Content
2017, Volume 7, Issue 5
- 448-455 The Impact of Trade Openness on Per Capita Income in Kuwait
by Saif Sallam Alhakimi - 456-469 Do Qualified Foreign Institutional Investors Improve Information Efficiency: A Test of Stock Price Synchronicity in China?
by Liping Zou & William Wilson & Shijie Jia - 470-485 Coasian Theorem, Public Domain, and Property Rights Protection
by Yiming He & Shaohui Gao - 486-497 Dynamics of Urbanization and Temperature Increase in Middle East-An Empirical Investigation
by Devi Prasad Dash & Lingaraj Mallick - 498-508 Investigating the Role of Oil Prices in the Conventional EKC Model: Evidence from Turkey
by Setareh KATIRCIOGLU - 509-518 Prospect of E-Banking in Bangladesh: New Way to Make Banking Electronic
by Farzana Huda & Tanbir Ahmed Chowdhury - 519-527 The Long Run and Short Run Impacts of Foreign Direct Investment and Export on Economic Growth of Vietnam
by Nhung Thi Kim NGUYEN - 528-540 Islamic Culture Impact of Increasing Satisfaction and Performance of Employees: Study of Educational Institutions Sabillilah Sampang
by Chamdan Purnama
2017, Volume 7, Issue 4
- 334-348 Econometric Analysis of Exchange Rate and Export Performance in a Developing Economy
by Stephen ARO-GORDON - 349-357 Effect of Disagreement on Corporate Financing Policy and Investment Level
by Niu Weining - 358-367 The Causal Relationships between Components of Customer-Based Brand Equity for a Destination: Evidence from South Korean Tourists in Danang City, Vietnam
by Tran Trung Vinh & Vo Thi Quynh Nga & Nguyen Phuc Nguyen - 368-380 The Effect of Exchange Rate Volatility on Stock Return in Taiwan Around Abenomics
by Chien-Chung Nieh & Hsun-Fang Cho - 381-392 Moderating Effect of Internal Control System on the Relationship Between Government Revenue and Expenditure
by Mohammed ABBA & Mohammed Mahmud KAKANDA - 393-412 Transmission of International Energy Price Shocks to Australian Stock Market and its Implications for Portfolio Formation
by Mohammad Z Hasan - 413-430 Developing an Early Warning System for Financial Crises in Vietnam
by Tristan Nguyen & Nguyen Ngoc Duy - 431-447 Tick Size and Commonality in Liquidity
by Su-Wen Kuo & Chia-Cheng Chen & Chun-Fan You
2017, Volume 7, Issue 3
- 222-231 Microfinance and Women Empowerment in Madina in Accra, Ghana
by Alex Addae-Korankye & Alex Abada - 232-247 Impact of SAFTA on South Asian Trade
by Ram K Regmi & Satis C Devkota & Mukti P Upadhyay - 248-257 Usage of Derivatives in Emerging Markets: The Case of Bosnia And Herzegovina
by Sanel Halilbegovic & Anida Mekic - 258-266 Determinant of FDI: Evidence from Organization of the Petroleum Exporting Countries (OPEC)
by Ali Fegheh Majidi & Hojatollah Hashembeigi & Parvin Alimoradi Afshar & Vahid Hashembeigi - 267-278 Overreaction Analysis in State-Owned Equities
by George Bakos & George Petrakos - 279-294 Predictive Analytics in Capital Markets
by Nitin Singh & Prakash Kumar Jha - 295-306 The Volatility Structure of Global Financial Markets: A Comparative Analysis
by Lakshmi Viswanathan & S. Maheswaran - 307-333 Determinants of Inward FDI in Mongolia: An Application of the ARDL Bounds Testing Approach to Cointegration
by Maralgua Och & Christian Baerbig & Tsolmon Jadamba
2017, Volume 7, Issue 2
- 109-122 Market Efficiency of ASEAN Stock Markets
by Muneer Shaik & S. Maheswaran - 123-132 Momentum Decomposition: Evidence from Emerging Markets
by Hongbo Guo & Xianhua Wei - 133-151 Are Tunisian and Egyptian Share IPO Markets Hot or Cold?
