nurkhin |
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Vol 6, No 3 (2015) |
Auditing Subsequent Events from the Perspective of Auditors: Study from Jordan |
Abstract
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Musa Abdel Latif Al Nawaiseh, Jamel Jaber |
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Vol 10, No 3 (2019) |
Auditor’s Ethical Judgments: The Influence of Moral Intensity, Ethical Orientation and Client Importance |
Abstract
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Razana Juhaida Johari, Zuraidah Mohd Sanusi, Arumega Zarefar |
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Vol 5, No 3 (2014) |
Bancassurance in Tunisia: What Are the Efficiency Gains? |
Abstract
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Ines Ayadi |
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Vol 12, No 5 (2021) |
Bank Credit Risk Rating Process: Is There a Change With the 2007-09 Crisis? |
Abstract
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Emna Damak |
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Vol 12, No 5 (2021) |
Bank Credit Risk Rating Process: Is There a Difference Between Agencies? |
Abstract
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Emna Damak |
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Vol 13, No 1 (2022) |
Bank Credit Risk Rating Process: Is There a Difference Between Developed and Developing Country Banks? |
Abstract
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Emna Damak |
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Vol 6, No 4 (2015) |
Bank Efficiency Analysis: Islamic Banks versus Conventional Banks in the Gulf Cooperation Council Countries 2006 - 2012 |
Abstract
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Bukhari M. S. Sillah, Nizar Harrathi |
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Vol 6, No 1 (2015) |
Bank Interest Margin and Default Risk under Basel III Capped Capital Adequacy Accord and Regulatory Deposit Insurance Fund Protection |
Abstract
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Chuen-Ping Chang, Shi Chen |
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Vol 8, No 4 (2017) |
Bank Lending and Interest- Rate Derivatives |
Abstract
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Fang Zhao, James Moser |
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Vol 8, No 1 (2017) |
Bank Regulation, Capital Ratio Behaviour and Risk Taking in a Simultanious Approach |
Abstract
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Hichem Maraghni |
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Vol 10, No 6 (2019) |
Bank Size and Financial Risk Exposure on Financial Performance of Commercial Banks in Kenya |
Abstract
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Konya M. Nelly, Jagongo Ambrose, Kosimbei George |
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Vol 2, No 1 (2011) |
Bank Size, Functional Distance and Loss Given Default Rate of Bank Loans |
Abstract
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Matteo Cotugno, Valeria Stefanelli |
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Vol 11, No 2 (2020) |
Banking Competition and Efficiency: The Case of Vietnamese Banking Industry |
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Long Hau Le, Truong An Duong, Tan Nghiem Le |
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Vol 6, No 1 (2015) |
Banking Relationships, Managerial Ownership and Operational Performance: A Simultaneous Equations Approach in the Context of SMEs |
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Mario Gomes Augusto, Antonio Pedro Soares Pinto |
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Vol 12, No 4 (2021) |
Banking Services Marketing via Social Media Platforms and Its Impact on Consumer Behavior During COVID-19 Pandemic in Jordanian Banks: Mediating Role of Innovation Marketing |
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Naseem Abu Roman |
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Vol 12, No 4 (2021) |
Bankruptcy Risk and Financial Performance of Companies Listed on the Stock Exchange of Thailand |
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Thitima Chaiyakul |
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Vol 15, No 4 (2024) |
BCT Crowdfunding: Is It the Bridge of Trust Required for Funding EU’s SMEs? |
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Ido Kallir, Daniel Levinson |
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Vol 11, No 6 (2020) |
Behavioral Bias in Individual Investment Decisions: Is It a Common Phenomenon in Stock Markets? |
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Nawal Hussein Abbas Elhussein, Jarel Nabi Ahmed Abdelgadir |
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Vol 11, No 6 (2020) |
Behavioural Determinants of Green Managerial Practices: A Study on Bangladeshi Bankers |
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Nafia Sultana, Azharul Islam, Mohammad Nakib |
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Vol 6, No 4 (2015) |
Benchmarking and Ranking of Quoted Manufacturing Companies in Nigeria: A Data Envelopment Analysis Approach |
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Ifuero Osad Osamwonyi, Kennedy Imafidon |
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Vol 7, No 5 (2016) |
Beta and Size Revisited: Evidence from the French Stock Market |
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Bing Xiao |
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Vol 8, No 4 (2017) |
Beyond Banks’ Capitalization: What Affects the Credit Lines? |
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Carmen Gallucci, Vincenzo Formisano, Michele Modina, Rosalia Santulli |
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Vol 10, No 3 (2019) |
Board Capabilities and the Mediating Roles of Absorptive Capacity on Environmental Social and Governance (ESG) Practices |
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Aida Maria Ismail, Zuria Hajar Mohd Adnan, Fadzlina Mohd Fahmi, Faizah Darus, Colin Clark |
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Vol 10, No 3 (2019) |
Board Characteristics and Foreign Direct Investment in Public Listed Property Companies: A Malaysian Evidence |
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Erlane K Ghani, Ham Xairyani Mohamed, Kamaruzzaman Muhammad |
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Vol 10, No 3 (2019) |
Board Diversity and Corporate Sustainability Practices: Evidence on Environmental, Social and Governance (ESG) Reporting |
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Aida Maria Ismail, Izrul Haida Mohd Latiff |
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Vol 11, No 4 (2020) |
Board of Directors and Financial Reporting Quality in Vietnam Listed Companies |
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Nguyen Thi Thanh Phuong, Dang Ngoc Hung |
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Vol 9, No 2 (2018) |
Board Rudiments and the Executive Attitude Towards Corporate Risk-Taking |
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Bello Lawal |
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Vol 12, No 1 (2021) |
Board Structure of Corporate Organizations and Earnings Management: Does Size and Independence of Corporate Boards Matter for Nigerian Firms? |
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Abel Oghenevwoke Ideh, Edirin Jeroh, Orits Frank Ebiaghan |
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Vol 8, No 4 (2017) |
Brexit’s Protectionist Policy and Implications for the British Pound |
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Lara Joy Dixon, Hoje Jo |
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Vol 11, No 6 (2020) |
Budget Education and Management as a Necessity for Well-Being and Financial Stability: Cluster & MDS Analysis |
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Enkeleda Lulaj |
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Vol 12, No 4 (2021) |
Budgetary Systems in Organisations: An Anatomy of Management Views, Employees’ Behaviour and Productivity Trend of 21st Century Firms in a Tropical Nation |
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Usen Paul Umo |
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Vol 11, No 4 (2020) |
Business Strategy and R&D Expenditures |
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Han Li |
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Vol 12, No 5 (2021) |
Can Multistep Nonparametric Regressions Beat Historical Average in Predicting Excess Stock Returns? |
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Najrin Khanom |
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Vol 10, No 4 (2019) |
Can Social Performance Improve Financial Performance and Increase Customers’ Trust? |
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Hasan Mukhibad, Indah Anisykurlillah, Ahmad Nurkhin, Prabowo Yudo Jayanto |
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Vol 11, No 1 (2020) |
Capital and Liquidity Risks and Financial Stability: Pre, During and Post Financial Crisis Between Islamic and Conventional Banks in GCC Countries, in the Light of Oil Prices Decline |
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Hamid Abdulkhaleq Hasan Al-Wesabi, Rosylin Mohd. Yusof |
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Vol 11, No 5 (2020) |
Capital Asset Pricing Model (CAPM) and the Douala Stock Exchange |
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Amenawo Ikpa Offiong, Hodo Bassey Riman, Helen Walter Mboto, Eyo Itam Eyo, Diana Gembom Punah |
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Vol 11, No 1 (2020) |
Capital Flight and Domestic Investment in Nigeria: Evidence From ARDL Methodology |
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Lionel Effiom, Alfa Charles Achu, Samuel Etim Edet |
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Vol 6, No 3 (2015) |
Capital Flight and Foreign Direct Investment |
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Yi-Hui Chiang, Thomas Lee |
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Vol 10, No 1 (2019) |
Capital Flow Reversals, Sudden Stops, and International Reserve Adequacy: Further Evidence From the Global Financial Crisis |
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Levan Efremidze, Ozan Sula, Thomas Willett |
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Vol 11, No 1 (2020) |
Capital Market Determinants and Market Capitalization in Nigeria |
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Cordelia Onyinyechi Omodero |
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Vol 8, No 2 (2017) |
Capital Structure Choice and Firm Value: New Empirical Evidence from Asymmetric Causality Test |
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Kartal Demirgunes |
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Vol 3, No 2 (2012) |
Capital Structure’s Dynamic Response to Exogenous Variables: A Case of Listed Manufacturing Firms in Indonesia |
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Siti Saadah, Ruslan Prijadi |
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Vol 3, No 2 (2012) |
Capitalized Human Resources Cost and Its Influence on Corporate Productivity: A Study of Selected Companies in Nigeria |
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Bassey Eyo Bassey, Arzizeh Tiesieh Tapang |
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Vol 12, No 2 (2021) |
Carbon Credit Risk Mitigation of Deforestation: A Study on the Performance of P2H Products and Services in Indonesia |
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Wiwik Utami, Lucky Nugroho, Kelum Jayasinghe |
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Vol 6, No 3 (2015) |
Causality between Capital Flow, Human Capital Development and Economic Growth: A Case of Nigeria |
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Anuli Regina Ogbuagu, Ebele Patricia Ifionu |
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Vol 12, No 1 (2021) |
Central Bank Communication and Policy Interest Rate |
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Haryo Kuncoro |
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Vol 11, No 4 (2020) |
CEO Characteristics and Real Earnings Management in Jordan |
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Mohammad Abedalrahman Alhmood, Hasnah Shaari, Redhwan Al-dhamari |
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Vol 6, No 4 (2015) |
CEO Constellation, Capital Structure, and Financial Performance |
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Hsien-Chang Kuo, Lie-Huey Wang |
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Vol 7, No 1 (2016) |
Changes in the Number of Varieties, Consumption Home Bias and Long-Run Macroeconomic Fluctuations |
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Chung-Fu Lai |
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Vol 10, No 1 (2019) |
Chaotic Behavior in Exchange Rate |
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Melike E. Bildirici, Bahri Sonustun |
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Vol 14, No 4 (2023) |
Characteristics and Implications of the Current International Situation |
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Lixing Zou, Xinyue Zou |
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Vol 11, No 2 (2020) |
Chief Executive Officer Characteristics and Financial Restatements in Malaysia |
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Marwan Altarawneh, Rohami Shafie, Rokiah Ishak |
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Vol 8, No 3 (2017) |
Classification Shifting in the Income-Decreasing Discretionary Accrual Firms |
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Humeyra Adiguzel |
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Vol 10, No 6 (2019) |
Cognitive Modeling of Sustainability of the Russian Financial Market |
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Nemer Badwan, Elena Panfilova |
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Vol 11, No 5 (2020) |
Cognitive Moral Development, Organizational Situation and Ethical Decision Making in Business and Accounting |
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Abdul Hamid Habbe, Andi Kusumawati, Alimuddin -, Yohanis Rura, Iskandar Muda |
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Vol 11, No 6 (2020) |
Co-integration and Causal Relationships: The Case of the Jordanian and Developed Stock Markets |
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Mohamed Ibrahim Mugableh |
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Vol 5, No 4 (2014) |
Cointegration with Regime Shift between Gold and Financial Variables |
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Takashi Miyazaki, Shigeyuki Hamori |
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Vol 12, No 5 (2021) |
Combining Financial Information and Corporate Social Responsibility Related Information for Characterizing Corporate Disclosure: Some Insights From Moroccan Context |
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Youssef Saida |
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Vol 12, No 1 (2021) |
Company Dividend Policy Modeling: Neutral Approach |
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Sergey Krylov |
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Vol 8, No 3 (2017) |
Company Size Effect in the Stock Market of Thailand |
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Gerardo “Gerry” Alfonso Perez |
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Vol 15, No 3 (2024) |
Comparative Analysis of Risks and Their Impacts on the Banking Stability of Islamic and Conventional Banks in the MENA Region |
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Ines Hedhili, Adnene Ajimi |
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Vol 11, No 1 (2020) |
Comparative and Demonstrative Study Between the Liquidity of Islamic and Conventional Banks in a Financial Stability Period: Which Type of Banks Is the Most Liquid? |
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Achraf Haddad, Anis El Ammari, Abdelfettah Bouri |
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Vol 4, No 2 (2013) |
Comparison and Enlightenment of USA and Japan’s Emergency Management Mechanism |
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Yan Liu, Mai Sun, Ting Xu |
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Vol 7, No 2 (2016) |
Comparison of the Effectiveness of Audit Committees in the UK and Turkish Banks |
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Nizamulmulk Gunes, M. Serkan Atilgan |
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Vol 8, No 2 (2017) |
Compensating Wage Differentials and Wage Discrimination in Major League Baseball |
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Wen-Jhan Jane, Yu-Shan Kuo, Jye-Shyan Wang, Pei-Hsin Fang |
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Vol 10, No 4 (2019) |
Competing With Bitcoin - Some Policy Considerations for Issuing Digitalized Legal Tenders |
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Arto Kovanen |
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Vol 9, No 3 (2018) |
Competition Between Volatility and Overall Market Gain and the Performance of Leveraged Index Funds |
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Rainer Schad |
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Vol 12, No 3 (2021) |
Compliance Factors of Malaysian Private Entity Reporting Standard (MPERS) by Small Medium Enterprises (SMEs) |
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Nurul Nazlia Jamil, Nathasa Mazna Ramli, Ainulashikin Marzuki, Nurul Nadiah Ahmad |
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Vol 12, No 4 (2021) |
Compliance With International Financial Reporting Standards and Value Relevance of Accounting Information in South Africa |
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Unity Maqeda Putsai, Msizi Mkhize |
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Vol 12, No 2 (2021) |
Concealing Financial Distress With Earnings Management: A Perspective on Malaysian Public Listed Companies |
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Mohamad Ezrien Bin Mohamad Kamal, Siti Sarah Binti Khazalle |
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Vol 10, No 2 (2019) |
Conservatism, Earnings Management and R&D Capitalization |
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Han Li |
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Vol 3, No 2 (2012) |
Constrained Momentum Investment |
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Marcus Davidsson |
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Vol 11, No 1 (2020) |
Construction of Competitive Advantage Instrument in Jordanian SME Context Using Structural Equation Modelling |
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Khaled Alzeaideen |
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Vol 12, No 2 (2021) |
Consumer Behavior in the Information Economy: Generation Z |
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Ekaterina Anatolevna Grigoreva, Liliya Fuatovna Garifova, Elvira Anasovna Polovkina |
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Vol 11, No 2 (2020) |
Consumers’ Purchase Intention Toward Ergonomic Footwear in Malaysia |
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Shyue Chuan Chong, Foong Yee Tan, Pei Yew Mah, Choon Wei Low |
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Vol 6, No 3 (2015) |
Contribution of Islamic Banks in Financing Small and Medium Enterprises in the Kingdom of Bahrain |
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Bashar Matarneh, Mousa Almanaseer |
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Vol 4, No 1 (2013) |
Core Competences and Optimising Bank Capital Management in Nigeria |
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Andrew O Agbada, Deborah O Odejimi |
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Vol 11, No 5 (2020) |
Coronavirus Effects on the Economy of Jordan |
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Khaled Abdalla Moh'd AL-Tamimi |
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Vol 11, No 5 (2020) |
Coronavirus Pandemic Impact on the Nexus Between Gold and Bitcoin Prices |
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Khaled L. AL-Naif |
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Vol 11, No 6 (2020) |
Corporate Board and Firm Risk: An Emerging Market Perspective |
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M. Farwis, M. C. A. Nazar, A. A. Azeez |
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Vol 10, No 5 (2019) |
Corporate Governance and Risk Disclosures: A Comparative Analysis Between Bangladeshi and Malaysian Islamic Banks |
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Mohammad Rokibul Kabir, Farid A. Sobhani, Normah Omar, Norazida Mohamad |
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Vol 11, No 5 (2020) |
Corporate Governance and the Earnings Quality of Nigerian Firms |
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Festus Oladipupo Olaoye, Ademola Adeniran Adewumi |
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Vol 10, No 4 (2019) |
Corporate Governance Application, Audit Quality and Audit Report Lag: The Moderating Role of Law Compliance |
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Yenny Dwi Handayani, Ewing Yuvisa Ibrani |
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Vol 10, No 3 (2019) |
Corporate Governance Attributes in Fraud Detterence |
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Raziah Bi Mohamed Sadique, Aida Maria Ismail, Jamal Roudaki, Norhayati Alias, Murray B. Clark |
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Vol 11, No 5 (2020) |
Corporate Governance, Managerial Diversion, and Indonesian State-Owned Enterprises: A Literature Review |
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Junino Jahja, Nor Farizal Mohammed, Norziana Lokman, Norazida Mohamed |
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Vol 12, No 3 (2021) |
Corporate Governance Mechanisms and Firm Performance in Saudi Arabia |
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Helmi A. Boshnak |
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Vol 14, No 3 (2023) |
Corporate Governance Mechanisms and Stock Price Volatility: The Mediating Role of Dividend Policy: Evidence From Emerging Markets |
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Hassan M. Hafez |
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Vol 10, No 6 (2019) |
Corporate Governance Mechanisms, Whistle-Blowing Policy and Real Earnings Management |
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Mujeeb Saif Mohsen Al-Absy, Ku Nor Izah Ku Ismail, Sitraselvi Chandren |
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Vol 7, No 4 (2016) |
Corporate Governance, Political Involvement, and Internationalization: An Empirical Investigation in Japan and Taiwan |
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Li-Wen Chen, Hsin-Yi Yu |
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Vol 10, No 5 (2019) |
Corporate Governance, Risk Management and Ethical Investment: Evidence From Banking Industries |
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Amzad Hossain, Farid A. Sobhani, Normah Omar, Norazida Mohamad, Jamaliah Said |
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Vol 12, No 1 (2021) |
Corporate Governance Structures and Probability of Financial Distress: Evidence From Indonesia Manufacturing Companies |
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Maria Goreti Kentris Indarti, Jacobus Widiatmoko, Imang Dapit Pamungkas |
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Vol 6, No 3 (2015) |
Corporate Ratings and a Model Proposition for the Manufacturing Industry at Borsa Istanbul |
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Nurcan Ocal, Metin Kamil Ercan, Eyup Kadioglu |
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Vol 10, No 5 (2019) |
Corporate Social Responsibility in Malaysia |
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Sheikh Muhamad Hizam, Zulkarnian Iylia Syazana binti Othman, Mohammad Mohammad Amin, Zalina Zainudin, Mohd Faiq Abdul Fattah |
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Vol 12, No 1 (2021) |
Corporate Social Responsibility Management |
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Gulnara Raisovna Chumarina, Guzel Azatovna Abulkhanova |
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Vol 2, No 1 (2011) |
Correlational and Differential Influence of Historical Cost and Current Cost Profits on the Operating Capabilities of the Firm |
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S. A. Effiong, J. O. Udoayang, A. I. Asuquo |
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Vol 3, No 3 (2012) |
Correlations between Executive Pay, Equity Incentive and Corporate Performance: Empirical Analysis Based on Panel Data of China’s Listed Companies |
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Huiguan Ding, Jiansheng Cai, Yanxia Niu |
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Vol 11, No 4 (2020) |
Corruption and Tax Noncompliance Variables: An Empirical Investigation From Yemen |
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Mohammed Mahdi Obaid, Noraza Mat Udin |
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Vol 2, No 2 (2011) |
Counterparty Credit Risk on a Standard Swap in “Risky Closeout” |
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Wei Wei |
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Vol 11, No 1 (2020) |
Countertrade Mechanism of Global Arms Trade: Case Study of Indonesia |
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Zainal Arifin, Agus Suman, Moh. Khusaini |
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Vol 13, No 1 (2022) |
Create a New Method of Santander Bank Branches |
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Ahmad Alqadi |
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Vol 11, No 3 (2020) |
Credit Management in Full-Fledged Islamic Bank and Islamic Banking Window: Towards Achieving Maqasid Al-Shariah |
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Najihah Muhammad, Sharifah Faigah Syed Alwi, Nabihah Muhammad |
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Vol 11, No 3 (2020) |