by A. Kammoun Abdelmoula & L. Hedhili Zaier - 152-163 Finance-Growth Nexus in Bangladesh? An Empirical Analysis
by Sakib Bin Amin & Ridwan Mosharraf Hossain - 164-174 Gender Disparity in Functionality and Consequence of Microfinance: Does it Function Currently?
by Protap Kumar Ghosh & Sutap Kumar Ghosh - 175-187 Exploring the Returns and Volatility Spillover Effect in Taiwan and Japan Stock Markets
by Chi-Lu Peng & Chi-Fu Chung & Chin-Chang Tsai & Cheng-Te Wang - 188-205 Singapores Temasek Holdings Control Mechanisms and the Performance of the Firms Controlled by Temasek
by Kerry Liu - 206-221 Growing the Growth of the Ghanaian Economy: Is the Function of the Countrys Financial Development of Any Significance?
by Abdulkadir Abdulrashid Rafindadi & Almustapha A Aliyu
2017, Volume 7, Issue 1
- 1-14 Derivative Use of Turkish Investment Funds During the 2008-09 Financial Crisis
by Burak Pirgaip & Aslıhan Taşdemir - 15-26 Explore the Impact of the Trading Value, The Oil Price and Quantitative Easing Policy on the Taiwan and Korea Stock Market Return with Quantile Regression
by Tzu-Kuang Hsu & Chin-Chang Tsai - 27-42 Muslim Women Entrepreneurs Motivation in SMEs: A Quantitative Study in Asia Pacific Countries
by Ilhaamie Abdul Ghani Azmi - 43-51 The Effects of Inflation and Operating Cycle on Cash Holdings (Liquidity) of Listed Companies in Tehran Stock Exchange
by Samaneh Fallah & Seyyed Abbas Hashemi - 52-62 Dynamics of the Relationship between Implied Volatility Indices and Stock Prices Indices: The Case of European Stock Markets
by Rouetbi Emna & Chaabani Myriam - 63-80 Volatility Modelling and Parametric Value-At-Risk Forecast Accuracy: Evidence from Metal Products
by Samir MABROUK - 81-98 The Power of a Leading Indicators Fluctuation Trend for Forecasting Taiwans Real Estate Business Cycle: An Application of a Hidden Markov Model
by Yun-Ling Wu & Cheng-Huang Tung & Chun-Chang Lee - 99-108 Nonlinear Analysis of Economic Growth, Public Debt and Policy Tools
by Yifei Cai
2016, Volume 6, Issue 12
- 706-718 A Regression Based Approach to Capturing the Level Dependence in the Volatility of Stock Returns
by Lakshmi Padmakumari & S Maheswaran - 719-728 Economic Development, Women Empowerment and U Shaped Labour Force Function : Time Series Evidence for Bangladesh
by Humaira Husain - 729-743 Techno-Logy & Human Development
by Seher Gülşah TOPUZ & Esra DOĞAN - 744-749 The Feldstein - Horioka Paradox, A Case Study of Turkey
by Seyi Saint Akadiri & Itodo Idoko Ahmed & Ojonugwa Usman & Medhi Seraj - 750-761 Non-Energy Import Demand Function in Turkey: New Evidence
by Arzu Tay Bayramoglu & Deniz Sukruoglu - 762-774 A Macro Stress Test Model of Credit Risk for the Turkish Banking Sector
by Çağatay Başarır
2016, Volume 6, Issue 11
- 634-646 Corporate Investment and Cash-Flow Sensitivity: Evidence from a Jasmin Revolution Period in Tunisian Market
by Basty Nadia - 647-660 The Impact of Debt Structure on Firm Performance: Empirical Evidence from Nigerian Quoted Firms
by E. Chuke Nwude & Idam Okpara Itiri & Bamidele Oyakhiromhe Agbadua & Sergius Nwannebuike Udeh - 661-680 A Study of Corporate Web-Based Reporting in Hotel Industry