Credit Risk Assessment Models of Retail Microfinancing: The Case of a Malaysian National Savings Bank’s Branch |
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Mazni Asrida Abdullah, Azlina Ahmad, Nor Azam Mat Nayan, Zubir Azhar, Abd-Razak Ahmad |
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Vol 11, No 3 (2020) |
Credit Risk, Islamic Contracts and Ownership Status: Evidence From Malaysian Islamic Banks |
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Faridah Najuna Misman, Wahida Ahmad, Noor Sufiawati Khairani, Nur Hazimah Amran |
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Vol 3, No 4 (2012) |
Critical Success Factors for a Micro-Pension Plan: An Exploratory Study |
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Amos Gitau Njuguna |
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Vol 11, No 5 (2020) |
Cross Section Analysis of the KBW Nasdaq Financial Technology Index |
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Suresh Kadam, Madhvi Sethi |
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Vol 7, No 1 (2016) |
Cross-cultural Differences in Interpreting IAS 37 Probability Phrases |
Abstract
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Ning Du, Kevin Stevens, John Ahern, Anton Shigaev |
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Vol 12, No 4 (2021) |
Crowdfunding: New Financing Tool for Social and Solidarity Economy in Morocco |
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Reda Sahmi, Mostafa El Hachloufi, Meriem Aboulethar |
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Vol 10, No 5 (2019) |
Crude Oil Price and Exchange Rates - The Case of Malaysia and Brunei |
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Abdul Razak Abdul Hadi, Hafezali Iqbal Hussain, Zalina Zainudin, Raja Rehan |
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Vol 12, No 2 (2021) |
Curbing Unemployment Through Job Creation as Panacea to Inclusive Growth in Nigeria |
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Felicia C. Abada, Benedict I. Uzoechina, Charles O. Manasseh, Ifeoma C. Nwakoby, Paul C. Obidike, Adedoyin I. Lawal, Bukola B. Lawal-Adedoyin, Felix C. Alio |
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Vol 12, No 3 (2021) |
Current Assets Management, Remuneration, and Operating Cash Flow of UAE Construction Companies |
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Haitham Nobanee, Mohammed Haitham A. Salman, Jaya Anitha Abraham |
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Vol 10, No 6 (2019) |
Customer Satisfaction as Intervening Between Use Automatic Teller Machine (ATM), Internet Banking and Quality of Loyalty (Case in Indonesia) |
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Indrayani -, Chablullah Wibisono, Sanni Aritra, Iskandar Muda |
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Vol 6, No 2 (2015) |
CVaR in Portfolio Optimization: An Essay on the French Market |
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Houda Hafsa |
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Vol 11, No 4 (2020) |
Debt Covenants and Accounting Conservatism |
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Adamu Pantamee Abdurrahman, Shafi Mohamad, Ooi Chee Keong, Syed Ehsanullah |
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Vol 11, No 6 (2020) |
Deposit Insurance Scheme Activities on Deposit Mobilization of International Association of Deposit Insurer Member Countries: Post Coreprinciple Effect |
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Amenawo Ikpa Offiong, Peter Kekung Bessong, Arikpo Oka Felix, Godwin Bassey James, Anthony Ogar |
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Vol 9, No 2 (2018) |
Derivation Funds Management and Economic Development of Nigeria: Evidence From Niger Delta States of Nigeria |
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Cordelia Onyinyechi Omodero, Michael Chidiebere Ekwe, John Uzoma Ihendinihu |
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Vol 6, No 2 (2015) |
Determinant of Access to Rural Credit and Its Effect on Living Standard: Case Study about Poor Households in Northwest, Vietnam |
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Tran Thi Thanh Tu, Nguyen Quoc Viet, Hoang Huu Loi |
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Vol 4, No 1 (2013) |
Determinants and Impacts of Internal Credit Rating |
Abstract
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Abdullah Ash-shu’ayree Al-khawaldeh |
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Vol 6, No 3 (2015) |
Determinants Bank Profitability: Empirical Evidence from Bangladesh Commercial Banks |
Abstract
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Abdus Samad |
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Vol 11, No 4 (2020) |
Determinants of Arrears in the Municipal Savings Banks, Rural Savings Banks and EDPYMES of Peru |
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Margarita Elluz Calle Arancibia, Wagner Enoc Vicente Ramos, Gustavo Ilich Loayza Acosta |
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Vol 10, No 3 (2019) |
Determinants of Auditors’ Work Performance |
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Siti Rodziah Ahmad, Hilwani Hariri, Siti Noor Hayati Mohamed Zawawi, Razinah Hassan |
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Vol 11, No 4 (2020) |
Determinants of Capital Adequacy Ratio for Pension Funds: A Case Study in Indonesia |
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Sunaryo Sunaryo, Alvia Santoni, Endri Endri, Muhammad Nusjirwan Harahap |
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Vol 2, No 2 (2011) |
Determinants of Commercial Banks’ Lending Behavior in Nigeria |
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Felicia Omowunmi Olokoyo |
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Vol 11, No 2 (2020) |
Determinants of Dividend Pay-Out Policy of Listed Non-financial Firms in Malaysia |
Abstract
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Hussain Tahir, Ridzuan Masri, Mahfuzur Rahman |
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Vol 4, No 2 (2013) |
Determinants of Enrolment in Voluntary Health Insurance: Evidences from a Mixed Method Study, Kerala, India |
Abstract
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Sukumar Vellakkal |
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Vol 12, No 1 (2021) |
Determinants of Equity Share Price Movement: Evidence From the Nigerian Banking Industry (2000 – 2014) |
Abstract
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Akan David Chucks, Ighosewe Enaibre Felix, Sunny Oteteya Temile |
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Vol 5, No 2 (2014) |
Determinants of Factors Influencing Capacity of Small and Medium Enterprises (SMEs) in Employment Creation in Lagos State, Nigeria |
Abstract
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Kayode E. Bowale, Afred O. Ilesanmi |
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Vol 11, No 4 (2020) |
Determinants of Firm Capital Structure: Empirical Evidence From Vietnam |
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Hieu Thanh Nguyen, Anh Huu Nguyen |
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Vol 11, No 5 (2020) |
Determinants of ICO Investment Decision: An Exploratory Factor Analysis |
Abstract
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Nurettin Ayarci, Ayse Ozden Birkan |
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Vol 6, No 4 (2015) |
Determinants of Investments in the Nigerian Economy: An Empirical Approach (1990 – 2013) |
Abstract
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Duruechi Anthony H., Ojiegbe Joe N. |
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Vol 10, No 6 (2019) |
Determinants of the Solvency of Insurance Companies in Palestine |
Abstract
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Yousef Abdel Latif Abdel Jawad, Issam Ayyash |
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Vol 4, No 4 (2013) |
Determinants of Tunisian Bank Efficiency: A DEA Analysis |
Abstract
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Ines Ayadi |
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Vol 6, No 3 (2015) |
Determining Business Interruption Losses for Small Business |
Abstract
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Denis O. Boudreaux, Praveen K. Das, S. P. Uma Rao, Nancy Rumore |
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Vol 5, No 2 (2014) |
Developing Corporate Governance Index for Vietnamese Banking System |
Abstract
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Tran Thi Thanh Tu, Pham Bao Khanh, Phung Duc Quyen |
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Vol 11, No 6 (2020) |
Development of a Model for Assessing the Potential Impact of Blockchain Technologies on Economic Growth Dynamics in Financial Markets |
Abstract
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Marat Rashitovich Safiullin, Rafis Timerkhanovich Burganov, Alia Aidarovna Abdukaeva |
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Vol 1, No 1 (2010) |
Development of Actively Managed Exchange Traded Funds and the Revelation to Chinese Financial Market |
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Haiyong Ma, Weiwei Zhang |
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Vol 10, No 5 (2019) |
Did Conventional Interest Rate Influence Islamic Total Deposits? Evidence From January 2007 Till January 2019 |
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Abdul Razak Abdul Hadi, Hafezali Iqbal Hussain, Zalina Zainudin |
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Vol 10, No 6 (2019) |
Did Inter-Regional Trade Agreements Bring Mutual Benefits? An Empirical Scheme of Indonesian Commodity Exports in Asean-China Free Trade Area |
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Andini Nurwulandari, I Made Adnyana, Hasanudin Hasanudin |
|
Vol 8, No 3 (2017) |
Did the Introduction of Securities Margin Trading Decrease China’s A-Share Market Volatility? |
Abstract
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Maoguo Wu, Hanyang Zhang, Kwok-Leung Tam |
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Vol 11, No 2 (2020) |
Direct Versus Indirect Taxes: Impact on Economic Growth and Total Tax Revenue |
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Taufik Abd Hakim |
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Vol 10, No 6 (2019) |
Discourses of Sustainable Finance Implementation in Islamic Bank (Cases Studies in Bank Mandiri Syariah 2018) |
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Lucky Nugroho, Ahmad Badawi, Nurul Hidayah |
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Vol 4, No 3 (2013) |
Distress Resolution in Nigerian Banking Sector: The Role of Assets and Liabilities Management |
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Folajimi Festus Adegbie, T. O. Asaolu, E. P. Enyi |
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Vol 5, No 4 (2014) |
Dividend Policy Behavior in Emerging Stock Markets: Evidence from Vietnamese Stock Market |
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Quoc Trung Tran, Thi Thu Ha Nguyen |
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Vol 12, No 4 (2021) |
Do Board Characteristics Affect Financial Reporting Timeliness? An Empirical Analysis |
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O. Asiriuwa, S. B. Adeyemi, O. R. Uwuigbe, U. Uwuigbe, E. Ozordi, O. Erin, O. Omoike |
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Vol 10, No 6 (2019) |
Do Enforcement, Religiosity and Peer Influence Zakah Compliance Behavior? |
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Saeed Awadh Bin-Nashwan, Hijattulah Abdul-Jabbar, Saliza Abdul Aziz |
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Vol 4, No 3 (2013) |
Do Financial Sector Reforms Improve Competition of Banks? An Application of Panzar and Rosse Model: The Case of Ghanaian Banks |
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George Owusu-Antwi, James Antwi |
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Vol 5, No 2 (2014) |
Do Investors Make Abnormal Returns Consistently? An Econometric Investigation in the Nigerian Capital Market |
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Ayakeme Ebiwarefa Whisky, Chinedu B. Ezirim |
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Vol 11, No 2 (2020) |
Do Investors’ Exhibit Cognitive Biases: Evidence From Indian Equity Market |
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Manika Sharma, Mohammad Firoz |
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Vol 6, No 2 (2015) |
Do Labor Unions Affect Stock Price Crash Risk? |
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Hamdi Ben-Nasr, Abdullah Al-Dahmash, Hatem Ghouma |
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Vol 11, No 5 (2020) |
Do Mutual Fund Managers Time Market Sentiment? |
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Jun-Hao Li, Chun-Fan You, Chin-Sheng Huang |
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Vol 10, No 3 (2019) |
Do Perceived Pressure and Perceived Opportunity Influence Employees’ Intention to Commit Fraud? |
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Tuan Zainun Tuan Mat, Danny Shahmizi Teh Ismawi, Erlane K Ghani |
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Vol 8, No 4 (2017) |
Do Small Indonesian Companies Have a Better Performance in the Stock Market than Larger Ones? |
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Gerardo “Gerry” Alfonso Perez |
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Vol 5, No 2 (2014) |
Do Workers’ Remittances Promote Financial Development in Sub-Sahara Africa Countries? |
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Taiwo V. Ojapinwa, Oladipo T. Bashorun |
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Vol 10, No 3 (2019) |
Does Audit Quality Matters in Malaysian Public Sector Auditing? |
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Aida Hazlin Ismail, Natasha binti Muhammad Merejok, Muhamad Ridhuan Mat Dangi, Shukriah Saad |
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Vol 11, No 2 (2020) |
Does Auditing Committee Characteristics Enhance Corporate Value? Evidence From Jordan |
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Ashraf Bataineh, Mustafa M Soumadi |
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Vol 10, No 4 (2019) |
Does Availability Bias Have Influence on FMCG Investors? An Empirical Study on Cognitive Dissonance, Rational Behaviour and Mental Accounting Bias |
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Shantha Gowri B, Vedantam Seetha Ram |
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Vol 4, No 4 (2013) |
Does Delaware Incorporation Encourage Effective Monitoring? An Examination on Director Compensation |
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Qian Xie |
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Vol 12, No 3 (2021) |
Does Demand Uncertainty Moderate the Relationship of Risk Attitude and Sticky Cost? Evidence From Egypt |
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Ahmed M. Abdelhamid |
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Vol 7, No 5 (2016) |
Does Dividend Policy Affect Firm Earnings? Empirical Evidence from Nigeria |
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Ifuero Osad Osamwonyi, Iyobosa Lola-Ebueku |
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Vol 8, No 2 (2017) |
Does Exports Promote the Economic Growth of China? A Long-Run View Point |
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Qiang Jiang |
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Vol 12, No 3 (2021) |
Does Financial Inclusion Important in MSMEs Financing in Indonesia? Analysis Using Dimension Bank as Mediation |
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Karisa Zeisha Sahela, Osama Isaac, Askardiya Radmoyo Adjie, Riana Susanti |
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Vol 11, No 1 (2020) |
Does Financial Instability of Conventional Banks Affect Financial Stability of Islamic Banks in GCC Countries? |
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Hamid Abdulkhaleq Hasan Al-Wesabi, Rosylin Mohd. Yusof |
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Vol 11, No 4 (2020) |
Does Financial Performance Matter? Evidence on the Impact of Liquidity and Firm Size on Stock Return in Indonesia |
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Mochammad Chabachib, Ike Setyaningrum, Hersugondo Hersugondo, Intan Shaferi, Imang Dapit Pamungkas |
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Vol 4, No 4 (2013) |
Does FX Volatility Affect the Distributions of Commodity Futures Returns? |
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Terrance Grieb |
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Vol 11, No 2 (2020) |
Does Information Overload of Annual Reports Matter? |
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Tze San Ong, Boon Heng Teh, Kai Cing Seng, Sin Huei Ng |
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Vol 9, No 3 (2018) |
Does Lead Time in CEO Succession Matter? Evidence From Planned Versus Unexpected CEO Departures |
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Mia L. Rivolta |
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Vol 9, No 2 (2018) |
Does Liquidity Influence Profitability in Islamic Banks of Bahrain: An Empirical Study? |
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Hussein Khasharmeh |
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Vol 10, No 5 (2019) |
Does Marketing Success Factors Influence Private College Admission? Evidence From Malaysia |
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Zalina Zainudin, Mohd Faiq Bin Abdul Fattah, Sheikh Muhamad Hizam Sheikh Khairudin |
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Vol 6, No 4 (2015) |
Does SEC Rating Agency Certification Matter? The Case of A.M. Best |
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Lisa Fairchild, Yoon Shin, Yuxing Yan |
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Vol 7, No 2 (2016) |
Does Size Favor Dividends or Retained Earnings? |
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Bashar K Abu khalaf |
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Vol 3, No 4 (2012) |
Does Supplementing Outcome Feedback with Performance Feedback Improve Probability Judgments? |
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Ning Du, Sandra Shelton, Ray Whittington |
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Vol 12, No 3 (2021) |
Does the Environmental Internal Audit Impact the Achieving of Sustainable Development in Industrial Companies Listed on the Amman Stock Exchange? |
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Eman Ahmad Al Hanini |
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Vol 9, No 1 (2018) |
Does the January Effect Still Exists? |
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Gerardo “Gerry” Alfonso Perez |
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Vol 14, No 3 (2023) |
Does Working Capital Management Impact How Well a Company Performs? Panel Data Analysis on the Textile Industries of Bangladesh |
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Manjurul Alam Mazumder |
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Vol 4, No 4 (2013) |
Does Working Capital Management Matter in Dividend Policy Decision? Empirical Evidence from Nigeria |
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Adesina Olugoke Oladipupo, Peter Okoeguale Ibadin |
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Vol 11, No 2 (2020) |
Doing Better by Doing Good: Discussing the Value Potential of Selected “Just Companies” |
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Hafiz Imtiaz Ahmad |
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Vol 7, No 4 (2016) |
Don’t Put All of Your Alums in One Basket: College Admissions Decisions as a Portfolio Choice Problem |
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Logan Dahl, Daniel K.N. Johnson |
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Vol 12, No 1 (2021) |
Dynamic Analysis for Measuring the Impact of Remittance Inflows on Inflation: Evidence From Georgia |
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Azer Dilanchiev, Aligul Aghayev, Md. Hasanur Rahman, Jannatul Ferdaus, Araz Baghirli |
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Vol 6, No 2 (2015) |
Dynamic Spillovers between Oil and Stock Markets: New Approaches at Spillover Index |
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Yen-Hsien Lee, Ting-Huei Liao, Ya-Ling Huang, Tzu-Ling Huang |
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Vol 12, No 4 (2021) |
Early Adopters to Early Majority - What's Driving the Artificial Intelligence and Machine Learning Powered Transformation in Financial Services? |
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Srikrishna Chintalapati |
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Vol 12, No 3 (2021) |
Early Results on Depth of the Nascent Kenyan Derivative Market |
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Faith Mwende Christopher, Amos Njuguna, Peter Kiriri |
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Vol 4, No 3 (2013) |
Earnings Management Prior to Initial Public Offerings and Its Effect on Firm Performance: International Evidence |
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Arjan Premti |
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Vol 6, No 2 (2015) |
Earnings Response Coefficients and Default Risk: Case of Korean Firms |
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Yohan An |
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Vol 11, No 4 (2020) |
Earnings Surprises and Stock Price Reactions of Quoted Companies in Nigeria |
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Malthus Timothy Ekpe, Rosemary Obiageri Obasi, Sadiq Rabiu Abdullahi, Umar Aliyu Mustapha, Norfadzilah Rashid |
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Vol 11, No 4 (2020) |
Earnings Transparency and Financial Analysts’ Target Price Forecasts |
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Hyung Ju Park, Joong-Seok Cho |
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Vol 12, No 1 (2021) |
Economic Assessment of Optimization of Machine-Building Production on the Basis of Restructuring Outsourcing Taking Into Account the Cyclical Nature of Economic Development |
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Il'nur Ildusovich Farkhoutdinov, Aleksei Gennadevich Isavnin |
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Vol 8, No 3 (2017) |
Economic Assessment of Technology Adoption in Oil Palm Plantations from Colombia |
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Mauricio Mosquera-Montoya, Elizabeth Ruiz-Alvarez, Eloina Mesa-Fuquen |
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Vol 11, No 4 (2020) |
Economic Forces and the Stock Market Performance in Developing Countries: Evidence From Sudan |
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Nawal Hussein Abbas Elhussein, Elzibeer Fath Elrahman Hamed Warag |
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Vol 5, No 2 (2014) |
Economic Growth, Financial Depth and Lending Rate Nexus: A Case of Oil Dependant Economy |
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Najeeb Muhammad Nasir, Nasir Ali, Imran Khokhar |
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Vol 10, No 5 (2019) |
Education, Service Quality, Accountability, Awareness, and Taxpayer Compliance: Individual Taxpayer Perception |
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Vince Ratnawati, Ria Nelly Sari, Zuraidah Mohd Sanusi |
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Vol 10, No 4 (2019) |
Effect of Apportioned Federal Revenue on Economic Growth: The Nigerian Experience |
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Cordelia Onyinyechi Omodero |
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Vol 10, No 1 (2019) |
Effect of Audit Quality on Earnings Quality: Evidence From Indonesia Stock Exchange |
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Sumiadji ., Grahita Chandrarin, Edi Subiyantoro |
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Vol 10, No 3 (2019) |
Effect of Demographics, Attitudes and Learning Facilities on Management Accounting Performance |
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Radziah Mahmud, Nor Suhailati Abdul Manan, Marshita Hashim |
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Vol 10, No 3 (2019) |
Effect of Employees’ Understanding on Risk Management Process on Risk Management: A Case Study in a Non-profit Organisation |
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Erlane K Ghani, Nor Hamimah Nor Hassin, Kamaruzzaman Muhammad |
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Vol 13, No 1 (2022) |
Effect of the Capability Component of Fraud Theory on Fraud Risk Management in Nigerian Banks |
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Charles Uzodinma Eze, Emmanuel Chukwuma Ebe, Ifeoma Mary Okwo, Ogechi Ibeabuchi-Ani, Magnus S Odume, Jennifer Odinakachi Godspower, Josephine Adanma Nmesirionye, Chinelo Jenevive Obiekwe, Enobong Eshiet Udeme, Emmanuel Ifeanyi Obeagu |
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Vol 10, No 4 (2019) |
Effect of Weather on Cryptocurrency Index: Evidences From Coinbase Index |
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Chinnadurai Kathiravan, Murugesan Selvam, Balasundram Maniam, Sankaran Venkateswar, J. Gayathri, Amrutha Pavithran |
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Vol 7, No 1 (2016) |
Effective Financial Management of Supply Chain through the Use of Emerging Technology |
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Abdullah Mohammed Aldakhil |
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Vol 10, No 3 (2019) |
Effectiveness of Social Enterprise in Managing Intellectual Capital |
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Nur Hayati Binti Ab Samad, Noreena Md Yusoff, Rina Fadhilah Ismail |
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Vol 11, No 4 (2020) |
Effects of Board Size, Board Composition and Dividend Policy on Real Earnings Management in the Jordanian Listed Industrial Firms |
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Yousef Shahwan, Tareq Hammad Almubaydeen |
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Vol 9, No 3 (2018) |
Effects of CEO Turnover and Board Composition Reform on Improvements in the Internal Control Quality |
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Hiroshi Uemura |
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Vol 7, No 1 (2016) |
Effects of Financial Crisis on Capital Structure of Listed Firms in Vietnam |
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Truong Hong Trinh, Nguyen Thao Phuong |
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Vol 11, No 5 (2020) |
Effects of Internal and External Factors on Profitability of Jordanian Commercial Banks: Panel Data Approach |
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Hussain A. Bekhet, Ahmad Mohammad Alsmadi, Mohamed Khudari |
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Vol 7, No 1 (2016) |
Effects of Shadow Banking on Return — Empirical Study Based on Chinese Commercial Banks |
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Jingyu Tang, Yanling Wang |
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Vol 5, No 1 (2014) |
Effects of Stock Market Development on Economic Growth: Evidence from Turkey |
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Yilmaz Bayar, Abdulkadir Kaya, Murat Yildirim |
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Vol 8, No 3 (2017) |
Effects of the Credit Boom on the Soundness of Vietnamese Commercial Banks |
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Hao Thi Kim Do, Nguyet Thi Minh Nguyen, Trung Hai Le |
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Vol 12, No 4 (2021) |
Efficiency Measurement of Indian Banking Industry: An Empirical Comparative Analysis |
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Syed Raziuddin Ahmad, Muhammad Nauman Khan |
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Vol 10, No 6 (2019) |
Efficiency of Working Capital Management and Firm Value: Evidence From Chinese Listed Firms |
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Ratnam Vijayakumaran |
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Vol 7, No 2 (2016) |
Emerging Equity Markets Connectedness, Portfolio Hedging Strategies and Effectiveness |
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Nizar Harrathi, Chaker Aloui, Mohamed Ali Houfi, Jihed Majdoub |
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Vol 5, No 1 (2014) |
Emerging Trends in International Business and Trade: Need for a Paradigm Shift for Pakistani Trade Bodies |
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Abdul Rahman Zaki |
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Vol 6, No 2 (2015) |
Empirical Analysis of Firm Attributes before and after the Sarbanes-Oxley Act |
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Pennye K. Brown, Dong Y. Nyonna |
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Vol 12, No 4 (2021) |
Empirical Analysis of the Relationship Between the Development of China's Tourism Industry and Economic Growth Based on VAR Model |
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Lianfeng Zhang, Yuriy Danko, Jianmin Wang, Zhuanqing Chen |
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Vol 9, No 2 (2018) |
Empirical Assessment of Factors Influencing Corporate Performance of China’s Independent Brand Automobile Companies |
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Maoguo Wu, Zhenyu Wu |
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Vol 9, No 2 (2018) |
Empirical Estimates for how Changes in China’s Foreign Reserves Are Hurting Chinese Exports and Helping US Exports |
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Jonathan E. Leightner |
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Vol 6, No 3 (2015) |
Empirical Evidence on the Asymmetric Relationship between Bond and REIT Returns |
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Emmanuel Anoruo, Uchenna Elike |
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Vol 5, No 1 (2014) |
Empirical Research on Shanghai Residents' Financial Literacy |
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Hao Chen, Yuxi Wang, Shaohua Yang, Haina Yuan |
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Vol 8, No 2 (2017) |
Empirical Study of Technological Factors Being Involved in Income Distribution --An Example of Gansu Province |
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Liqun Li |
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Vol 12, No 2 (2021) |
Empirical Study of the Dividend Policy of Russian Companies at the Present Stage |
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Irina Alekseevna Filippova, Milyausha Kharisovna Biktemirova, Evgeniya Yurievna Strelnik, Rustam Rinatovich Salikhov |
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Vol 3, No 1 (2012) |
Empirical study of the National Health Service in U.K. and the U.S. Medical Care System |
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Kai Xie |
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Vol 8, No 2 (2017) |
Empirical Test on Impact of Monetary Policy and Fiscal Policy on Vietnam Stock Market |
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Tu Tran Thi Thanh, Linh Pham Thuy, Tiep Nguyen Anh, Thuy Do Thi, Tho Thi Hoai Truong |
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Vol 1, No 1 (2010) |
Enactment of Default Point in KMV Model on CMBC, SPDB, CMB, Huaxia Bank and SDB |
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Feixue Huang, Yan He |
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Vol 11, No 2 (2020) |
Entrepreneurial Orientation in Government-Owned Bank: Do They Improve Competitive Advantage? |
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Maryono ., Imam Ghozali, Amie Kusumawardhani, R. Mahelan Prabantarikso, Firdaus Basbeth |
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Vol 10, No 3 (2019) |
Entrepreneurial Strategies and Factors Stimulate the Business of Tech Startups |
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Venkata Sai Srinivasa Rao Muramalla, Ateeq Mesfer Al-Hazza |
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Vol 12, No 4 (2021) |
Entrepreneurs Characteristics of Thematic Small and Medium Industries in Innovation Sub District of Palu City |
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Rosida P. Adam, Zakiyah Zahara, Suardi -, Idris - |
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Vol 8, No 3 (2017) |
Entropy Risk Factor Model of Exchange Rate Prediction |
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Darrol J. Stanley, Levan Efremidze, Jannie Rossouw |
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Vol 12, No 4 (2021) |
Environmental Disclosure Modelling in a Developing Economy: Does Corporate Governance Matter? A Double Hurdle Regression Approach |
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Gbenga Ekundayo, Ndubuisi Jeffery Jamani, Festus Odhigu |
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Vol 11, No 3 (2020) |
Environmental Management Accounting Adoption Barriers Among Malaysian Hotel Companies |
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Nirman Noor Afiqi Mat Yusoh, Tuan Zainun Tuan Mat |
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Vol 11, No 1 (2020) |
Environmental Management Accounting, Islamic Social Reporting, and Corporate Governance Mechanism on Sharia-Approved Companies in Indonesia |
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Windu Mulyasari, Sekar Mayangsari |
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Vol 12, No 3 (2021) |
Environmental Operations Review and Stakeholders’ Wealth of Extracting Firms: Evidence From Nigeria |
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Akabom Ita Asuquo, Nicholas Obun Dan, Innocent Oko Odey, Mkpa Ubuo Linus, Ashishie Peter Uklala, Arzizeh Tiesieh Tapang |
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Vol 11, No 1 (2020) |
Environmental Performance and Firm Value: Testing the Role of Firm Reputation |
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Khanifah Khanifah, Jaka Isgiyarta, Fitri Alfiana, Udin Udin |
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Vol 12, No 1 (2021) |
Environmental Reporting and Sustainbility Reports in Oil Companies in Nigeria |
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Joseph U. Madugba, E. Ben-Caleb, T. U. Agburuga, W. C. Ani, S. L. Jegede, S. O. Fadoju |
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Vol 8, No 3 (2017) |
Equity Return Modeling and Prediction Using Hybrid ARIMA-GARCH Model |
Abstract
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Kaiying Sun |
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Vol 13, No 2 (2022) |
Estimating the Tail Index of Conditional Distribution of Asset Returns |
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Feruzbek Davletov |
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Vol 12, No 3 (2021) |
Estimating the Translog Cost Function for the Telecommunications Sector in Saudi Arabia: The Case of Saudi Telecom Company: An Empirical Study |
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Salim Bagadeem |
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Vol 7, No 5 (2016) |
Estimation for Production Factors in World Major Economies |
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Yunhong Chen, Qiang Jiang |
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Vol 11, No 4 (2020) |
Estimation of Benefits and Difficulties When Applying IFRS in Vietnam: From Business Perspective |
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Ngoc Thi Bui, Oanh Thi Tu Le, Huy Manh Dao |
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Vol 6, No 4 (2015) |
Evaluating Exchange Rate Models Based on Rational Expectations versus Imperfect Knowledge Economics |
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Ismail Onur Baycan |
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Vol 11, No 4 (2020) |
Evaluating the Effectiveness of the Bird-in-Hand-Dividends Policy in the Stability of Jordanian Listed Banks |
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Mohammad Sami Ali |
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Vol 8, No 1 (2017) |
Examining Asymmetric Volatility and Spillovers of ASEAN-6 Stock Markets in Financial Crisis |
Abstract
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Le Trung Thanh, Bui Thi Huong Lan |
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Vol 10, No 3 (2019) |
Examining Enterprise Resource Planning Post Implementation and Employees’ Performance in Small and Medium Enterprises Using DeLone and McLean’s Information System Success Model |
Abstract
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Erlane K Ghani, Siti Aimi Mohamad Yasin, Mazurina Mohd Ali |
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Vol 5, No 4 (2014) |
Examining Linkages between Saudi Stock Market (TASI) and Selected Stock Markets Indices |
Abstract
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Mohammed Ziaur Rehman, Musa Ahmed Hazazi |
|
Vol 12, No 1 (2021) |
Examining the Factors Affecting Sovereign Credit Rating of Gulf Cooperation Council Countries |
Abstract
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Yaser A. AlKulaib, Musaed S. AlAli |
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Vol 10, No 3 (2019) |
Examining the Relationship Between Enterprise Risk Management and Firm Performance in Malaysia |
Abstract
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Mazurina Mohd Ali, Nur Shazwani Ab Hamid, Erlane K Ghani |
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Vol 6, No 1 (2015) |
Ex-ante Determinants of Volatility in the Crude Oil Market |
Abstract
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Duong T Le |
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Vol 12, No 4 (2021) |
Exchange Rates and Dominant Macro Fundamental |
Abstract
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Vahid Gholampour |
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Vol 3, No 1 (2012) |
Executing Strategy with the Balanced Scorecard |
Abstract
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Michael L. Werner, Fuyuan Xu |
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Vol 11, No 3 (2020) |
Experiences to Voluntarily Adopt Malaysian Business Reporting System MBRS: A Case Study of SMPs |
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Azleen Ilias, Erlane K Ghani, Nasrudin Baidi, Zubir Azhar |
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Vol 5, No 2 (2014) |
Explaining the Cross-Sectional Patterns of UK Expected Stock Returns: The Effect of Intangibles |
Abstract
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Walid Saleh |
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Vol 10, No 6 (2019) |
Exploration of the Windfall and Market Entrepreneurship During the Great Recession |
Abstract
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Amaechi N. Nwaokoro, Lee Washington, Autumn Griffin |
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Vol 11, No 3 (2020) |
Exploring a Model of Whistle Blowing System for Malaysian Municipal Council |
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Maheran Zakaria, Rahayu Abdul Rahman, Hasnun Anip Bustaman |
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Vol 12, No 4 (2021) |
Exploring Reflections of Lecturers on Ethics in the Accounting Curriculum: A Case Study of Ukzn and Unizulu, South Africa |
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Ankur Ratnam Tewari, Lokesh Ramnath Maharajh |
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Vol 12, No 5 (2021) |
Exploring the Influence of Commodity Prices, Real Exchange Rate and Trade Openness on Economic Performance in an Emerging Country |
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Ipeleng Ntshwe, Rufaro Garidzirai |
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Vol 10, No 3 (2019) |
Exploring the Relationship Between Innovation Capability, Total Quality Management and SMEs Performance in Electric Fan Industry of Pakistan: Moderating Effect of Relational Learning |
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Uzma Haroon, Mohd Noor Mohd Shariff, Mohd Sufli Yusof |
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Vol 11, No 2 (2020) |
Exploring the Role of Trust in Mobile-Banking Use by Indonesian Customer Using Unified Theory of Acceptance and Usage Technology |
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Mohamad Saparudin, Agus Rahayu, Ratih Hurriyati, Mokh. Adib Sultan |
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Vol 10, No 5 (2019) |
Extending Technology Acceptance Model to EPV Application |
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Shuhaida Mohamed Shuhidan, Nurul Syahida Ayza Abd Samad, Zuraidah Mohd Sanusi, Saidatul Rahah Hamidi, Razana Juhaida Johari, Farah Aida Ahmad Nadzri |
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Vol 14, No 3 (2023) |
External Financing of Budget on Sustainable Economic Growth in Nigeria |
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Abiodun F. Okunlola, Olajumoke R. Ogunniyi, Rafiu Adewale Aregbeshola, Michael A. Alatise |
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Vol 6, No 4 (2015) |
Factors Affecting Intention to Use Facebook-Banking of Generation Y in Vietnam |
Abstract
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Dinh Xuan Cuong, Pham Thuy Linh, Pham Ngoc Ha |
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Vol 11, No 4 (2020) |
Factors Affecting the Competitive Capacity of Commercial Banks: A Critical Analysis in an Emerging Economy |
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Le Kieu Oanh Dao, Thuy Tu Pham, Van Chien Nguyen |
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Vol 11, No 2 (2020) |
Factors Affecting the Indonesia Stock Exchange: A Multi-Index Approach |
Abstract
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Didik Susilo, Sugeng Wahyudi, Irene Rini Demi Pangestuti |
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Vol 7, No 3 (2016) |
Factors Affecting the Performances of Internet Banking: A Case of Vietnam Commercial Banks |
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Binh Anh Huynh, Nhan Hoang Vo, Cuong Hung Pham |
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Vol 6, No 4 (2015) |
Factors Effecting Trading Volume: A Test of Mixed Distribution Hypothesis |
Abstract
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Izz Eddien N. Ananzeh |
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Vol 8, No 2 (2017) |
Factors Influencing Equity Return Correlations between China’s Pairs of A- and B-Share Markets: Effect of QFII’s Implementation |
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Jung-Lieh Hsiao, Teng-Tsai Tu, Mei-Chun Chen |
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Vol 10, No 6 (2019) |
Factors Influencing Green Performance in Manufacturing Industries |
Abstract
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Md. Harun Ur Rashid, Shah Asadullah Mohd. Zobair, Md. Jafar Shadek, Md. Ariful Hoque, Afzal Ahmad |
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Vol 10, No 6 (2019) |
Factors Influencing Internal Shariah Audit Effectiveness: Evidence From Bahrain |
Abstract
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Azam Abdelhakeem Khalid Ahmed, Adel M. Sarea |
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Vol 11, No 3 (2020) |
Factors Influencing Job Stress Among Malaysian Traffic Police Officers |
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Muhamad Khalil Omar, Ainie Hairianie Aluwi, Norashikin Hussein, Idaya Husna Mohd, Syezreen Dalina Rusdi |
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Vol 10, No 3 (2019) |
Factors Influencing Knowledge and Persuasion of Financial Regulators in the XBRL Adoption Process: The Technological Perspective |
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Azleen Ilias, Erlane K Ghani, Zubir Azhar |
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Vol 6, No 4 (2015) |
Factors That Determine Capital Structure in Building Material and Construction Listed Firms: Egypt Case |
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Amr Youssef, Ayah El-ghonamie |
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Vol 10, No 3 (2019) |
Factors That Might Lead to Corruption: A Case Study on Malaysian Government Agency |
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Sharifah Liyana Marissa Malik Syed Abdul, Haslinda Yusoff, Nafsiah Mohamed |
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Vol 10, No 4 (2019) |
Factors Underlying Attitude Formation Towards Crowdfunding in India |
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Hasnan Baber |
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Vol 11, No 4 (2020) |
Factors Used to Determine the Financing Structure for Shareholding Companies Listed in Amman Stock Exchange in Jordan |
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Raed Kanakriyah |
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Vol 11, No 2 (2020) |
Fair Value Accounting and Corporate Reporting in Nigeria: A Logistics Regression Approach |
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A. E. Adegboyegun, E. Ben-Caleb, A. O. Ademola, J. U. Madugba, D. F. Eluyela |
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Vol 8, No 2 (2017) |
Fair Value Information, Audit fees and Audit Committee in Taiwan |
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Shu-Hsing Wu, Tsung-Che Wu, Kun-Lin Yang |
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Vol 7, No 4 (2016) |
Faith Based Investing (FBI) Fund Performance: Luck or Skill? |
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Praveen Das, S. P. Uma Rao |
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Vol 12, No 1 (2021) |
FDI and Economic Growth in the Central African Economic and Monetary Community (CEMAC) Countries: An Analysis of Seven Economic Indicators |
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Paul Sindze, Phouthakannha Nantharath, Eungoo Kang |
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Vol 11, No 5 (2020) |
FDI Environment in China: A Critical Analysis |
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Manuel Fernandez, Aysha Abdulla Ahmed Aljeed Alnuaimi, Robinson Joseph |
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Vol 12, No 5 (2021) |
FDI, Stock Market Development and Institutional Quality: An African Perspective |
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Patricia Lindelwa Makoni |
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Vol 12, No 2 (2021) |
Features of Information Coverage of Regional Environmental Policy on the Instance of the Republic of Tatarstan |
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Galina Viktorovna Morozova, Irina Dmitrievna Porfireva |
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Vol 11, No 1 (2020) |
Female Directors, Family Ownership and Firm Performance in Jordan |
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Zaid Saidat, Claire Seaman, Mauricio Silva, Lara Al-Haddad, Zyad Marashdeh |
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Vol 13, No 1 (2022) |
Financial Accountability Framework for Local Municipalities in the North West Province |
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A. J. Mothupi, W. Musvoto, J. N. Lekunze |
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Vol 11, No 5 (2020) |
Financial Accounting, Analysis and Features of Calculations With Personnel |
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Gulnara A. Gareeva, Diana R. Grigoreva, Ilnur I. Mahmutov |
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Vol 11, No 5 (2020) |
Financial and Economic Features of Technical Re-equipment of the Workshop Machine-Building Enterprise |
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Elvira Distantovna Khisamova, Svetlana Mazgutovna Nuryyakhmetova, Gulnara Damirovna Kayumova |
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Vol 11, No 2 (2020) |
Financial and Non-financial Factors Affecting Board Size of the Listed Firms in Vietnam |
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Nguyen Vinh Khuong, Phung Anh Thu, Do Thi Thu Lieu, Tran Thi Phuong Anh, Nguyen Thi My Giau, Nguyen Mai Han, Ngo Kim Mo |
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Vol 10, No 5 (2019) |
Financial and Social Performances of Islamic Microfinance Service Provider With Mobile Banking |
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Afifa Malina Amran, Intan Salwani Mohamed, Sharifah Norzehan Syed Yusuf, Nabilah Rozzani |
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Vol 12, No 1 (2021) |
Financial and Strategic Pricing Analysis in the Development Market Using an Econometric Model |
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Ainur A. Akhmetzianov, Andrew Y. Sokolov |
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Vol 12, No 2 (2021) |
Financial Behavior of Family Businesses: A Bibliometric and Systematic Literature Review |
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Oumaima Quiddi, Badr Habba |
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Vol 9, No 2 (2018) |
Financial Constraints and Financial Crises: The Case of Portuguese Listed Companies |
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Luísa Pereira, Armando Silva, Sónia Nogueira Silva |
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Vol 2, No 2 (2011) |
Financial Crisis and the Cyclical Changes of Financial Supervision |
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Baodong Ren |
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Vol 12, No 2 (2021) |
Financial Deepening and Economic Growth in Nigeria: A Johannsen and Error Correction Model Techniques |
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Victoria Okafor, Ebenezer Bowale, Ademola Onabote, Adedeji Afolab, Jeremiah Ejemeyovwi |
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Vol 1, No 1 (2010) |
Financial Deepening, Foreign Direct Investment and Economic Growth: Are They Cointegrated |
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Rudra P Pradhan |
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Vol 14, No 2 (2023) |
Financial Deepening, OFDI and Economic Growth: Based on the Perspectives of Both China and Host Countries |
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Zedong Cai, Yike Shi, Linjie Wang |
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Vol 14, No 4 (2023) |
Financial Deregulation, Monetary Tightening, Oil Crises and Transnational Capital Flows: The United States and the Origins of Neoliberal Financial Policies |
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Simone Selva |
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Vol 8, No 2 (2017) |
Financial Development and Life Insurance Demand in Sub-Sahara Africa |
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Osama Ose Iyawe, Ifuero Osad Osamwonyi |
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Vol 8, No 4 (2017) |
Financial Development and Poverty Reduction: Evidence from Selected African Countries |
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Yaya Keho |
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Vol 7, No 4 (2016) |
Financial Development and Poverty Reduction: Exploring the Links between the Issues Using Evidence from Bangladesh |
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Joynal Abdin |
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Vol 6, No 2 (2015) |
Financial Development, Savings and Economic Growth: Evidence from Bahrain Using VAR |
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Mohammed Ziaur Rehman, Nasir Ali, Najeeb Muhammad Nasir |
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Vol 10, No 3 (2019) |
Financial Distress Prediction Through Cash Flow Ratios Analysis |
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Amrizah Kamaluddin, Norhafizah Ishak, Nor Farizal Mohammed |
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Vol 12, No 2 (2021) |
Financial Factors and Their Relative Importance Analysis in Peruvian Gold Mining Companies’ Stock Price |
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Jose Fernando Vilcarromero Arbulu, Jorge Luis Castilla Raimundo, Pedro Bernabe Venegas Rodriguez, Nivardo Alonzo Santillan Zapata, Jimmy Alberth Deza Quispe |
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Vol 12, No 1 (2021) |