by Soriya Sushila & Dhaigude Amol - 681-691 Strategies to Increase the Competitiveness of Taiwans Free Trade Ports Based on the Fuzzy Importance-Performance Analysis
by Chun-An Chen & Yi-Hui Chiang & Tzu-Kuang Hsu & Jung-Wen Hsia - 692-705 An Empirical Analysis of Effect of Public Debt on Economic Growth in India in the Post-Reform Era
by Asit Mohanty & Suresh Kumar Patra & Satyendra Kumar & Avipsa Mohanty
2016, Volume 6, Issue 10
- 557-570 Which Form of Foreign Capital Inflows Enhance Economic Growth? Empirical Evidence in Sub-Saharan Africa
by Frank Adusah-Poku - 571-582 Analysis of the Contagion Effect to the Credit Derivative Valuation
by Hsiang Hui Chu & Yi Fang Chung - 583-601 Principles of Venture and Business-Angel Investments
by Lamara Qoqiauri - 602-619 The Impact of Administrative Characteristics and Residential Types on Income Capitalization Rates in Taipei, Taiwan
by Chun-Chang Lee & Hsueh-Ling Fan - 620-633 The Effects of Globalization on Employment: Bounds Test Approach in Turkey Sample
by Buhari Doğan
2016, Volume 6, Issue 9
- 499-509 R&D and Taiwan-Based Firm’s Productivity - Does Internal Technological Capability Matter?
by To-Han Chang & Wen-Bin Chuang - 510-521 The Effect of Energy Consumption on Economic Growth in Cameroon
by Molem Chirstopher Sama & Ndifor Roger Tah - 522-533 Bank Failure Prediction Models for the Developing and Developed Countries: Identifying the Economic Value Added for Predicting Failure
by Yi-Shu Wang & Xue Jiang & Zhen-Jia Liu - 534-546 Population Aging, Marginal Propensity to Consume, and Economic Growth
by Zheng Guo & Linchen Liu & Xuan Liu - 547-556 Pattern and Sources of Growth of the Vietnam Economy: A Deviation from Proportional Growth Analysis
by Chung Van Nguyen & Min Hui Chen
2016, Volume 6, Issue 8
- 425-444 Tariff, Consumption Home Bias and Macroeconomic Dynamics
by Chung-Fu Lai - 445-456 Nonlinear Effects of the Financial Crisis on Economic Growth in Asian Countries: Empirical Evaluation with a PSTR Model
by Amira MAJOUL & Olfa MANAI DABOUSSI - 457-476 Asias Reserve Accumulation: Part of a New Paradigm
by Florian Brugger - 477-489 Export Diversification of Georgian Firms to the EU Market
by Natia Daghelishvil - 490-498 Analysis of Risk Management Practices among Maize Based Farmers in Abia State, Nigeria
by Nto Philips O.O
2016, Volume 6, Issue 7
- 363-373 The Linkage Between Exchange Rates and Stock Prices: Evidence from Vietnam
by Tran Quang Huy - 374-389 Determining Real Exchange Rate Fluctuations in the Oil-Based GCC Economies
by Amin Z. A & El-Sakka M. I. T - 390-403 Research, Development and Innovation in Malaysia: Elements of an Effective Growth Model
by Ibrahim Akoum - 404-415 The Study of Supervision and Control in Islamic Financial Management
by Mahdi Saghafi & Alireza Amirabadi - 416-424 Mergers and Acquisitions by Emerging Country Multinational Companies
by Ayşe Yüce
2016, Volume 6, Issue 6
- 298-309 Comparative Analysis of Islamic and Conventional Banks in the UAE During the Financial Crisis
by Issam Tlemsani & Huda Al Suwaidi - 310-318 Could Zhou Xiaochuan Put Option Save Chinas Capital Market?
by Kai Shi & Li Nie & Yifei Cai & Yuan Wang - 319-335 Modern Trends of Development of Financial Markets in Georgia
by Lamara Qoqiauri - 336-351 Imposition of R&D Subsidy in a Product Differentiated Duopolistic Industry
by Ram Kumar Phuyal - 352-362 Enhanced Economic Stability and the Role of Inflation Targeting Policy: Empirical Study on Case of Developing Countries
by Olfa Manai Daboussi
2016, Volume 6, Issue 5
- 228-237 Deltoid Analysis of Pakistan-ASEAN-China Free Trade Agreements and Opportunities for Pakistan
by Muhammad Saqib Irshad & Qi Xin & Li Xuan & Hamza Arshad - 238-246 Comparative Analysis of Profitability of Local and Foreign Banks in Ghana
by Samuel Erasmus Alnaa & Joseph Adongo & Matey Juabin - 247-260 Determinants of Housing Prices in an Oil Based Economy
by Humoud Almutairi & El-Sakka M.I.T - 261-276 Privatising Socially Owned Enterprises, The Case of Kosovo
by Afrim Loku & Nadire Shehu Loku - 277-297 A Comparative Study of the Taiwan and Japan Equity and Foreign Exchange Markets: Modeling, Estimation and Application of the Component Garch-in-Mean Model
by Hsiang-Hsi Liu & Robin K Chou
2016, Volume 6, Issue 4
- 172-189 The Impact of Match-Fixing Scandals on the Stock Returns of Parent Companies and Sponsors: Evidence from Chinese Professional Baseball League In Taiwan
by Huei-Fu Lu & Tien-Tze Chen - 190-195 The New Keynesian Phillips Curve in Thailand Through Two Financial Crises
by Hiroaki Sakurai - 196-205 Depreciation Rate of R&D Capital: Panel Data Analysis of Listed Firms in Japanese R&D-Intensive Industries
by Hirotsugu Sakai - 206-217 Wealth Creation in the Largest Banking Mergers- An Empirical Analysis
by B Rajesh Kumar & Sourabh Gera & Srijit Saha - 218-227 Investigating the Causal Relationship Between Stock Market and Aggregate Economic Performance of South Africa
by Eleanya K Nduka & Ugochukwu E Anigbogu & Ishaku R Nyiputen
2016, Volume 6, Issue 3
- 115-126 The Scope for Increasing Biofuel Crop Production in Japan: An Analysis of Alternative Policies
by Ai Leon & Roberto Leon - 127-134 Financial Development and Investment Amount Nexus: A Case Study of Turkey
by Banu Demirhan - 135-150 Do Trading Volume and Bid-Ask Spread Contain Information to Predict Stock Returns? Intraday Evidence from India
by Rashmi Ranjan Paital & Naresh Kumar Sharma - 151-161 Economics Imperialism: SWOT Analysis
by Slavica Manic - 162-171 Do Negative Incidents and Corporate Social Responsibility Influence on Sponsors Stock Abnormal Returns?
by Huei-Wen Lin
2016, Volume 6, Issue 2
- 66-82 Impact of the Quality of Banking Services for Plastic, Electronic Magnetic Cards on Customer’s Satisfaction and his Future-Purchasing Behavior: A Practical Study on A Number of Commercial Bank Customers in Amman
by Amjad Qwader - 83-89 Impact of Political Instability and Foreign Direct Investment on Economic Development in Pakistan
by Kulsoom Rani & Zakia Batool - 90-99 An Anti-Austerity Policy Recipe Against Debt Accumulation in the Presence of Hidden Economy
by Gerasimos T Soldatos - 100-108 Is the Exchange Rate of Bangladesh Mean Reverting? A Panel Unit Root Approach
by S. M Woahid Murad - 109-114 An Error Correction Representation of Market Liquidity ? Economic Growth Nexus in Nigeria: A Recent Experience
by Kaine A.I.N & Olotu McRollins Efe
2016, Volume 6, Issue 1
- 1-14 Effects of Imputation Ratio Change on Open Economy in the Integrated Income Tax System
by Chung-Fu Lai & Yin-Rong Chang - 15-26 Do Corporate Governance and Social Performance Differ between Family-Owned and Non-Family-Owned Businesses in Taiwan-Listed CSR Companies?