Financial Features of Systemically Important Banks Operation in Modern Conditions |
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Elvira Ildarovna Bulatova, Ekaterina Vladimirovna Ipatova |
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Vol 11, No 5 (2020) |
Financial Impact of Digital Technologies as a Promising Element of Import Substitution |
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Elvira Ildarovna Bulatova, Elmira Faylovna Amirova |
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Vol 12, No 2 (2021) |
Financial Inclusion and Tax Revenue: Evidence From Europe |
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Bassam Al-Own, Tareq Bani-Khalid |
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Vol 9, No 1 (2018) |
Financial Inclusion, Bank Competitiveness and Credit Risk of Commercial Banks in Kenya |
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Salome Musau, Stephen Muathe, Lucy Mwangi |
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Vol 12, No 3 (2021) |
Financial Inclusion in Zimbabwe: Determinants, Challenges, and Opportunities |
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Florence Barugahara |
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Vol 6, No 3 (2015) |
Financial Intermediation and Economic Growth in Cameroon |
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Ibrahim Ngouhouo, Giscard Moutie |
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Vol 4, No 4 (2013) |
Financial Management in Local Government: The Nigeria Experience |
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Nwosu M. Eze, Okafor O. Harrison |
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Vol 5, No 4 (2014) |
Financial Needs of Internationalized Firms |
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Federica Sist |
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Vol 12, No 2 (2021) |
Financial Openness and Economic Growth in Côte d’Ivoire: The Total Factor Productivity Channel |
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Hugues Kouassi Kouadio, Landry Lewis Gakpa |
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Vol 6, No 3 (2015) |
Financial Ratios and Stock Returns on China’s Growth Enterprise Market |
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Zhaohui Zhang |
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Vol 12, No 1 (2021) |
Financial Resources Management in Commercial Banks: Evidence From Latvia |
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Natalia Konovalova, Aina Caplinska |
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Vol 12, No 2 (2021) |
Financial Risk Tolerance: The Case of Older Chinese in Klang Valley, Malaysia 2020 |
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Shyue Chuan Chong, Han Kok Heng, Siok Jin Lim, Vejaratnam Navaratnam, Andaeus Zun Khan Neoh |
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Vol 9, No 4 (2018) |
Financial Services Privatisation: Two Case Studies |
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John A. Consiglio |
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Vol 7, No 4 (2016) |
Financial Statement and Competitiveness Analysis: A Study on Tourism & Hospitality Industry in Bangladesh |
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Tanvir Mohammad Hayder Arif, Kazi Noor-E- Jannat, S.M. Rakibul Anwar |
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Vol 11, No 6 (2020) |
Financial Statement Fraud Detection With Beneish M-Score and Dechow F-Score Model: An Empirical Analysis of Fraud Pentagon Theory in Indonesia |
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Dwi Ratmono, Darsono Darsono, Nur Cahyonowati |
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Vol 11, No 4 (2020) |
Financial Statement Fraud Risk Factors of Fraud Triangle: Evidence From Indonesia |
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Hasni Yusrianti, Imam Ghozali, Etna Yuyetta, Aryanto Aryanto, Eka Meirawati |
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Vol 4, No 4 (2013) |
Financial Statement Management, Liability Reduction and Asset Accumulation: An Application of Goal Programming Model to a Nigerian Bank |
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Ajibola Arewa, John Ayodele Owoputi, Lezaasi Lenee Torbira |
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Vol 12, No 1 (2021) |
Financial Tips on the Need to Identify Active Degassing Structures When Planning Territory Development Using the Functional Zoning Method |
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Arina Vyacheslavovna Rudenko, Valeriia Valerevna Shaimardanova |
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Vol 4, No 3 (2013) |
Financialization of Turkey Industry Sector |
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Isil Tellalbasi, Ferudun Kaya |
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Vol 3, No 4 (2012) |
Financing Rural Energy Projects in China: Lessons for Nigeria |
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Sanusi Mohammed Ohiare, Ismail O. Soile |
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Vol 13, No 3 (2022) |
Finding Optimal Parameter Values for the MACD Indicator: Evidence From the Japanese Nikkei 225 Futures Market Using a New Methodology |
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Byung-Kook Kang |
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Vol 12, No 3 (2021) |
Finding the Network Structure of Rwandan Interbank Market |
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Patrick Mugenzi, Thomas Kigabo Rusuhuzwa, Annie Uwimana |
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Vol 9, No 4 (2018) |
Fintech and the Future of the Payment Landscape: The Mobile Wallet Ecosystem - A Challenge for Retail Banks? |
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Anna Eugenia Omarini |
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Vol 10, No 1 (2019) |
Firm Level Determinants of Capital Structure: Evidence From Egypt |
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Ahmed Sakr, Amina Bedeir |
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Vol 11, No 6 (2020) |
Firm Performance and Corporate Social Environmental Initiatives in the Wake of a Health Pandemic |
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Osereme Omoike, Uwalomwa Uwuigbe, Philip Alege, Bukola Uwuigbe, Osazuwa Peter Nosakhare, Osariemen Asiriuwa |
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Vol 11, No 2 (2020) |
Firm Size, Profitability, Leverage as Determinants of Audit Report Lag: Evidence From Indonesia |
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Lailah Fujianti, Indra Satria |
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Vol 10, No 4 (2019) |
Firm Value Improvement Strategy, Corporate Social Responsibility, and Institutional Ownership |
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M. Chabachib, Tyana Ulfa Fitriana, Hersugondo Hersugondo, Imang Dapit Pamungkas, Udin Udin |
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Vol 11, No 1 (2020) |
Fiscal Decentralization and Economic Growth in Thailand: A Cross-Region Analysis |
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Phouthakannha Nantharath, Sirisak Laochankham, Peerasit Kamnuasilpa, Eungoo Kang |
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Vol 12, No 3 (2021) |
Five Years of Inflation Targeting Without Economic Growth: What Should Be Changed? The Case of Russia |
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Oscar Gasanov |
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Vol 7, No 1 (2016) |
Food Consumption Pattern in Eskisehir |
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Amir Azam, Hakan Acaroglu |
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Vol 15, No 1 (2024) |
Forecasting and Cross-Correlation of Series on the Waste Generation, Population, GDP and Household Consumption Expenditures in Jordan |
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Omar Alhanaqtah |
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Vol 7, No 2 (2016) |
Forecasting Portfolio Balance Using Return Mean, Standard Deviation and Spending |
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Jeffry Haber, Andrew Braunstein |
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Vol 4, No 2 (2013) |
Forecasting Volatility of Stock Indices with ARCH Model |
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Md. Zahangir Alam, Md. Noman Siddikee, Md. Masukujjaman |
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Vol 9, No 2 (2018) |
Foreign Capital and International Division Trap |
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Wenming Yuan |
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Vol 8, No 3 (2017) |
Foreign Currency Prognostication: Diverse Tests for Germany |
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Augustine C. Arize, Charles J. Berendt, Giuliana Campanelli Andreopoulos, Ioannis N. Kallianiotis, John Malindretos |
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Vol 8, No 1 (2017) |
Foreign Direct Investment and Growth: A Study in the Context of Kuwait |
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Ansarul Haque, Ashok Kumar Patnaik, Syeda Zubaida Hashmi |
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Vol 13, No 3 (2022) |
Foreign Direct Investment and Inclusive Growth in Nigeria: The Role of the Financial Sector Development |
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Emeka Nkoro, Aham Kelvin Uko |
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Vol 1, No 1 (2010) |
Foreign Direct Investment Effect on Economic Growth: Evidence from Guinea Republic in West Africa |
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Keita Mohamed Lamine, Dakai Yang |
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Vol 5, No 1 (2014) |
Foreign Direct Investment (FDI) Inflows into Ghana: Should the Focus Be on Infrastructure or Natural Resources? Short- Run and Long -Run Analyses |
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Prince Acheampong, Victor Osei |
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Vol 8, No 4 (2017) |
Foreign Direct Investment, Financial Development and Economic Growth Evidence from Saudi Arabia |
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Najeeb Muhammad Nasir, Mohammed Ziaur Rehman, Nasir Ali |
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Vol 5, No 3 (2014) |
Foreign Reserve Accretion and Money Supply Creation: Lebanon’s Experience under an Adjustable Peg |
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Samih Antoine Azar |
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Vol 12, No 5 (2021) |
Formal and Informal Savings Habits and Income Levels: A Case Study in Mexico |
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Georgina Manrique Morteo, Milka Elena Escalera-Chavez, Elena Moreno-Garcia |
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Vol 11, No 5 (2020) |
Formation of Emotional Intelligence of the Financial Company's Employees |
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E. G. Nikiforova, D. S. Shakirova, A. D. Abrosimova |
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Vol 10, No 5 (2019) |
Formulating and Estimating of Dynamic Nonlinear Model of Korea’s Bilateral Trade Balance |
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Heonyong Jung |
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Vol 12, No 5 (2021) |
Fractal Markets, Frontiers, and Factors |
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Wilhelm Berghorn, Martin T. Schulz, Sascha Otto |
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Vol 10, No 5 (2019) |
Fraud Intention and Machiavellianism: An Experimental Study of Fraud Triangle |
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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? |
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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 |
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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 |
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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 |
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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 |
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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 |
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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 |
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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 |
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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 |
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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 |
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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 |
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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 |
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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 |
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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 |
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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 |
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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 12, No 4 (2021) |
Herding Phenomenon During Various Market Conditions |
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Olfa Chaouachi |
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Vol 8, No 3 (2017) |
Higher Education Expansion and Return to Education in China: Evidence from CGSS2005 and CGSS2013 |
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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 |
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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 |
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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 |
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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 |
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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
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Anthony Q. Q. Aboagye, Isaac Otchere |
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Vol 12, No 5 (2021) |
How the Crowding-out Effect Hypothesis Stands Under a Financial System Liberalised: The Mexican Economy Case |
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Benjamin Garcia Paez |
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Vol 12, No 4 (2021) |
Human Capital Reporting (HCR) and Shareholder Value Maximization in Listed Manufacturing Firms in Nigeria |
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Ademola Adeniran Adewumi, Ilesanmi Isaac Omole, Amos Olatunbosun Talabi, Godwin Gabriel Omula |
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Vol 10, No 6 (2019) |
Human Capital, Self-Efficacy and Firm Performance: A Study of Bumiputera SMEs in Malaysia |
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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 |
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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 |
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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 |
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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 |
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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 |
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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
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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 |
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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 |
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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 |
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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 |
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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 |
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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 |
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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
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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 |
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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 |
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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
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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) |
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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 |
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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 |
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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 |
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Sunitha Kumaran |
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Vol 12, No 5 (2021) |
Impact of Risk-Taking on Firm Value |
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Yong Jae Shin, Unyong Pyo |
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Vol 10, No 1 (2019) |
Impact of Stock Market Development on Economic Growth in BRICS |
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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) |
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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 |
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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 |
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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 |
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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 |
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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 |
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Mukhtaruddin Mukhtaruddin, M. Adam, Isnurhadi Isnurhadi, Luk Luk Fuadah |
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Vol 12, No 4 (2021) |
Implications of COVID-19 Lockdown on South African Business Sector |
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Chucks I Ede, Mfundo Mandla Masuku, Nokukhanya N Jili |
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Vol 12, No 2 (2021) |
Improving the Mechanisms of Public-Private Partnership |
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Aliya Zyalilevna Minnibaeva, Irina Yurievna Vaslavskaya, Irina Alexandrovna Koshkina, Artur Faridovich Ziyatdinov |
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Vol 14, No 2 (2023) |
Improvisation in the Management of Lithuanian Art Organisations |
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Daiva Masaityte, Virginia Jureniene |
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Vol 9, No 1 (2018) |
Impulse of Dividend Payment Decision: Evidence from Pharmaceutical Industry in Bangladesh |
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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 |
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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 |
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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? |
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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 |
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Kenji Miyazaki |
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Vol 2, No 1 (2011) |
Inflation, Money and Economic Growth in Cameroon |
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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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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) |
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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 |
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Jae Hoon Min |
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Vol 14, No 1 (2023) |
Innovation, Business Strategies and Stock Returns in Biotechnology Industry |
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Levan Efremidze |
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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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Hongbo Duan, Abdul Razak bin Chik, Chonjun Liu |
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Vol 5, No 4 (2014) |
Institutional Investors, Stock Repurchases and Information Asymmetry |
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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 |
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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 15, No 2 (2024) |
Inter-linkages Among Selected Stock Markets of South Asia: Revisit |
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Suman Suman |
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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 |
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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 |
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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 12, No 5 (2021) |
Investigating if the Financial Markets Performance Affects the Shadow Economy: Additional Evidence From EU Countries |
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Pyrros Papadimitriou, Thomas Poufinas, George Galanos, Charalampos Agiropoulos |
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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 |
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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 |
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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 |
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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 |
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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 12, No 4 (2021) |
Investor Sentiment by Money Flow Index and Stock Return |
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Lai Cao Mai Phuong |
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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 13, No 2 (2022) |
Issues and Challenges Faced by Islamic Financial Institutions in Canada |
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Samia Benaziez, Rusni Hassan |
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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? |
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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 |
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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 |
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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 |
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C.R. Sathyamoorthi, Mogotsinyana Mapharing, Mashoko Dzimiri |
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Vol 12, No 5 (2021) |
Liquidity Mismatch Index and Bank Performance |
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Godfrey Marozva |
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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 12, No 4 (2021) |
Managerial Characteristics as Drivers of Innovation |
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Derrick Bonyuet |
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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 |
Abstract
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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 12, No 4 (2021) |
Marketing of Cities as Centres of Socio-Economic Development in the Process of Globalisation |
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Sergeys Ignatyevs, Sergey A. Makushkin, Sergiy Spivakovskyy |
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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 |
Abstract
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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 12, No 5 (2021) |
Modeling the Exchange Rate Volatility Using the BRICS GARCH-type Models |
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Lebotsa Daniel Metsileng, Ntebogang Dinah Moroke, Johannes Tshepiso Tsoku |
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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 |
Abstract
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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 |
Abstract
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Wilhelm Berghorn, Sascha Otto |
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Vol 9, No 1 (2018) |
Monday Effect in the Chinese Stock Market |
Abstract
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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 |
Abstract
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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 12, No 5 (2021) |
Net-Zero Emissions With Renewable Energy Certificates: A Public Policy for a Massachusetts Municipal Light Plant |
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Joseph Yaw Abodakpi, Patrick Collins, Aidan Giasson |
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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 13, No 2 (2022) |
Next Generation Investors and Financial Advice Consumption: An Empirical Analysis |
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Andrea Lippi, Simone Rossi |
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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 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 |
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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 4 (2021) |
Performance of Firm and Board Attributes Nexus: Using Hausman Test Analysis |