by Wang Ling & Ling-Yu Jhou & Ya-Ting Chan & Wei-Husan Wang & Yu-Ting Lin & Ching-Chun Wei - 27-42 The Consumer Loan’s Payment Default Predictive Model: An Application in a Tunisian Commercial Bank
by Lobna Abid & Afif Masmoudi & Sonia Zouari-Ghorbel - 43-53 Microloans and Agricultural Sector Incomes in Developing Countries: An Empirical Study of the PRU District in Ghana
by Aminu Sulemana & Romanus D Dinye - 54-65 Corporate Failure Prediction Models for Advanced Research in China: Identifying the Optimal Cut Off Point
by Zhen Jia Liu & Yi Shu Wang
2015, Volume 5, Issue 12
- 1258-1266 Dependence of Real Estate and Equity Markets in China with the Application of Copula
by Iou-Ming Wang & Ming Fang & Chiu-Lan Chang - 1267-1281 RMB Undervaluation and Appreciation
by Zhibai Zhang & Langnan Chen & Xinyue Zou - 1282-1297 Impact of Exchange Rate in the Run-Up to EU Accession: An Empirical Analysis of Republic of Macedonia
by Tatjana Boshkov & Gligor Bishev - 1298-1305 The Impact of Transferring Military Confrontation to Economic Cooperation for Economic Growth - ASEAN Panel Analysis
by Mon-Li Lin & Tze-Wei Fu & Fu-Sheng Yang - 1306-1314 The Determinants of FDI in Tunisia: An Empirical Study Through A Gravity Model
by Souad BANNOUR Ep SFAR & Kais MTAR
2015, Volume 5, Issue 11
- 1187-1207 Financial Accounting Fraud Detection Using Business Intelligence
by Shirley Wong & Sitalakshmi Venkatraman - 1208-1226 Going Public and Underpricing as Brand Value Enhancing Tools
by Murad Harasheh & Stefano Gatti - 1227-1238 Causal Interactions Between CO2 Emissions, Financial Development, Energy and Tourism
by Çağatay Başarir & Yasin Nuri Çakir - 1239-1250 Unemployment, Income Inequality and Poverty: The Hallmarks of the Africas Largest and Strongest Economy; Nigeria
by Aliyu A Kware - 1251-1257 Determinants of Life Expectancy: A Panel Data Approach
by Abdalali Monsef & Abolfazl Shahmohammadi Mehrjardi
2015, Volume 5, Issue 10
- 1119-1133 Dynamic Relations between Macroeconomic Variables and Indian Stock Price: An Application of ARDL Bounds Testing Approach
by Pooja Joshi & A K Giri - 1134-1147 A Causality Test on the Gibson Paradox in Turkey
by Ali Koçyiğit & Mustafa Ercan Kılıç & Tayfur Bayat - 1148-1158 Exploring the Perspectives of Corporate Governance and Theories on Sustainability Risk Management (SRM)
by Nazliatul Aniza Abdul Aziz & Norlida Abdul Manab & Siti Norezam Othman - 1159-1173 Financial Development and Economic Growth: Evidence from a Panel Study on South Asian Countries
by Rezwanul Hasan Rana & Suborna Barua - 1174-1186 Exchange Rate Volatility and Export Performance in South Africa: (2000-2014)
by Wilson Chamunorwa & Ireen Choga
2015, Volume 5, Issue 9
- 1043-1049 Money Demand Sensitivity to Interest Rates: The Case of Japans Zero-Interest Rate Policy
by Nicholas Apergis - 1050-1060 Determinants of Financial Literacy among the National University of Lesotho Students
by Lereko Rasoaisi & Kalebe M Kalebe - 1061-1075 The Time-Varying Impact of Regional Trade Agreement: Evidence from ASEAN
by Pakasa Bary - 1076-1090 The Impact of Bank Responses to Recovery Service Satisfaction
by Vo Thi Quy & Pham Thi Bich Lan - 1091-1118 The Anomaly of 28 Days Between the Ex-Dividend and Payment Dates in Taiwanese Stock Markets
by Jen-Chang Liu & Mark Yeats
2015, Volume 5, Issue 8
- 973-987 Determinants of Demand for Sports Lottery: Insights from a Multilevel Model