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Adegbola Otekunrin, Tony Nwanji, Damilola Fagboro, Johnson Olowookere, Stella Ibitoye |
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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 13, No 2 (2022) |
Pre and Post Global Financial and Economic Crisis on Nigerian Economy |
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Isibor Areghan |
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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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Vol 14, No 2 (2023) |
Predicting Long-Run and Short-Run Movement of Sectoral Index: Evidence From Philippine Stock Market |
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William T. Sucuahi |
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Vol 7, No 4 (2016) |
Predicting the Volatility of the Russell 3000 Stock Index |
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Bing Xiao |
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Vol 11, No 1 (2020) |
Predicting Time-Lag Stock Return Using Tactical Asset Allocation Trading Strategies Across Global Stock Indices |
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Fahim Afzal, Pan Haiying, Farman Afzal, Faisal Ghafoor Bhatti |
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Vol 6, No 4 (2015) |
Prediction of Financial Crisis with Artificial Neural Network: An Empirical Analysis on Turkey |
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Alev Dilek Aydin, Seyma Caliskan Cavdar |
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Vol 7, No 3 (2016) |
Predictors of Performance of the ERP Adpopters in the Companies of LILAMA |
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Khanh Viet Tran, Cuong Hung Pham, Long Pham |
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Vol 9, No 1 (2018) |
Preferential Trade Agreements under Declining American Hegemony |
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Kaoru Ishiguro |
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Vol 8, No 4 (2017) |
Presidential Election and Portfolio Selections in the Nigeria Stock Exchange |
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Ifuero Osad Osamwonyi, Osazee G. Omorokunwa |
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Vol 6, No 2 (2015) |
Price Dynamics and Market Volatility: Behavioral Heterogeneity under Switching Trading Strategies on Artificial Financial Market |
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Yosra Mefteh Rekik, Younes Boujelbene |
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Vol 6, No 1 (2015) |
Pricing Model for Financial Guaranty Products Using Actuarial Methodology and Most Prudent Principle |
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Jinyu Yang, Weiguo Zhang, Donglai Li |
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Vol 4, No 4 (2013) |
Pricing Onion Options: A Probabilistic Approach |
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Thorsten Upmann |
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Vol 9, No 2 (2018) |
Principal Components-based Investigative Study of Counter Measures to Financial Crimes |
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Gabriel Babatunde Iwasokun, Raphael Olufemi Akinyede, Oniyide Alabi Bello |
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Vol 5, No 1 (2014) |
Probability Analysis of Exchange Rate Target Zones |
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Huimin Zhao, Fuzhou Gong, Fangping Peng, Qin Liu |
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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 |
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Diallo Mamadou Saliou Kokouma, Huang Kai |
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Vol 12, No 2 (2021) |
Problems of an Ergonomic Approach to the Design of a Uniform Medical Suit |
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Venera M. Yumagulova, Elmira G. Akhmetshina, Gulnaz R. Ahmetshina |
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Vol 3, No 3 (2012) |
Profitability and Consistency Analysis of Pharmacy Sector in India |
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K.S. Vataliya, Rajesh A. Jadav, Abhishek R. Belani |
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Vol 10, No 4 (2019) |
Prognostications With Applications to the British Pound |
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Augustine C. Arize, John Malindretos, Tao Guo, Demetri Tsanacas, Lawrence Verzani |
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Vol 10, No 5 (2019) |
Propagating Transparency and Accountability Through Integrated Reporting: An Empirical Insight From a Developing Country |
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Faizah Darus, Shafawati Farhana Mohd Safihie, Haslinda Yusoff |
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Vol 6, No 4 (2015) |
Prospect of Sukuk in the Fixed Income Market: A Case Study on Kuwait Financial Market |
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Saadi Al Trad, Rafiq Bhuyan |
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Vol 10, No 4 (2019) |
Prospects and Feasibility of Diaspora Bond: The Case of Ghana |
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Lord Mensah |
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Vol 12, No 1 (2021) |
Providing Young Families With Housing in Russia: Financial, Economical, Administrative, and Regulatory Aspects |
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Ekaterina Alexandrovna Eremeeva, Natalia Vasilievna Volkova, Tatiana Viktorovna Khalilova |
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Vol 12, No 4 (2021) |
Public Sector Accounting in Europe: A Systematic Literature Review |
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Helio Corguinho Fernandes, Joao Lopes Pita, Jose Domingues Jesus, Guilherme Martins Camara |
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Vol 7, No 5 (2016) |
R&D Investment and Market Reactions in Non-crisis and Crisis Periods: Evidence from Taiwan |
Abstract
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Shu-Ching Chou, Thanh Long Phan |
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Vol 9, No 1 (2018) |
Raising Interest Rates: IOER vs. OMO: Interest on Excess Reserves vs Open Market Operations |
Abstract
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William H. Carlson, Conway L. Lackman |
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Vol 12, No 1 (2021) |
Ramadan Effect: A Structural Time-Series Test |
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Abdullah Al-Awadhi, Ahmad Bash, Fouad Jamaani |
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Vol 10, No 4 (2019) |
Reasons Are Given for the Current Wildcat Strikes in Vietnam: The Blue-Collar Workers' Perspective |
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Hung Van Tran |
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Vol 5, No 4 (2014) |
Recent Experiences with Currency Substitution |
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Hisao Kumamoto |
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Vol 10, No 5 (2019) |
Regional Financial Model Mapping Independence to Fiscal in East Java |
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Syamsul Huda, Wiwin Priana, Zumrotul Fitriyah |
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Vol 7, No 2 (2016) |
Relationship between Bank Credit and Economic Growth: Evidence from Jordan |
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Izz Eddien N. Ananzeh |
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Vol 7, No 2 (2016) |
Relationship between Board Remuneration and Financial Performance in the Kenyan Financial Services Industry |
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Rita Ruparelia, Amos Njuguna |
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Vol 1, No 1 (2010) |
Relationship between External Debt Management Policies and Economic Growth in Nigeria (1970-2006) |
Abstract
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Chris O. Udoka, Roland A. Anyingang |
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Vol 6, No 2 (2015) |
Relationship between Gender Diversity on Boards and Firm’s Performance - Case Study about ASEAN Banking Sector |
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Tran Thi Thanh Tu, Hoang Huu Loi, Tran Thi Hoang Yen |
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Vol 12, No 3 (2021) |
Relationship Between Unemployment Rate and Shadow Economy in Nigeria: A Tado-Yamamoto Approach |
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Felicia C. Abada, Charles O. Manasseh, Ifeoma C. Nwakoby, Ngozi Franca Iroegbu, Johnson I. Okoh, Felix C. Alio, Adedoyin I. Lawal, Onyinye J. Asogwa |
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Vol 11, No 5 (2020) |
Relationship Between Various Determinants and Dimensions of Financial Literacy Among Working Class |
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Khujan Singh, Poonam Rani, Chand Kiran |
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Vol 5, No 1 (2014) |
Relationship of Stock Price and Monetary Variables of Asian Small Open Emerging Economy: Evidence from Thailand |
Abstract
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Nararuk Boonyanam |
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Vol 10, No 3 (2019) |
Relative Comprehensiveness of Performance Measurement System: Organisational Ownership Structure and Size |
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Zarinah Abdul Rasit, Che Ruhana Isa |
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Vol 11, No 6 (2020) |
Relative Versus Fundamental Valuation: An Empirical Study of US Biotechnology Firms Around the 2000 High-Tech Bubble |
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Dzung Viet Nguyen |
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Vol 10, No 5 (2019) |
Religious and Socioeconomic Implications of Islamic Insurance: A Review |
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Nursyuhadah Abdul Rahman, Zurul Aisya Osman, Nur Syairah Ani, Zulkarnian Ahmad |
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Vol 11, No 1 (2020) |
Remittances and Economic Growth Tie in Selected South Asian Countries: A Panel Data Analysis |
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Md. Nezum Uddin, Mohammed Jashim Uddin, Joynal Uddin, Monir Ahmmed |
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Vol 12, No 3 (2021) |
Remuneration, Personnel Expenses and Third Party Expenses in Times of Covid-19 in the Financial Sector |
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Anderson Arcos-Leon, Margaret Diana Colqui-Estrella, Anny Paula Sugasti-Arivilca, Wagner Enoc Vicente-Ramos |
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Vol 9, No 4 (2018) |
Reporting of Real Option Value Related to ESG: Including Complementary Systems for Disclosure Incentives |
Abstract
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Nobuhito Ochi |
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Vol 3, No 1 (2012) |
Research on Risk Evaluation of SME Financing based on Grey Theory |
Abstract
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Zhangliu Wang, Lan Wang, Kai Wang |
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Vol 4, No 2 (2013) |
Research on the Determinants of Foreign Direct Investment Inflows of Gansu Province China |
Abstract
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Yuxia Hu |
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Vol 4, No 2 (2013) |
Research on the FDI Inflows in Western Region of China - Exemplified by Guangxi Zhuang Autonomous Region |
Abstract
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Lina Lian |
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Vol 3, No 4 (2012) |
Research on the Problems and Countermeasures of China's Service Trade in the New Era |
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Zhijun Sheng, Kuo Wang |
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Vol 12, No 2 (2021) |
Restructuring Outsourcing: Classification and Methodical Approach to Evaluating Expediency and Economic Effect |
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Il'nur Ildusovich Farkhoutdinov, Aleksei Gennadevich Isavnin |
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Vol 11, No 5 (2020) |
Reviewer Acknowledgements for International Journal of Financial Research, Vol. 11, No. 5 |
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Gina Perry |
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Vol 11, No 6 (2020) |
Reviewer Acknowledgements for International Journal of Financial Research, Vol. 11, No. 6, Special Issue |
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Gina Perry |
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Vol 11, No 6 (2020) |
Reviewer Acknowledgements for International Journal of Financial Research, Vol. 11, No. 6, Special Issue |
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Gina Perry |
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Vol 12, No 1 (2021) |
Reviewer Acknowledgements for International Journal of Financial Research, Vol. 12, No. 1 |
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Gina Perry |
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Vol 12, No 2 (2021) |
Reviewer Acknowledgements for International Journal of Financial Research, Vol. 12, No. 2 |
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Gina Perry |
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Vol 12, No 3 (2021) |
Reviewer Acknowledgements for International Journal of Financial Research, Vol. 12, No. 3 |
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Gina Perry |
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Vol 12, No 4 (2021) |
Reviewer Acknowledgements for International Journal of Financial Research, Vol. 12, No. 4 |
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Gina Perry |
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Vol 12, No 5 (2021) |
Reviewer Acknowledgements for International Journal of Financial Research, Vol. 12, No. 5 |
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Gina Perry |
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Vol 13, No 1 (2022) |
Reviewer Acknowledgements for International Journal of Financial Research, Vol. 13, No. 1 |
Abstract
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Gina Perry |
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Vol 13, No 2 (2022) |
Reviewer Acknowledgements for International Journal of Financial Research, Vol. 13, No. 2 |
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Gina Perry |
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Vol 14, No 1 (2023) |
Reviewer Acknowledgements for International Journal of Financial Research, Vol. 14, No. 1 |
Abstract
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Gina Perry |
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Vol 14, No 2 (2023) |
Reviewer Acknowledgements for International Journal of Financial Research, Vol. 14, No. 2 |
Abstract
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Gina Perry |
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Vol 14, No 3 (2023) |
Reviewer Acknowledgements for International Journal of Financial Research, Vol. 14, No. 3 |
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Gina Perry |
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Vol 15, No 3 (2024) |
Reviewer Acknowledgements for International Journal of Financial Research, Vol. 15, No. 3 |
Abstract
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Gina Perry |
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Vol 12, No 2 (2021) |
Revisiting the Impact of Mobile Banking in Financial Inclusion Among the Developing Countries |
Abstract
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Ummahani Akter, S. M. Rakibul Anwar, Riduanul Mustafa, Zulfiqure Ali |
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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
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Maoguo Wu, Daimin Lu |
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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
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Maoguo Wu, Yanyuan Wang |
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Vol 7, No 1 (2016) |
Risk Classification in Natural Catastrophe Insurance: The Case of Italy |
Abstract
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Donatella Porrini |
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Vol 11, No 5 (2020) |
Risk Governance and Performance: Evidence From Eurozone’s Large Banks |
Abstract
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Paolo Agnese, Paolo Capuano |
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Vol 11, No 5 (2020) |
Risk Management and the Financial Performance of Banks in Nigeria |
Abstract
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Henry Inegbedion, Bello Deva Vincent, Eseosa Obadiaru |
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Vol 4, No 1 (2013) |
Risk Management Practices: A Survey of Micro-Insurance Service Providers in Kenya |
Abstract
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Amos Gitau Njuguna, Abigael Arunga |
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Vol 10, No 2 (2019) |
Risks Faced by Islamic Banks: A Study on the Compliance Between Theory and Practice |
Abstract
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Salma Rhanoui, Khalid Belkhoutout |
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Vol 10, No 6 (2019) |
Role of Advertising Expenditure as an Influential Non-traditional Regressor in Russia’s Money Demand Specification |
Abstract
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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
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Abdullah Mohammed Aldakhil, Muhammad Moinuddin Qazi Abro, Muhammad Adnan Khurshid, Alamzeb Aamir |
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Vol 4, No 2 (2013) |
Role of Financial Development in Economic Growth: Evidence from Savings and Credits Cooperative Societies in Tanzania |
Abstract
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Xuezhi Qin, Benson Otieno Ndiege |
|
Vol 11, No 4 (2020) |
Role of Islamic Microfinance in Alleviating Poverty in Bangladesh: A Study on RDS of IBBL |
Abstract
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Md. Masud Parvej, MD. Asad Iqbal Chowdhury, Md. Kazi Golam Azam, Md. Musharof Hossain, Abdullah Mohammad Ahshanul Mamun |
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Vol 15, No 3 (2024) |
Russia’s Invasion of Ukraine and Implications for the Ukrainian Hryvnia and the Russian Ruble |
Abstract
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Hoje Jo, Olivia Venderby |
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Vol 11, No 6 (2020) |
Scenario Analysis of the Intellectual Capital Development of the Region in Postcovid Economics Based on Financial Assets |
Abstract
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Gataullin Iskander Ilgizovich, L. M. Zabirova |
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Vol 8, No 2 (2017) |
School Governance, Accountability and Performance Management |
Abstract
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Daniela M. Salvioni, Raffaella Cassano |
|
Vol 7, No 3 (2016) |
Seasonality Effect on the Vietnamese Stock Exchange |
Abstract
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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
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Hsiao-Peng Fu |
|
Vol 10, No 6 (2019) |
Secondary Equity Offer Announcements and Share Returns at Nairobi Securities Exchange, Kenya |
Abstract
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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
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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
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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
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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
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Hung Van Truong, Cuong Hung Pham, Nhan Hoang Vo |
|
Vol 12, No 5 (2021) |
Service Quality Strategy Challenges for Managers and Frontline Employees in the South African Post Office in the North West Province |
Abstract
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Elsie Mbua Eposi, Marius Potgieter |
|
Vol 6, No 4 (2015) |
Several Econometric Tests of Exchange Rate Efficiency for a Few European Countries |
Abstract
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Gilda M. Agacer, Augustine C. Arize, Ioannis N. Kallianiotis, Krishna M. Kasibhatla, John Malindretos |
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Vol 15, No 4 (2024) |
SFDR Regulation (Level 2): What Impact on the Performance of Sustainable ETFs? |
Abstract
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Valeria Roncone, Manuela Massari |
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Vol 8, No 4 (2017) |
Shareholder Value Index for Saudi Banks |
Abstract
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Sunitha Kumaran |
|
Vol 5, No 1 (2014) |
Shareholders’ Wealth and Debt- Equity Mix of Quoted Companies in Nigeria |
Abstract
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Amos O. Arowoshegbe, Francis Kehinde Emeni |
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Vol 11, No 6 (2020) |
Sharia Financial Technology in the Development of Bankable Micro Businesses |
Abstract
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Nunung Rodliyah, Recca Ayu Hapsari, Aditya Mahatidanar Hidayat, Lukmanul Hakim, Ade Oktariatas K |
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Vol 9, No 4 (2018) |
Short and Long-Run Determinants of Inflation in Saudi Arabia: A Cointegration Analysis |
Abstract
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|
Saad Mohammed Alnefaee |
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Vol 4, No 3 (2013) |
Size and Day-of-the-Week Effect in the Banking Industry: A Comparative Analysis Based on Economic Conditions |
Abstract
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Srinivas Nippani, Kenneth M. Washer, N.R. Vasudeva Murthy |
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Vol 9, No 2 (2018) |
SME Development Banks: Conceptual Framework and Empirical Analysis |
Abstract
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A. Casagrande, M. Spallone, Fabio Massimo Mango, Pina Murè |
|
Vol 12, No 2 (2021) |
Social Capital of Bank Leaders and Activities of Commercial Banks |
Abstract
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Vu Cam Nhung, Lai Cao Mai Phuong |
|
Vol 11, No 4 (2020) |
Social Media Cost and the Levels of Cash Flow Among Listed Banks in Emerging Economies in Africa |
Abstract
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Olaoluwa Elsie Umukoro, Olubukunola Ranti Uwuigbe, Imoleayo Obigbemi, Uwalomwa Uwuigbe |
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Vol 3, No 4 (2012) |
Social Responsibility Cost and Its Influence on the Profitability of Nigerian Banks |
Abstract
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Peter Kekung Bessong, Arzizeh Tiesieh Tapang |
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Vol 10, No 1 (2019) |
Social Responsible Investments and Performance |
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Giuseppe Risalvato, Claudio Venezia, Federica Maggio |
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Vol 8, No 2 (2017) |
Social Trust and Internal Control Quality - Evidence from China |
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Han Li |
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Vol 6, No 3 (2015) |
Solvency Regulation of Banks and Insurers: A Two-Pronged Critique |
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Peter Zweifel |
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Vol 12, No 3 (2021) |
Some Insights Into Financial Literacy Among Undergraduate Students: A Case of Bosnia and Herzegovina |
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Jasmina Okicic, Meldina Kokorovic Jukan, Mensur Heric |
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Vol 11, No 6 (2020) |
Sources of Financing High-Tech Projects |
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Elena Alexandrovna Rybkina, Olga Vladimirovna Demyanova, Julia Vladimirovna Babanova |
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Vol 12, No 1 (2021) |
Sources of State Revenue and State Effectiveness: The Nigerian Experience |
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Ebi Bassey Okon, Nyong Saviour Okon |
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Vol 4, No 2 (2013) |
Sources of Synergy Realization in Mergers and Acquisitions: Empirical Evidence from Non-Serial Acquirers in Europe |
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Nancy Huyghebaert, Mathieu Luypaert |
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Vol 13, No 3 (2022) |
Special Underwriter-Reputation Measuring Method From a Small Emerging Economy |
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Dhoha Mellouli, Siwar Ellouz |
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Vol 15, No 4 (2024) |
Spillovers and Correlation Among Energy Futures Markets |
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Alberto Manelli, Roberta Pace, Maria Leone |
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Vol 4, No 2 (2013) |
States as LBO Specialists: Evidence from Portugal |
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Rui Alpalhao, Paulo Alves |
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Vol 4, No 2 (2013) |
Stock Market and Economic Growth in Ghana, Kenya and Nigeria |
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Ifuero Osad Osamwonyi, Abudu Kasimu |
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Vol 11, No 5 (2020) |
Stock Market Development and Economic Growth: Empirical Evidence From an Institutional Impaired Economy |
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Maku Affor Owen |
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Vol 12, No 2 (2021) |
Stock Market Reforms and Stock Market Performance |
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Karthigai Prakasam Chellaswamy, Natchimuthu N, Muhammadriyaj Faniband |
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Vol 12, No 3 (2021) |
Stock Return Variations: The Validity of Systemic Risk, Size and Valuation as Explanatory Variables in the Lebanese Stock Market |
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Jamil Chaya, Jamil A. Hammoud, Wael A. Saleh |
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Vol 5, No 3 (2014) |
Strategic Choice on Transformation Mode of China’s Resource-based Cities |
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Jinhuang Mao |
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Vol 11, No 1 (2020) |
Strategic Costing Models as Strategic Management Accounting Techniques at Private Universities in Riau, Indonesia |
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Evi Marlina, Hendri Ali Ardi, Siti Samsiah, Kirmizi Ritonga, Amris Rusli Tanjung |
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Vol 11, No 6 (2020) |
Strategic Management System of the Territory as a Factor of Increasing Its Competitiveness Level in Financial Organizations |
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Andrey A. Vorobyev, Irina S. Glebova, Liliya V. Khafizova |
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Vol 12, No 3 (2021) |
Strategies of Sustainable Cooperative Partnerships |
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Misbahul Munir, Maretha Ika Prajawati, Basir S. |
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Vol 11, No 5 (2020) |
Strikes in Foreign Direct Investment Enterprises in the Southern Key Economic Region of Vietnam |
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Hung Van Tran |
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Vol 12, No 4 (2021) |
Students Perception About Digital Financial Services |
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Elena Moreno-Garcia, Arturo Garcia-Santillan, Damaris Platas Campero |
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Vol 3, No 1 (2012) |
Studies on the Change Mechanism of RMB Exchange Rate with Non-Recurrent Events |
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Rulu Huang |
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Vol 11, No 3 (2020) |
Study Loan Defaults Among Tertiary Graduates |
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Nor Balkish Zakaria, Muhammad Rasyid, Norazida Mohamed, Dalila Daud, Aida Maria Ismail |
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Vol 10, No 5 (2019) |
Study of the Spillover Effect on Sport to Chinese Regional Economic Development |
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Huijun Jiang, Myeong Cheol Choi, Xinke Leng |
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Vol 1, No 1 (2010) |
Study on Dynamic Configuration of the Rights of Enterprise Internal Control |
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Wei Zhong, Shilei Zhang |
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Vol 5, No 2 (2014) |
Study on Evolution of Spatial Structure of Pan-Linxia Economic Zone |
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Jing Xu |
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Vol 10, No 5 (2019) |
Study on the Development Strategy of Ant Financial |
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Ximeng Zhang, Myeong Cheol Choi |
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Vol 11, No 5 (2020) |
Subjective/ Behavioural Factors Influence the PSI 20 and IBEX 35 |
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Stefan Abrantes Costa, Pedro Manuel Nogueira Reis, Antonio Pedro Soares Pinto |
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Vol 11, No 3 (2020) |
Takaful Protection for Mental Health Illness From the Perspective of Maqasid Shariah |
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Khairil Faizal Khairi, Mohamad Subini Abdul Samat, Nur Hidayah Laili, Hisham Sabri, Mohd Yazis Ali Basah, Asmaddy Haris, Azrul Azlan Iskandar Mirza |
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Vol 10, No 3 (2019) |
Talent Management for Shariah Auditors: Case Study Evidence From the Practitioners |
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Nor Aishah Mohd Ali, Nawal Kasim |
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Vol 14, No 1 (2023) |
Tanzania’s National Financial Inclusion Framework and How It Facilitated Financial Inclusion: A Forgotten Political-Economic Story |
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Deogratius Joseph Mhella |
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Vol 12, No 1 (2021) |
Target Capital Structure of Egyptian Listed Firms: Importance of Growth and Risk Factors |
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Aly Saad Mohamed Dawood, Mahmoud Otaify |
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Vol 11, No 6 (2020) |
Tax Aggressiveness, Corporate Governance and Audit Fees: A Study of Listed Firms in Nigeria |
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E. A. Onatuyeh, I. Ukolobi |
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Vol 12, No 5 (2021) |
Tax Awareness, Taxpayers’ Perceptions and Attitudes and Tax Evasion in Informal Sector of Ekiti State, Nigeria |
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Oluyinka Isaiah Ogungbade, Adekunle Enitan, Adeleke Clement Adekoya |
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Vol 10, No 2 (2019) |
Tax Revenue and Public Service Delivery: Evidence From Nigeria |
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Cordelia Onyinyechi Omodero, Kabiru Isa Dandago |
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Vol 11, No 2 (2020) |
Taxation Income, Graft and Informal Sector Operations in Nigeria in Relation to Other African Countries |
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Cordelia Onyinyechi Omodero |
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Vol 9, No 2 (2018) |
Teaching Tax Law: Undergraduates’ Thoughts Regarding the Implementation of Six Thinking Hats Technique |
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Ufuk Gencel, Ilke Evin Gencel |
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Vol 8, No 3 (2017) |
Technical Efficiency of Manufacturing Firms in Cameroon: Sources and Determinants |
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Ernest Ngeh Tingum, Moses A. Ofeh |
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Vol 9, No 1 (2018) |
Test of Linkage between Governance Style and National Economic Indices |
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Sharlywest Uwabor Eboigbe, Innocent Okwuosa |
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Vol 7, No 2 (2016) |
Testing Explanatory Power of Two Behavioral Models for Price Continuation |
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Hsiao-Peng Fu |
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Vol 13, No 1 (2022) |
Testing Financial Contagion in Emerging Countries: Evidence From BRICS Countries |
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Olivier Niyitegeka |
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Vol 5, No 1 (2014) |
Testing International Momentum Strategies between Chinese and Australian Financial Markets |
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Santosh Mon Abraham |
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Vol 6, No 4 (2015) |
Testing the Present Value Model and Domino (Ripple) Effects for Hong Kong Private Residential Housing Prices |
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Kwok-Chiu Lam |
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Vol 7, No 1 (2016) |
The Analysis of Bank Deposits through Spatial Modelling by Provinces |
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Ozlem Deniz Basar, Elif Guneren Genc |
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Vol 5, No 3 (2014) |
The Analysis of Informal Credit Behavior in Hui Autonomous Prefecture of Linxia: The Investigation Based on Hui Autonomous Prefecture of Linxia China |
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Yihao Dong, Haiying Ma |
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Vol 8, No 1 (2017) |
The Analysis of Major Credit Risk Factors - The Case of the Vietnamese Commercial Banks |
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Nguyen Thuy Duong, Tran Thi Thu Huong |
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Vol 5, No 1 (2014) |
The Analysis on the Introduction of Islamic Financial Model in Ethnic Region in Gansu, China |
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Haiying Ma, Yike Yao |
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Vol 15, No 4 (2024) |
The Anomalous Behavior of Stock Prices on the Canadian Securities Exchange |
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Raymond A. K. Cox, Quan Cheng, Garrett R. A. Cox |
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Vol 11, No 2 (2020) |
The Attributes of Dysfunctional Audit Behavior (DAB): Second Order Confirmatory Factor Analysis |
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M. Ardiansyah Syam, Syahril Djaddang, Mulyadi ., Imam Ghozali |
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Vol 8, No 3 (2017) |
The Causal Relationship of Microfinance and Economic Development: Evidence from Transnational Data |
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Kerstin Lopatta, Magdalena Tchikov |
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Vol 12, No 3 (2021) |
The Causality Relationship Between Financial Sector Profitability and the Botswana Economy |
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Tebogo Tshepo Kubanji, Simangaliso Biza-Khupe, Mogotsinyana Mapharing |
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Vol 3, No 1 (2012) |
The CFA Franc Devaluation and Output Growth in the Franc Zone |
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Fouopi Djiogap Constant |
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Vol 7, No 3 (2016) |
The Competitive Advantages of Vietnam Footwear Industry: An Analysis |
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Xuan Thi Thanh Phan, Cuong Hung Pham, Long Pham |
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Vol 10, No 4 (2019) |
The Composition of Independent Board of Commissioner and Number of Board of Commissioner Meeting Towards Fraudulence of Financial Report (Empirical Study at Public Company Listed at Indonesia Stock Exchange in 2011-2017) |
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Sudarman -, Aniqotunnafiah -, Masruri - |
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Vol 6, No 3 (2015) |
The Construction of Investment Rationality Index |
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Xiaoyuan Chu |
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Vol 8, No 1 (2017) |
The Corporate Response to Government Attacks on Tax Shelters |
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Noel P. Brock, Edward J. Schnee, Shane R. Stinson |
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Vol 5, No 3 (2014) |
The Crisis: The Relentless Resulting of an Explosive Cycle |
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Xavier Bredart |
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Vol 7, No 5 (2016) |
The Critical Success Factors for Implementation of Electric Customer Relationship Management in the Commercial Bank of Viet Nam |
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Thuy Van Nguyen, Cuong Hung Pham |
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Vol 11, No 5 (2020) |
The Determinant of Financial Performance of Indian Public Sector Banks- A Panel Data Approach |
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Vikram Jeet, Parvesh Kumar Aspal |
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Vol 10, No 5 (2019) |
The Determinants Factors of an Effective Risk-Aware Culture of Firms in Implementing and Maintaining Risk Management Program |
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Zalina Zainudin, Shaharin Abdul Samad, Rana Altounjy |
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Vol 11, No 6 (2020) |
The Determinants of Bank Risk Taking: Evidence From Jordan |
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Ali Awartany, Khaled Alzubi |
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Vol 8, No 1 (2017) |
The Determinants of Corporate Cash Holdings: The Case of a Small Emerging Market |
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Ghada Tayem |
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Vol 5, No 4 (2014) |
The Determinants of Deposit Insurance Coverage: Evidence from 74 Countries |
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Hung Ling Chen, Edward H. Chow, Wan Yu Liu |
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Vol 10, No 5 (2019) |
The Determinants of FDI in OIC Countries |
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Sulaiman Sajilan, Muhammad Umar Islam, Mohsin Ali, Urooj Anwar |
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Vol 11, No 1 (2020) |
The Determinants of Financial Inclusion in Egypt |
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Abeer Rashdan, Noura Eissa |
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Vol 12, No 3 (2021) |
The Determinants of Islamic and Conventional Banks Profitability in the GCC Region |
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Bassam Omar Ali Jaara, Mohammad A. AL-Dahiyat, Ismail AL-Takryty |
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Vol 10, No 2 (2019) |
The Determinants of Profitability of the Pharmaceutical Industry of Bangladesh: A Random Effect Analysis |
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Md. Shahidul Islam, Muhammad Saifuddin Khan |
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Vol 5, No 2 (2014) |
The Determinants of Risk Premia in Forward Foreign Exchange (FX) Markets |
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Aziz Chouikh, Abdelwahed Trabelsi |
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Vol 11, No 6 (2020) |
The Determinants of Risk-Sharing Strategies of Food-Retailers: A Study on Chittagong, Bangladesh |
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Awlad Hosen Sagar, Md Abu Bakkar Siddik, Rubayet Hasan |
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Vol 12, No 3 (2021) |
The Determinants of Tax Revenues: Empirical Evidence From Jordan |
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Ali Mustafa Al-Qudah |
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Vol 7, No 5 (2016) |
The Determinants of the Choice of Alternative Financing Methods of SMEs in Bank Credit Rationing: Evidence from Cameroon |
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Benjamin Yamb, Noe Ndjeck |
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Vol 5, No 4 (2014) |
The Determinants of Trade Credit: A Study of Portuguese Industrial Companies |
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Juliana Santos, Armando Silva |
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Vol 6, No 3 (2015) |
The Distribution of the Burden of US Health Care Financing |
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Patricia Ketsche, E. Kathleen Adams, Sally Wallace, Viji Kannan, Harini Kannan |
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Vol 11, No 4 (2020) |
The Dynamics Between Dividends, Financing and Investments: Evidence From Jordanian Companies |
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Abdullah Al Daas, Moid U. Ahmad, Suleiman Jamal Mohammad |
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Vol 7, No 1 (2016) |
The Dynamics of Oil and Stock Prices Comovements |
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Claire G. Gilmore, Ginette M. McManus, Rajneesh Sharma, Ahmet Tezel |
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Vol 12, No 2 (2021) |
The Early Impact of Government Financial Intervention Policies and Cultural Secrecy on Stock Market Returns During the COVID-19 Pandemic: Evidence From Developing Countries |
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Fouad Jamaani, Manal Alidarous, Abdullah Al-Awadhi |
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Vol 8, No 1 (2017) |
The Economic Geography of Human Capital in Twentieth-Century Latin America |
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Enriqueta Camps, Stanley Engerman |
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Vol 10, No 5 (2019) |
The Effect of Board Diversity on Real Earnings Management: Empirical Evidence From Jordan |
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Ahmad Almashaqbeh, Hasnah Shaari, Hijattulah Abdul-Jabbar |
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Vol 11, No 6 (2020) |
The Effect of Board of Directors and Audit Committee Characteristics on Company Performance in Jordan |
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Ala Hussein Albawwat, Ammar Almansour, Mo’taz Kamel Al Zobi, Nahed Habis Alrawashedh |
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Vol 8, No 4 (2017) |
The Effect of Branchless Banking Strategy on the Financial Performance of Commercial Banks in Kenya |
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Gift Kimonge Dzombo, James M. Kilika, James Maingi |
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Vol 7, No 4 (2016) |
The Effect of Changing the Listing Level on the Information Environment of ADRs |
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Candice L. Deal |
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Vol 8, No 2 (2017) |
The Effect of Corporate Profit Tax on Attracting Foreign Direct Investment in Albania |
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Shpresa Cela |
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Vol 10, No 5 (2019) |
The Effect of Demographic Variables and Ownership on Credit Card Market in Malaysia |
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Gholamreza Zandi, Shaheen Mansori, Ong Boon Hai |
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Vol 9, No 4 (2018) |
The Effect of Director's Individual and Family Shareholdings on Firm Performance |
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Tsung-Che Wu, Ming-hsiang Huang |
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Vol 7, No 4 (2016) |
The Effect of External Debt on Inflation Rate in Kenya, 1972-2012 |
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Fredrick Tsofa Mweni, Amos Njuguna, Timothy Oketch |
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Vol 6, No 4 (2015) |
The Effect of Fair Value Accounting on Jordanian Investment Properties |
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Fadia Burhan Alhaj Ahmad, Mohammad Suleiman Aladwan |
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Vol 15, No 3 (2024) |
The Effect of Financial Inclusion on Enterprise Performance in Cameroon |
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Chwifeh Sabru Linus, Njong Mom Aloysius, Tayong Desmond Mimba |
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Vol 5, No 1 (2014) |
The Effect of Financial Leverage and Market Size on Stock Returns on the Ghana Stock Exchange: Evidence from Selected Stocks in the Manufacturing Sector |
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Prince Acheampong, Evans Agalega, Albert Kwabena Shibu |
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Vol 11, No 1 (2020) |
The Effect of Financial Leverage on The Islamic Banks’s Performance in The Gulf Cooperation Council (GCC) Countries |
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Abdesslam Menacer, Abdulazeez Y. H. Saif-Alyousfi, Nor Hayati Ahmad |
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Vol 12, No 1 (2021) |
The Effect of Financial Performance on the Profitability of Food and Beverage Companies in Indonesia |
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Herdiyana Herdiyana, Adi Sumarno, Endri Endri |
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Vol 11, No 1 (2020) |
The Effect of Financial Ratios Derived From Operating Cash Flows on Jordanian Commercial Banks Earnings per Share |
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Laith Abdel Rahman Abualrob, Sanaa N. Maswadeh |
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Vol 11, No 5 (2020) |
The Effect of International Currency Crises on the Balance of Payments: Evidence From Jordan |
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Tamer Rawashdeh, Mahmoud Al-Rdaydeh, Basem Hamouri |
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Vol 11, No 2 (2020) |
The Effect of Inventory Turnover Period on the Profitability of Listed Nigerian Conglomerate Companies |
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Sunusi Garba, Boudiab Mourad, Muhammad Adamu Chamo |
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Vol 11, No 2 (2020) |
The Effect of Knowledge, Promotion, and Religiosity on Intention to Use Islamic Banking Services |
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Kardoyo ., Ahmad Nurkhin, Muhsin ., Hasan Mukhibad, Fatmala Dewi Aprilia |
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Vol 12, No 3 (2021) |
The Effect of Net Income and Other Comprehensive Income on Future’s Comprehensive Income With Attribution of Comprehensive Income as Moderating Variable |
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Marhaendra Kusuma, Diana Zuhroh, Prihat Assih, Grahita Chandrarin |
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Vol 12, No 3 (2021) |
The Effect of Number of Visitors, Tourist Destinations, Hotel Room Tax and Accommodations on Original Local Government Revenue: Case Study West Sumatra Province, Indonesia |
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Lusiana Lusiana, Mondra Neldi, Sigit Sanjaya, Zefriyenni Zefriyenni |
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Vol 10, No 6 (2019) |
The Effect of Public Share Ownership on Tax Evasion: Study on Companies Listed in Indonesia Stock Exchange Between 2008-2011 |
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Muhammad Ikbal Abdullah, Andi Chairil Furqan, Ni Made Suwitri Parwati, Asmanurhidayani Asmanurhidayani |
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Vol 4, No 1 (2013) |
The Effect of Quality Management Practices on Organizational Performance in Jordan: An Empirical Study |
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Ali Bakhit Jaafreh, Abedalfattah Z. Al-abedallat |
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Vol 11, No 4 (2020) |
The Effect of the Arab Spring on the Performance of Islamic and Conventional Banks in Egypt: Which Model Performs Better Amidst Crisis? |
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Zar-Tashiya Khan, Andres Ramirez, David Ketcham |
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Vol 11, No 1 (2020) |
The Effect of the Global Financial Crisis on the Profitability of Islamic Banks in UAE |
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Mukdad Ibrahim |
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Vol 7, No 1 (2016) |
The Effect of the Perception of Deposit Bank Rate, Quality of Service, and the Using of Banking Technology towards Rural Fellow’s Interest to Save Money in Bank Rakyat Indonesia Inc. Unit Wates – Blitar |
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Ria Prasetyo, Dwi Wulandari, Imam Mukhlis |
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Vol 11, No 4 (2020) |
The Effect of the Relationship Between Cash Flows From Operating Activities and Earnings per Share in Jordan |
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Yaser Mohd Ahmed Hamshari |
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Vol 13, No 4 (2022) |
The Effect of the Use of Solidarity Financing on Entrepreneurial Activities in the North West and South West Regions of Cameroon |
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Mbinkar Wiysanyuy Benard, Robinson Eydis Olsen |
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Vol 10, No 6 (2019) |
The Effect of Total Quality Management on University Performance in Jordan |
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Khaled Alzeaideen |
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Vol 10, No 5 (2019) |
The Effect of Tourism Towards the Food Security Issues to the Urban Poor in Sarawak, Malaysia: A Conceptual Approach |
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Muhammad Shahrin Hashim, Azizan Mohamed Isa, Ami Suhana Menon, Norwani Mohd Nazari |
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Vol 10, No 3 (2019) |
The Effect of Transparency, Competency and Religiosity on Public Officers’ Ethical Behaviour |
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Mazurina Mohd Ali, Nurul Izzah Mohamed Azam, Erlane K Ghani |
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Vol 12, No 3 (2021) |
The Effect of Using Accounting Measurement Bases (Cash and Accrual) on the Performance of the Industrial Companies Listed on Palestine Stock Exchange |
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Omar Abed Awad Joudeh, Firas S. Q. Barakat, Oroubah A. R. Mahmoud |
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Vol 6, No 4 (2015) |
The Effect of Using Financial Derivatives on Firms’ Capital Structure |
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Ghada Almunajem |
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Vol 11, No 2 (2020) |
The Effect of Using Securitization on the Stability and the Risk of Banks: Evidence From Emerging Countries |
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Mohamed Rochdi Keffala, Amal Farjaoui |
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Vol 12, No 1 (2021) |
The Effects of COVID-19 Pandemic on the Economies of the Gulf Cooperation Council States due to Low Oil Prices |
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Khaled Abdalla Moh'd AL-Tamimi |
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Vol 11, No 2 (2020) |
The Effects of Ethical Factors in Financial Statement Examination: Ethical Framework of the Input Process Output (IPO) Model in Auditing System Basis |
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Andi Agus, Nurna Aziza |
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Vol 11, No 1 (2020) |
The Effects of Financial and Political Risks on Economic Risk in Southern European Countries: A Dynamic Panel Analysis |
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Dervis Kirikkaleli, Kelvin Onyibor |