by Luke Lunhua Mao & James J Zhang & Daniel P Connaughton - 988-1003 The Taiwanese Businessmen Assess the Investment Environment of China - Construction and Application of PR AHP Program
by Chun-An Chen & Hsien-Li Lee - 1004-1013 Arguments for and Against Retaining Exchange Rate Regime: An Empirical Analysis for Republic of Macedonia
by Gligor Bishev & Tatjana Boshkov - 1014-1028 Identifying Stock Market Reactions to Acquisition Announcements in Taiwan Land Auction
by Jin-Ray Lu & Chih-Chiang Hwang - 1029-1042 The Determinants of Market Employment Capacity of Enterprises in Jigawa State of Nigeria
by Bello Malam Sa’idu & Muhammad Muazu Yusuf
2015, Volume 5, Issue 7
- 915-925 An Empirical Validation of Fama and French Three-Factor Model (1992, A) On Some US Indices
by Islem Boutabba - 926-940 Ranking of Hedging Tools from the Perspective of Tehran Stock Exchange Investors
by Behrouz Lari Semnani & Reihaneh Benesloo - 941-946 Evaluation in Dynamic Process Spillover Effect: Eleven Major Exchange Rate Markets
by Chun-Chieh Huang - 947-958 Assessment of Herbal Extract Industry in West Azerbaijan Province
by Seyyed Jafar Zonoozi & Soghra Rezai Nasab - 959-972 Determinants of Capital Structure of Banking Sector in GCC: An Empirical Investigation
by Abdullah AL-Mutairi & Kamal Naser
2015, Volume 5, Issue 6
- 858-867 Modeling Nigerian Government Expenditure, Revenue and Economic Growth: Co-Integration, Error Correction Mechanism and Combined Estimators Analysis Approach
by Kayode Ayinde & John Kuranga & Adewale F Lukman - 868-882 Determinants of Non-Performing Loans in Licensed Commercial Banks: Evidence from Sri Lanka
by Ekanayake E.M.N.N & Azeez A.A - 883-891 Government Sectorial Spending and Its Effect on Nigerian Economic Growth
by Owolabi A & Ibukun-Falayi Owoola R - 892-907 Investigating Frauds in Goverment Accounting
by Kayahan Tüm - 908-914 Impact of Currency Redenomination on Inflation Case Study Turkey
by Libor Žídek & Michal Chribik
2015, Volume 5, Issue 5
- 734-746 An Investigation into the Efficiency of Monetary and Fiscal Policies in Iran Case Study: The 4th Economic Development Plan
by Mansour Zarra-Nezhad & Sahar Motamedi & Amir Hossein Montazer Hojat & Ebrahim Anvari - 747-756 Investigating the Housing Price Bubble in Metropolises of Iran during 2000-2006
by Abdalali Monsef & Abolfazl Shahmohammadi Mehrjardi & Maryam Khorsandi & Hamed Monsef - 757-765 Test of the Day of the Week Effect: The Case of Kuwait Stock Exchange
by Ahmad Mohammad Obeid Gharaibeh & Abdullah Ali Tami Swailem Al Azmi - 766-778 Inflation And Unemployment Nexus In Nigeria: Another Test of the Phillips Curve
by Anthony Orji & Onyinye I Anthony-Orji & Joan C Okafor - 779-789 Impact of Working Capital Management on Firm Profitability: The Case of Listed Manufacturing Firms on Ho Chi Minh Stock Exchange
by Tran Viet Hoang - 790-804 A Comparative Study of Efficiency between Conventional and Islamic Banks in Indonesia
by Shinta Amalina Hazrati Havidz & Chandra Setiawan - 805-815 Causality Analysis of Volatility in Exchange Rate and Stock Market Prices: A Case Study of Pakistan
by Rana Ejaz Ali Khan & Rafaquat Ali - 816-830 Quanto Interest-Rate Exchange Options in a Cross-Currency Libor Market Model
by Tsung-Yu Hsieh & Chi-Hsun Chou & Son-Nan Chen - 831-845 The Study of Consumer Perception on Corporate Social Responsibility towards Consumers Attitude and Purchase Behavior
by Hojatollah Vahdati & Najmedin Mousavi & Zohre Mokhtari Tajik - 846-857 Oil Price Shocks-Macro Economy Relationship in Turkey
by Feride Ozturk
2015, Volume 5, Issue 4