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Vol 7, No 2 (2016) |
The Effects of Foreign and Illegal Labourers Phenomenon on the Availability of Employment Opportunities for the Saudi Youth in the City of Jeddah |
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Nayef Al-Ghamri |
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Vol 11, No 4 (2020) |
The Effects of Managerial Ownership, Institutional Ownership, and Profitability on Capital Structure: Firm Size as the Moderating Variable |
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Muhammad Khafid, Rida Prihatni, Ira Eva Safitri |
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Vol 10, No 5 (2019) |
The Effects of Self-Esteem and Influence of Friends via Social Media on Body Image Amongst Children |
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Arman Hj Ahmad, Izian Idris, Regina Moy Li Jing |
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Vol 7, No 2 (2016) |
The Effects of Tariff Policy under the Fixed Exchange Rate Regime |
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Chung-Fu Lai |
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Vol 10, No 5 (2019) |
The Effects of Work-Family Enrichment on Job and Life Satisfaction of Korean Employees |
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Tae Sik Rhee, Fusheng Zheng |
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Vol 11, No 2 (2020) |
The Efficiency of Applying the Internal Control Components Based on COSO Framework to Transparently Carry out Tasks and Services, Ensure Integrity and Enhance Quality and Efficiency: Case Study - The Greater Amman Municipality |
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Ola Muhammad Khersiat |
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Vol 5, No 3 (2014) |
The Empirical Measurement of Interest Rate Risk of China’s Commercial Banks in the Process of Interest Rate Liberalization |
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Binjia Yang, Gendi Wen |
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Vol 4, No 1 (2013) |
The Extent and Forms of Voluntary Disclosure of Financial Information on Internet in Nigeria: An Exploratory Study |
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Mary Kehinde Salawu |
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Vol 9, No 4 (2018) |
The Extent of Disclosure for Corporate Social Responsibility in the Financial Reports of Jordanian Pharmaceutical Companies |
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Ashraf Bataineh, Huthaifa Al-Karasneh, Bassam Aldaibat |
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Vol 5, No 4 (2014) |
The Fisher Hypothesis and Investment Assets: The Vietnamese and Thai Case |
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Dalina Amonhaemanon, Jan Annaert, Marc J.K. De Ceuster, Hau Le Long |
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Vol 9, No 2 (2018) |
The Fourth Industrial Revolution: Opportunities and Challenges |
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Min Xu, Jeanne M. David, Suk Hi Kim |
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Vol 9, No 2 (2018) |
The Global Single and Regulated Market Framework of Financial Products and the International Economic Policies: Mathematical Approach of the Model |
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Athanasios G. Panagopoulos, Thomas Chatzigagios, Ioannis Dokas |
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Vol 11, No 6 (2020) |
The Impact and Contribution of FDI to Saudi Economy During King Abdullah Regime |
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Khaled Jadeaf Alanazi, Salawati Mat Basir |
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Vol 2, No 1 (2011) |
The Impact of Advertising on Fund Flows in Alternative Distribution Channels |
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Jeffrey J. Yankow, Thomas I. Smythe, Vance P. Lesseig, Michael A. Jones |
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Vol 12, No 3 (2021) |
The Impact of Audit Committee Performance and Composition on Financial Reporting Quality in Jordan |
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Qasim Ahmad Alawaqleh, Nashat Ali Almasria |
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Vol 11, No 3 (2020) |
The Impact of Board Characteristics on Co-operative Reputation From the Lense of Resource-Based View Theory (RBVT) |
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Aida Maria Ismail, Siti Muliyana Ahmadi, Normahiran Yatim, Puteh Mariam Ismail |
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Vol 5, No 3 (2014) |
The Impact of Corporate Governance on Non Financial Performance in Jordanian Commercial Banks and Islamic Banks |
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Suleiman Hussein Al-Beshtawi, Omar Mohammed Zraqat, Hamdan Moh’D Al –Hiyasat |
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Vol 12, No 2 (2021) |
The Impact of Corporate Governance on the Profitability of Insurance Firms in Syria |
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Souzan M. Kabbani, Essam K. Zaneldin |
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Vol 12, No 4 (2021) |
The Impact of Corporate Performance on Mental Accounting and Loss Aversion in Financial Decisions |
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Mona Hassabelrasoul Mohammad, Dalal Mohamed Ebrahim Mohamed, Elsaid Abd Elazim Tolba Elsharkawi |
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Vol 11, No 5 (2020) |
The Impact of Earnings Management on Dividend Policy: Evidence From Kuwait |
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Sinan S. Abbadi, Murad Y. Abuaddous, Hanady T. Bataineh, Abdulla E. Muttairi |
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Vol 6, No 1 (2015) |
The Impact of Earnings Quality on the Cost of Equity: Evidence from Privatized Firms |
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Hamdi Ben-Nasr, Abdullah Mohammed Al-Dakheel |
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Vol 7, No 2 (2016) |
The Impact of External Debt and Foreign Direct Investment on Economic Growth: Empirical Evidence from Tanzania |
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Moga Tano Jilenga, Helian Xu, Igor-Mathieu Gondje-Dacka |
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Vol 2, No 2 (2011) |
The Impact of FDIs Flows on the Nigerien Economic Growth |
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Ousseini Hamadou |
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Vol 12, No 1 (2021) |
The Impact of Financial Development on Corporate Performance: Theory and Evidence |
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Thu-Trang Thi Doan, Toan Ngoc Bui |
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Vol 11, No 4 (2020) |
The Impact of Foreign Direct Investment on Financial Market Development: The Case of Jordan |
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Buthiena Kharabsheh, Ahlam Aldaher |
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Vol 3, No 4 (2012) |
The Impact of Human Capital Cost on Gross Domestic Product (GDP) in Nigeria |
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Sunday O. Effiok, Arzizeh Tiesieh Tapang, Okon E. Eton |
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Vol 11, No 4 (2020) |
The Impact of Intellectual Capital on Firm Value: Empirical Evidence From Vietnam |
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Anh Huu Nguyen, Duong Thuy Doan |
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Vol 7, No 4 (2016) |
The Impact of Macroeconomic Factors on Credit Risk in Conventional Banks and Islamic Banks: Evidence from Indonesia |
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Huey-Yeh Lin, Nuraeni Hadiati Farhani, Meihua Koo |
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Vol 12, No 2 (2021) |
The Impact of Market Timing on European Firms’ Capital Structure: RLBOs vs. IPOs |
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Fadoua Kouki |
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Vol 7, No 4 (2016) |
The Impact of Oil Price Shocks on the Economic Growth and Development of Cross River State, Nigeria |
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Amenawo Ikpa Offiong, Ignatius Ahmed Atsu, Edward Ajaude, Bassey Ina Ibor |
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Vol 15, No 3 (2024) |
The Impact of Political Contributions and Election Bets on Abnormal Stock Returns and Shareholder Equity in Taiwan's Presidential Elections |
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Ai-Chi Hsu, Jing-Long Yu, Tse-Mao Lin |
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Vol 11, No 4 (2020) |
The Impact of Political Stability on the Effectiveness of the Early Warning Systems in Predicting the Financial Crises: The Case of Jordan and Qatar |
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Baker Shnekat, Ghazi Al-Assaf |
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Vol 9, No 4 (2018) |
The Impact of Restrictive Measures on the Price Discovery Function of Stock Index Futures – Evidence From CSI 500 Stock Index Futures |
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Maoguo Wu, Zhehao Zhu |
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Vol 12, No 4 (2021) |
The Impact of Serious Safety Incidents on Airline Stocks |
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Jeffery A. Born |
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Vol 11, No 5 (2020) |
The Impact of Social and Positive Psychological Capital on the Efficiency: A Field Study From the Perspective of Jordanian Auditors of the Performance of Audit Offices |
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Saqer S. Al-Tahat, Osama A. Ali, Nourdeen M. Abu Nqira, Tharwat M. Alhawamdeh, Faris S. Al-Qadi |
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Vol 12, No 3 (2021) |
The Impact of Social Enterprises: A Bibliometric Analysis From 1991 to 2020 |
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Faraudello Alessandra, Barreca Manuela, Iannaci Daniel, Lanzara Federica |
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Vol 6, No 2 (2015) |
The Impact of Stock Market Structure on Volatility: Evidence from a Call Auction Suspension |
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Silvio John Camilleri |
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Vol 6, No 1 (2015) |
The Impact of Stock Price and Real Estate Price Shocks on Consumption: The Thai Experience |
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Dalina Amonhaemanon |
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Vol 9, No 3 (2018) |
The Impact of Tax Deduction Ratio Reduction on Dividend Payouts Under the Integrated Tax System: Evidence From Taiwan |
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Sue-Tzeng Chuang, Ying-Hsiang Chen, Ching-Chieh Lin, Wen-Chih Lee |
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Vol 9, No 4 (2018) |
The Impact of Technological Innovation on Corporate Performance: Evidence From the Communication and Cultural Industry in China |
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Maoguo Wu, Nan Gu |
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Vol 5, No 3 (2014) |
The Impact of the Financial Crisis on the Islamic Banks Profitability - Evidence from GCC |
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Mousa Almanaseer |
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Vol 4, No 1 (2013) |
The Impact of the Goods and Services Tax on Mortgage Costs: Evidence from Australian Mortgage Corporations |
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Allen Huang, Benjamin Liu |
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Vol 12, No 2 (2021) |
The Impact of Trade Openness and Foreign Direct Investment on Economic Welfare in sub-Saharan Africa |
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Folasade Bosede Adegboye, Olumide Sunday Adesina, Felicia Omowunmi Olokoyo, Stephen Aanu Ojeka, Victoria Abosede Akinjare |
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Vol 11, No 6 (2020) |
The Impact of Unconventional Monetary Policies on the Stocks of Bank Deposits: Evidence at an Aggregate Level in the Euro Area |
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Paolo Agnese, Paolo Capuano, Luca Secondi |
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Vol 9, No 1 (2018) |
The Impact of Unsystematic Risk on Stock Returns in an Emerging Capital Markets (ECM’s) Country: An Empirical Study |
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Mohamed Masry, Heba El Menshawy |
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Vol 10, No 5 (2019) |
The Impact of Young Celebrity Endorsements in Social Media Advertisements and Brand Image Towards the Purchase Intention of Young Consumers |
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Arman Hj Ahmad, Izian Idris, Cordelia Mason, Shenn Kuan Chow |
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Vol 11, No 5 (2020) |
The Implementation of Balanced Scorecard in Jordanian Islamic Banks |
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Thaer Faisal Abdelrahim Qushtom |
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Vol 7, No 2 (2016) |
The Importance of Being Steve: An Econometric Analysis of the Contribution of Steve Jobs’s Patents to Apple’s Market Valuation |
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Daniel K.N. Johnson, Sylvie Scowcroft |
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Vol 10, No 5 (2019) |
The Importance of Green Energy Consumption and Agriculture in Reducing Environmental Degradation: Evidence From Sub-Saharan African Countries |
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Gholamreza Zandi, Muhammad Haseeb |
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Vol 7, No 5 (2016) |
The Importance of Human Inequalities and Health Care Quality in Life Expectancy of Countries |
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Orhan Kandemir |
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Vol 9, No 4 (2018) |
The Incidence of Social Security Payroll Taxes: Evidence From China |
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Xinxin Ma, Dongyang Zhang |
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Vol 12, No 2 (2021) |
The Influence of Auditor Opinion, Audit Committee, Discretionary Accrual on Corporate Performance and Cumulative Abnormal Return (Evidence From Indonesia Stock Exchange) |
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Indrayati Indrayati, Basuki Rahmat, Kuni Utami Handayawati |
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Vol 10, No 3 (2019) |
The Influence of Competency, Usage of It and Career Expectation on Internal Auditor’s Effectiveness in Ggovernment Linked Companies (GLCs) |
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Sharifah Nazatul Faiza Syed Mustapha Naz, Mohd Ikram Abdul Rasib, Salwa Zolkifli |
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Vol 12, No 1 (2021) |
The Influence of Growth Opportunities on IPO Initial Aftermarket Performance |
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Norliza Che-Yahya, Siti Suhaila Abdul-Rahman |
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Vol 10, No 5 (2019) |
The Influence of Information Acceptance on Information Use Performance in the Case of Vulnerable Classes |
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Soonduck Yoo, Jong-Sun Park |
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Vol 10, No 3 (2019) |
The Influence of Work Overload, Time Pressure and Social Influence Pressure on Auditors’ Job Performance |
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Razana Juhaida Johari, Nordayana Sri Ridzoan, Arumega Zarefar |
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Vol 11, No 4 (2020) |
The Influential Factors on Capital Structure: A Study on Portuguese High Technology and Medium-High Technology Small and Medium-Sized Enterprises |
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Yehui Tong, Zelia Serrasqueiro |
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Vol 10, No 5 (2019) |
The Integrity of Local Enforcement Officers: Self Proclaim vs Colleague Perception |
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Nor Balkish Zakaria, Muhammad Farhan Nordin, Rahimah Mohamed Yunos, Jamaliah Said |
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Vol 10, No 6 (2019) |
The Interaction of Market Risk and Idiosyncratic Risk on Equity Mutual Fund Returns |
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John Murugesu, Chandra Sakaran |
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Vol 11, No 6 (2020) |
The Internal Control System as a Management Function and the Element of Integrated Reporting Financial Statements |
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Lyubov Plotnikova, V. V. Rubanov |
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Vol 8, No 2 (2017) |
The Interplay between Dividends and Leverage inside Commercial Banks |
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Silvia Bressan |
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Vol 11, No 4 (2020) |
The Intervening Effect of the Dividend Policy on Financial Performance and Firm Value in Large Indonesian Firms |
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Perdana Wahyu Santosa, Ovinda Aprilia, Martua Eliakim Tambunan |
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Vol 12, No 4 (2021) |
The Investment in Fixed Assets Before and After the Global Financial Crisis (Empirical Study for Industry and Investment Sector in Palestine Stock Exchange) |
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Tamer Bahjat Sabri |
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Vol 11, No 6 (2020) |
The Justice of Tax Amnesty and Tax Compliance: Empirical Study in Indonesia |
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Nur Sayidah, Sri Suryaningsum, Sri Luna Murdianingrum, Aminullah Assagaf, Hadi Sugiyanto |
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Vol 11, No 3 (2020) |
The Likelihood of Fraudulent Financial Reporting: The New Implementation of Malaysian Code of Corporate Governance (MCCG) 2017 |
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Siti Fadilah Bt Mat Zin, Marziana Madah Marzuki, Nik Kamaruzaman Hj Abdulatiff |
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Vol 5, No 4 (2014) |
The Link between Financial System and Economics: Functions of the Financial System, Financial Crises, and Policy Implications |
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Serpil Kahraman Akdogu, Mehmet Umutlu |
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Vol 2, No 2 (2011) |
The Managerial Control Types of Conglomerates and Firm Performance |
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Hsiang-Tsai Chiang, Mei-Chih Lin |
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Vol 11, No 2 (2020) |
The Manufacture and Service Companies Differ Leverage Impact to Financial Performance |
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Intan Shaferi, Sugeng Wahyudi, Wisnu Mawardi, Riskin Hidayat, Intan Puspitasari |
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Vol 10, No 5 (2019) |
The Mediating Effect of Attitude on Customers’ Behavioural Intention to Participate in Islamic Banking: Empirical Evidence |
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Ibrahim Abiodun Oladapo, Normah Omar, Ruhaini Muda, Abdulazeez Adewuyi Abdurraheem |
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Vol 11, No 4 (2020) |
The Mediating Effect of Crisis Management on Leadership Styles and Hotel Performance in Jordan |
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Raed Hussam Alzoubi, Amar Hisham Jaaffar |
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Vol 12, No 1 (2021) |
The Mediating Effect of External Audit Quality on the Relationship Between Corporate Governance and Creative Accounting |
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Nofan Hamed Al-Olimat, Mohannad Obeid Al Shbail |
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Vol 11, No 2 (2020) |
The Mediating Effect of Intellectual Capital Disclosure Between Firm Characteristics and Firm Value: Empirical Evidence From Indonesian Company With Non-recursive Model Analysis |
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Toni Heryana, Sugeng Wahyudi, Wisnu Mawardi |
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Vol 11, No 4 (2020) |
The Mediating Role of the Capital Structure, Growth Rate, and Dividend Policy in the Relationship Between Return on Equity and Market to Book Value |
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Farouq Altahtamouni, Reem Matahen, Amna Qazaq |
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Vol 13, No 2 (2022) |
The Mediation Effect of Country Risk in the Nexus Between Stock Market Development and Economic Growth: Evidence From Developing Countries |
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Hassan El-Sady, Amira Ragab, Dina Mohsen |
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Vol 8, No 4 (2017) |
The Merits of Specialized Microfinance Instruments and Their Feasibility in Alleviating Poverty in Albany-Dougherty County, Georgia |
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Amaechi N. Nwaokoro, Abiodun Ojemakinde, Lee Washington |
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Vol 12, No 1 (2021) |
The Moderating Effect of Leaders’ Experience on Leadership Styles and Crisis Management in the Jordanian Hotel Sector |
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Raed Hussam Alzoubi, Amar Hisham Jaaffar |
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Vol 12, No 3 (2021) |
The Moderating Effect of Non-audit Services Fee on Aggressive Tax Planning: Empirical Evidence From Malaysian Listed Companies |
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Rosmaria Jaffar, Chek Derashid, Roshaiza Taha |
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Vol 7, No 2 (2016) |
The Monthly Effect and the Day of the Week Effect in the American Stock Market |
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Bing Xiao |
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Vol 4, No 2 (2013) |
The NASDAQ Restructuring: Do Names Even Matter? |
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Kevin D. Broom |
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Vol 5, No 2 (2014) |
The New Ways to Raise Capital: An Exploratory Study of Crowdfunding |
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Matteo Rossi |
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Vol 9, No 3 (2018) |
The Nexus Between the Elasticity of Intertemporal Substitution and the Coefficient of Relative Risk Aversion |
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Samih Antoine Azar |
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Vol 8, No 2 (2017) |
The Nonlinear Dynamic Relationship between Stock Prices and Exchange Rates in Asian Countries |
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Ryuta Sakemoto |
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Vol 5, No 2 (2014) |
The Path Selections of the Resource-based Cities Transformation in China |
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Jinhuang Mao |
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Vol 11, No 6 (2020) |
The Performance of Environmental, Social, and Governance Investment in Thailand |
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Chayakrit Asvathitanont, Nopphon Tangjitprom |
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Vol 5, No 2 (2014) |
The Performance of Saudi Banking Industry 2000 -2011: Have the Banks Distinguished Themselves from One Another? |
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Bukhari M. S. Sillah, Imran khokhar, Muhammad Nauman Khan |
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Vol 11, No 2 (2020) |
The Personality Factor of Conscientiousness on Skills Requirement and Fraud Risk Assessment Performance |
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Ala'a Zuhair Mansour, Aidi Ahmi, Oluwatoyin Muse Johnson Popoola |
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Vol 10, No 3 (2019) |
The Predictors and Consequences of Personal Norms in Context of Organic Food Among Pakistani Consumers |
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Yawar Abbas Sandhu, Selvan a/l Perumal, Waida Irani Mohd Fauzi |
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Vol 12, No 1 (2021) |
The Process of Management and Control of Feasibility Planning of Road Construction Using the Financial Information System |
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Gulnara A. Gareeva, Diana R. Grigoreva, Ilnur I. Mahmutov |
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Vol 5, No 2 (2014) |
The Relation between Disclosure Quality and Information Asymmetry: Empirical Evidence from Iran |
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Dariush Bahmani |
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Vol 15, No 1 (2024) |
The Relationship Between Corporate Governance and Earnings Management: Evidence From Bangladesh |
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Md Helal Uddin |
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Vol 11, No 5 (2020) |
The Relationship Between Corporate Social Responsibility and Corporate Financial Performance: A Moderating Effect of Economic Policy Uncertainty |
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Van-Thi Dao, Manh-Trung Phung, Hongwei Cheng |
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Vol 11, No 1 (2020) |
The Relationship Between Human Capital and Financial Development: A Case Study of Turkey |
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Mehmet Nar |
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Vol 10, No 5 (2019) |
The Relationship Between Job Uncertainty and Job Satisfaction: The Moderating Effect of Charismatic Leadership, Organizational Communication, and Self-Efficacy |
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Wanye Cheng, Sang Woo Hahm |
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Vol 10, No 2 (2019) |
The Relationship Between Knowledge, Trust, Intention to Pay Zakah, and Zakah-Paying Behavior |
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S. Martono, Ahmad Nurkhin, Fatimah Luthfiyah, Fachrurrozie Fachrurrozie, Ahmad Rofiq, Sumiadji Sumiadji |
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Vol 7, No 5 (2016) |
The Relationship between Listing Requirements and Market Quality: An Examination Using NASDAQ’s Tiered Market Structure |
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Kevin D. Broom, Jason S. Turner |
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Vol 11, No 5 (2020) |
The Relationship Between of Cash Flows (Financing, Investment and Operating) and Stock Prices, Size of the Firms |
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Tamer Bahjat Sabri, Khalid Mohammad Hasan Sweis, Issam Naim Mahammad Ayyash, Yasmeen Faheem Asaad Qalalwi, Israa Sami Abbas Abdullah |
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Vol 12, No 3 (2021) |
The Relationship Between Profitability and Firm Value: Evidence From Manufacturing Industry in Indonesia |
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Bambang Sudiyatno, Elen Puspitasari, Ida Nurhayati, Tristiana Rijanti |
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Vol 9, No 1 (2018) |
The Relationship between the Market Value Added of SMEs Listed on AIM Italia and Internal Measures of Value Creation The Role of Corporate Strategic Planning |
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Andrea Quintiliani |
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Vol 7, No 1 (2016) |
The Relationship between Total Production and Public Spending in Mexico: Keynes versus Wagner |
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Isaac Sanchez-Juarez, Rosa M. Garcia Almada, Hector Barajas Bustillos |
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Vol 11, No 3 (2020) |
The Relationships Between Managerial Overconfidence, Audit Committee, CEO Duality and Audit Quality and Accounting Misstatements |
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Nadiah Amirah Nor Azhari, Suhaily Hasnan, Zuraidah Mohd Sanusi |
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Vol 12, No 2 (2021) |
The Relative Importance of Financial Ratios in Making Investment and Credit Decisions in Jordan |
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Mohammad Ahmad Alqam, Haitham Yousef Ali, Yaser Mohd Hamshari |
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Vol 14, No 2 (2023) |
The Restraining Effect of Human Capital Mismatch and Structure Distortion on Economic Growth -- A New Structural Economics Analysis |
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Chenyang Li |
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Vol 11, No 5 (2020) |
The Role of Business Strategies and Financial Decisions in Preparing for International Market Entry and Improving SMEs’ Performance: An Entrepreneurial Finance Perspective |
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Harjum Muharam, Maria Rio Rita, Isfenti Sadalia, Asep Mulyana, Mohamad Nur Utomo |
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Vol 11, No 4 (2020) |
The Role of Corporate Governance on the Relationship Between IFRS Adoption and Earnings Management: Evidence From Bangladesh |
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Mohammad Tariq Hasan, Azhar Abdul Rahman |
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Vol 13, No 4 (2022) |
The Role of Digital Banking Services on Commercial Banks Performance in Somalia: A Descriptive and OLS Approach |
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Abdulkadir Mohamed Nur |
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Vol 11, No 2 (2020) |
The Role of External Audit in View of Sudden Financial Collapses on the Jordanian Commercial Banks Sector |
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Ayman Saleh Mustafa Harb |
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Vol 10, No 4 (2019) |
The Role of Foreign Directors in Corporate Risk Disclosure: Empirical Evidence From Jordan |
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Malek Hamed Alshirah, Azhar Abdul Rahman, Ifa Rizad Mustapa |
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Vol 7, No 2 (2016) |
The Role of Industry Effect and Market States in Taiwanese Momentum |
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Hsiao-Peng Fu |
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Vol 11, No 4 (2020) |
The Role of Profitability in the Effect of Company Growth on the Debt Policy |
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Akhmadi Akhmadi, Dabela Yunia, Robiyanto Robiyanto |
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Vol 11, No 4 (2020) |
The Role of Quality of Work Life in Organizational Commitment in Islamic Banks |
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Mahmoud Ali Alrousan, Shireen Mahmoud AlAli |
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Vol 7, No 4 (2016) |
The Role of Real Estate Derivatives in Hedging Real Estate: An Empirical Analysis of the U.S. Commercial Market |
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Cem Berk |
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Vol 11, No 4 (2020) |
The Role of Shariah Auditor in Islamic Banks: The Effect of Shariah Governance Framework (SGF) 2011 |
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Mohd Rushdan Yasoa', Wan Amalina Wan Abdullah, Wan Anisah Endut |
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Vol 10, No 6 (2019) |
The Role of Small and Medium Enterprises (SMEs) in Employment Generation and Economic Growth: A Study of Marble Industry in Emerging Economy |
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Lara Al-Haddad, Muhammad Safdar Sial, Imdad Ali, Rahmat Alam, Nguyen Vinh Khuong, Thai Hong Thuy Khanh |
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Vol 1, No 1 (2010) |
The Role of Stock Market Development in Economic Growth: Evidence from Some Euronext Countries |
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Ake Boubakari, Dehuan Jin |
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Vol 6, No 4 (2015) |
The Role of Taxation Education on Taxation Knowledge and Its Effect on Tax Fairness as well as Tax Compliance on Handicraft SMEs Sectors in Indonesia |
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Imam Mukhlis, Sugeng Hadi Utomo, Yuli Soesetio |
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Vol 10, No 5 (2019) |
The Role of Trade Liberalization in Carbon Dioxide Emission: Evidence From Heterogeneous Panel Estimations |
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Gholamreza Zandi, Muhammad Haseeb |
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Vol 11, No 6 (2020) |
The Role of Zakat in Establishing Social Welfare and Economic Sustainability: The Case of Saudi Arabia |
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Aysha N. Al-Salih |
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Vol 12, No 3 (2021) |
The Roles of the Government Internal Control System to Minimize Corruption Through the Fraud Star |
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Haryono Umar, Ulfah Apriani, Rahima Br. Purba |
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Vol 11, No 6 (2020) |
The Simultaneous Effect of Corporate Ownership on Dividends and Capital Structure: Malaysian Evidence |
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Mousa Sharaf Adin Hezam Saleh, Yusnidah Ibrahim, Hanita Kadir Shahar |
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Vol 6, No 2 (2015) |
The Situation and Countermeasures of Accounting Teaching in China |
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Jinyu Yang |
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Vol 14, No 1 (2023) |
The Size Effect and the Value Effect in the American Stock Market |
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Bing Xiao |
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Vol 3, No 3 (2012) |
The Strategic Transformation of Automobile Industry in China |
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Som Techakanjanakit, Meifang Huang |
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Vol 4, No 1 (2013) |
The Structural Approach and Default Risk |
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Arsalan Azamighaimasi |
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Vol 10, No 5 (2019) |
The Sustainability of Muslim Women Entrepreneurs: A Case Study in Malaysia |
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Endi Rekarti, Zakaria Bahari, Normaisarah M. Zahari, Caturida Meiwanto Doktoralina, Nor Asariah Ilias |
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Vol 8, No 1 (2017) |
The Taxation of Environmental Pollution: A Model for Tax Revenue-Environmental Quality Tradeoffs |
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Hung-Ming Peter Wu, Keith D. Willett |
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Vol 7, No 2 (2016) |
The Teaching of Financial Services Regulation: A Contextual View |
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John. A. Consiglio |
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Vol 7, No 4 (2016) |
The Use of Gulf Cooperation Council Currencies in Carry Trade: A Case Study of United Arab Emirates Dirham |
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Musaed AlAli |
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Vol 14, No 1 (2023) |
The Vanishing Role of IFRS Application on the Performance of Saudi Arabian IPO Companies |
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Fouad Jamaani |
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Vol 10, No 4 (2019) |
The Volatility Spillover Effect Between the International Crude Oil Futures Price and China’s Stock Market - Multivariate BEKK-GARCH Model Based on Wavelet Multiresolution |
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Maoguo Wu, Zhehao Zhu |
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Vol 11, No 5 (2020) |
The Volume of Issuance of Government Islamic Securities SR-007 Series, 2015–2018 |
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Rima Ayu Shintyawati, Caturida Meiwanto Doktoralina, Nurhasanah Nurhasanah, Sri Anah |
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Vol 10, No 5 (2019) |
The Way to Improve Employees' Job Satisfaction in Korean Social Enterprises: The Moderating Effects of Person-Organization Fit, Person-Job Fit, and Person-Supervisor Fit |
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Xiu Jin, Sang Woo Hahm |
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Vol 4, No 3 (2013) |
Theoretical and Analytical Study of Tax Law in Jordan According to the: Income Tax and Sales Tax and Its Relationship with Revenues and Tax Evasion |
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Saeed Mikhled Ahmad Al-Naimat |
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Vol 3, No 1 (2012) |
Theoretical Research of the Urban Comprehensive Carrying Capacity in the Epoch of Urbanization |
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Changliang Li, Lina Lian |
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Vol 10, No 5 (2019) |
Theorizing Servitisation for SME Performance |
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Arman Hj. Ahmad, Norsida Shafaruddin, Ridzuan Masri, Normy Rafida Abd Rahman, Wan Sabri Wan Hussin |
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Vol 8, No 1 (2017) |
Tick Size Reduction and the Components of the Bid-Ask Spread on the Taiwan Stock Exchange |
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Su-Wen Kuo |
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Vol 10, No 5 (2019) |
Time Series Analysis to Predicting Demand of Roasted Coffee Production |
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Agatha Rinta Suhardi, Shendy Amalia, Shinta Oktafien, Siska Ayudia Adiyanti, Siti Komariah, Titto Rohendra |
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Vol 5, No 2 (2014) |
Top Executives’ Ability and Earnings Quality: Evidence from the Chinese Capital Markets |
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Han Li |
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Vol 7, No 3 (2016) |
Top Management Support, Organizational Learning, Innovative Behavior, Employee Commitment and Organizational Performance of Manufacturing Companies in Hai Phong |
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Tuyen Khac Pham, Cuong Hung Pham, Long Pham |
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Vol 7, No 3 (2016) |
Total Quality Management and Financial Performance of Construction Companies in Ha Noi |
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Anh Duy Nguyen, Cuong Hung Pham, Long Pham |
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Vol 8, No 1 (2017) |
Toward the Future EU Growth: Capital Markets Union and Structural Reforms |
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Antonin Rusek |
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Vol 11, No 5 (2020) |
Trade Facilitation Effects on International Trade: Evidence From Lower-Middle and Upper-Middle-Income Countries |
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Alassane D. Yeo, Aimin Deng, Todine Y. Nadiedjoa |
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Vol 10, No 2 (2019) |
Trading the Dream: Does Social Media Affect Investors’ Activity - The Story of Twitter, Telegram and Reddit |
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Tiran Rothman |
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Vol 11, No 6 (2020) |
Transactions Volume, Exchange Direction and Asymmetry of Volatility in Emerging Market: Evidence From Tunisian Stock Exchange |
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Jaber Yasmina |
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Vol 5, No 1 (2014) |
Transitory Debt: Evidence from Borsa Istanbul |
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Emrah Arioglu, Turgut Curuk, Yildirim Beyazit Onal |
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Vol 11, No 2 (2020) |
Transmission of Information of the Indonesian Dual Listed Shares |
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Randi Anto, Irene Rini Demi Pangestuti |
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Vol 9, No 2 (2018) |
Transparency and Accountability in Public Financial Management: A Stewardship Account at Kano State Ministry of Finance, Nigeria |
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Kabiru Isa Dandago |
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Vol 12, No 4 (2021) |
Treasury Single Account Policy and Revenue Generation Among Federal Parastatals in Ekiti-State, Nigeria |
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Oluyinka Ogungbade, Omowumi Olanike Oshatimi, Adebola Daniel Kolawole |
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Vol 12, No 3 (2021) |
Trend Momentum II: Driving Forces of Low Volatility and Momentum |
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Wilhelm Berghorn, Martin T. Schulz, Markus Vogl, Sascha Otto |
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Vol 4, No 2 (2013) |
TSX Stock Repurchase Announcements and the Impact of TSX Disclosure Requirements |
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James Matthew Moore |
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Vol 9, No 2 (2018) |
Unconditional Accounting Conservatism and Real Earnings Management |
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Han Li |
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Vol 11, No 2 (2020) |
Uncovered Interest Rate Parity and Investment: A Tripartite Analysis of Nigeria, United States of America and China |
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Peter Ubi, Ishaku Rimamtanung Nyiputen |
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Vol 6, No 1 (2015) |
Underperformance Fees and Manager’s Portfolio Risk Taking |
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Gabriele Stabile |
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Vol 5, No 4 (2014) |
Understanding Islamic Bank Selection of Customers: A Field Research from Turkish Participation Banks |
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Ali Polat, Mehmet Yesilyaprak, Raci Kaya |
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Vol 11, No 3 (2020) |
Unlock Day Expiration and Mandatory IPOs Lock up Among ACE Firms in Malaysia |
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Syamsyul Samsudin, Nik Nur Shafika Mustafa, Nor Haliza Hamzah, Che Khalilah Mahmood |
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Vol 4, No 4 (2013) |
US Stocks and the US Dollar |
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Samih Antoine Azar |
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Vol 14, No 1 (2023) |
Using Alternative Investment Vehicles to Replication Hedge Funds Risk and Return |
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Mahmoud Haddad |
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Vol 6, No 2 (2015) |
Valuating the Value and Risk of International Start-up Ventures |
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Ido Kallir, Tamir Agmon |
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Vol 1, No 1 (2010) |
Valuation of a Basket Loan Credit Default Swap |
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Jin Liang, Yujing Zhou |
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Vol 3, No 2 (2012) |
Valuation of Loan Credit Default Swaps Correlated Prepayment and Default Risks with Stochastic Recovery Rate |
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Yuan Wu, Jin Liang |
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Vol 9, No 2 (2018) |
Value and Size Effects in the Stock Market of the Philippines |
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Gerardo “Gerry” Alfonso Perez |
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Vol 6, No 3 (2015) |
Value for Money Audit: A Veritable Tool for Expenditure Management |
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Nwosu M. Eze, Mshelia M. Ibrahim |
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Vol 10, No 3 (2019) |
Value Relevance of Intangible Assets Before and After FRS 138 Adoptions: Evidence From Malaysia |
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Nik Azmiah Binti Nik Azin, Norhayati bt Alias |
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Vol 12, No 1 (2021) |
Valued Added Tax (VAT) Impact on Economic and Societal Well-Beings (Pre-and Post COVID19): A Perception Study From Saudi Arabia |
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Siti Norwahida Shukeri, Faisal D Alfordy |
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Vol 3, No 1 (2012) |
Variance Ratio Test of Random Walk for Foreign Trade: The Study in India during the Globalization Era of 1990s |
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Rudra Prakash Pradhan |
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Vol 8, No 1 (2017) |
Vietnamese Banking System in the Context of ASEAN Financial Integration |
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Hao Thi Kim DO, Lan Khanh Chu, Phuong Minh Nguyen |
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Vol 9, No 3 (2018) |
Volatility Clustering at a Sector Level in the Chinese Equity Market |
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Gerardo “Gerry” Alfonso Perez |
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Vol 3, No 1 (2012) |
Volatility Estimation and Stock Price Prediction in the Nigerian Stock Market |
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Ajao Mayowa Gabriel, Wemambu Mary Ugochukwu |
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Vol 5, No 2 (2014) |
Volatility Modeling and Forecasting of Istanbul Gold Exchange (IGE) |
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Gaye Hatice Gencer, Zafer Musoglu |
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Vol 9, No 2 (2018) |
Volatility Spillover Analysis Post Implementation of AEC 2015 Agreement: Empirical Study on ASEAN-5 Stock Market |
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Yunia Panjaitan, Siti Saadah |
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Vol 10, No 5 (2019) |
Wasatiyyah-Consumerism Ethics in Al-Qur’an |
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Mohd Shukri Hanapi, Siti Mastura, Caturida Meiwanto Doktoralina |
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Vol 12, No 2 (2021) |
Ways to Increase the Competitiveness of Agricultural Consumer Cooperatives in Modern Conditions |
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Gulnara Raisovna Chumarina, Olga Alexandrovna Shipshova |
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Vol 11, No 5 (2020) |
Weak Form of Efficiency Hypotheses: Empirical Modeling With Box –Pierce, ADF and ARCH Tests |
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Saliha Theiri, Abdessatar Ati |
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Vol 3, No 2 (2012) |
Weather Conditions and the Bank Lending Channel: A GMM Approach from US Banking |
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Nicholas Apergis, Panagiotis Artikis |
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Vol 11, No 5 (2020) |
What Can Machine Learning Tell Us About Intraday Price Patterns in a Frontier Stock Market? |
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Dan Gabriel Anghel |
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Vol 3, No 2 (2012) |
What is the Degree of Convergence among Developed Equity Markets? |
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Ekaterina Dorodnykh |
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Vol 5, No 3 (2014) |
What Really Affects German Firms' Effective Tax Rate? |
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Anastasia Kraft |
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Vol 12, No 5 (2021) |
What Supports Startups Need From Science and Technology Parks |
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Daniel C. Lee, Xu Feng, Yangmin Xiong |
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Vol 5, No 3 (2014) |
Where Does Price Discovery Occur? An Empirical Study of Taiwan’s ADRs and Their Underlying Foreign Stocks |
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Ming-Chieh Wang, Yi-Chen Wu |
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Vol 10, No 5 (2019) |
Which Stock Exchange Leads the Other: Comparison Between US, Australia, Euro Zone and UK |
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Gholamreza Zandi, Muhammad Usman Javaid, Urooj Anwar, Muhammad Umar Islam |
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Vol 10, No 6 (2019) |
Whistleblowing System and Fraud Early Warning System on Village Fund Fraud: The Indonesian Experience |
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Sugeng Wahyudi, Tarmizi Achmad, Imang Dapit Pamungkas |
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Vol 5, No 3 (2014) |
Why Can Weak Linkages Cause International Stock Market Synchronization? The Mode-Locking Effect |
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Larry Filer, David D. Selover |
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Vol 7, No 5 (2016) |
Why Hire a Big 4 Auditor 500 Miles Away? |
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Lily Brooks, Michael D. Yu |
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Vol 6, No 4 (2015) |
Why State and Federal Officials Should Consider Offering Financial Literacy Training to Those About to Be Released from Correctional Institutions |
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Ken Galchus |
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Vol 7, No 2 (2016) |
Will the Information Disclosure Quality Reduce the Executives’ Excess Perks? - Evidence from China |
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Han Li |
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Vol 12, No 3 (2021) |
Women's Leadership and Pragmatism Incidences on Performance of Listed Family-Owned Firms in the Cultural Context of Arab Countries |
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Azzeddine Allioui, Badr Habba, Taib Berrada El Azizi |
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Vol 12, No 2 (2021) |
Workers’ Remittances and Economic Growth: Evidence From Bangladesh |
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Tamanna Islam |
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Vol 11, No 2 (2020) |
Working Capital Management and Return on Assets of Manufacturing Industry of Peru |
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Wagner Enoc Vicente-Ramos, Marianela Roxana Ames Porras, Roberson Meza Quispe, Miguel Angel Rojas Zacarias |
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Vol 3, No 2 (2012) |
Working Capital Management of Small Scale Industries in Rajasthan |
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Bashar Matarneh |
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Vol 6, No 2 (2015) |
Workplace Fund Performance: Luck or Skill? |
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Praveen K. Das, S. P. Uma Rao, Denis O. Boudreaux |
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Vol 8, No 2 (2017) |
Younger Customers' Outlooks when Selecting and Changing a Financial Services Provider: The Case of Maltese Students |
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Silvio John Camilleri, Denise Ellul |
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Vol 11, No 6 (2020) |
Αn Eclectic Discussion of the Effects of COVID-19 Pandemic on the World Economy During the First Stage of the Spread |
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Stavros Kalogiannidis, Fotios Chatzitheodoridis, Stamatis Kontsas |
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Vol 3, No 1 (2012) |
“A Flaw in the Model … that Defines How the World Works” |
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Volker Bieta, Hellmuth Milde, Nadine Marianne Weber |
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Vol 4, No 4 (2013) |
“Active Poor” Phenomenon and Youth Unemployment in Cross River State, Nigeria – Some Diagnosis |
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Uwem Essia, Abubakar Yusuf |
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Vol 7, No 2 (2016) |
“Impact of EXPO 2020 on Dubai Financial Market” – An Event Study on Banks, Investment and Insurance Sectors |
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Ganga Bhavani, Sai Geetha Kukunuru |
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