- 579-590 Terms of Trade Instability, Economic Vulnerability and Economic Growth: The Role of Institutions in Sub-Saharan Africa
by Sana Zaouali & Amira Zaouali - 591-600 Economic and Social Duality in Iran (Using Fuzzy TOPSIS Decision-Making)
by Jalil Khodaparast Shirazi - 601-623 Demographic and Socioeconomic Impact on Risk Attitudes of the Indian Investors - An Empirical Study
by Sandip Chattopadhyay & Ranjan Dasgupta - 624-640 Determinants of Capital Structure of Banks: Evidence from Sub-Sahara Africa
by Ebenezer Bugri Anarfo - 641-652 Firms Life Cycle and Ohlson Valuation Model: Evidence from Iran
by Hossein Etemadi & Forough Rahimi Mougouie - 653-660 The Impact of Life Expectancy on Economic Growth in Developing Countries
by Ngwen Ngangue & Kouty Manfred - 661-670 Oil Price and Exchange Rate in Malaysia: A Time-Frequency Analysis
by Aviral Kumar Tiwari - 671-679 Sources of Exchange Rate Fluctuation in Vietnam: An Application of the SVAR Model
by Nguyen Van Phuong - 680-692 The Relationship between Growth and Employment Intensity: Evidence for Developing Countries
by Sarra Ben Slimane - 693-708 Financial Crisis and Financialization Acuity on the Diversification Benefits of Commodities: A Stochastic Asset Allocation Framework
by Velappan Shalini & Krishna Prasanna P - 709-722 Microeconomic Gasoline Consumption Anomalies in Mexico: 1997-2007
by Thomas M Fullerton Jr & Jorge Ibarra Salazar & Mario Elizalde - 723-733 Entrepreneurial Empowerment of Agriculture and Industrial Sector in Rural Areas of Semarang Regency Indonesia
by Edy Dwi Kurniati
2015, Volume 5, Issue 3
- 371-390 The Estimation of the Share of Technological Spillover in Sectorial-Regional Growth (Case Study: 29 Production Sectors of 30 Iran Provinces)
by Abdolmajid Mohammadi & Akbar Veismoradi & Hamidreza HAjHashemi & Peyman Akbari & Reza Rostami - 391-406 The Influence of Corporate Governance in Chinese Companies on Discretionary Accruals and Real Earnings Management
by Ming-Feng Hsu & Shiow-Ying Wen - 407-417 Gender Disparity in Education Enrollment in Pakistan
by Shakil Quayes & Richard David Ramsey - 418-425 Private Insurance and Income Inequality in Iran
by Mani Motameni - 426-438 Threshold Effects in the Relationships of REITs and Other Financial Securities in Developed Countries
by Hui-Na Lin & Wo-Chiang Lee - 439-452 Poverty and Income Inequality in Nigeria: Any Causality?
by Evelyn Nwamaka Osaretin Ogbeide & David Onyinyechi Agu - 453-467 Financial Reports Quality and Corporate Social Responsibility
by Hsiangtsai Chiang & Li-Jen He & Cang-Fu Shiao - 468-482 Trade Openness and Growth in Developing Countries: An Analysis of the Relationship after Comparing Trade Indicators
by Mohamed Fenira - 483-494 Factors Influencing the Bank Profitability - Empirical Evidence from Albania
by Brunilda Duraj & Elvana Moci - 495-509 A Framework to Charge for Unit-Linked Contracts When Considering Guaranteed Risk
by Lee Yung-Tsung - 510-520 Convergence and Divergence among Countries
by Nasfi Fkili Wahiba - 521-531 Electronic Payment Channels in the Nigeria Banking Sector and Its Impacts on National Development
by Tijani J. A & Ilugbemi A. O - 532-545 Design of a CGE Model to Evaluate Investment in Transport Infrastructures: An Application for Iran
by Seyed Aziz Arman & Ahmad Salah Manesh & Amin Tabaeh Izady - 546-562 Shaping Organizational Learning Capability through Organizational Intelligence: An Empirical Evidence from Jordanian Firms
by Elham Hmoud AL-Faouri - 563-578 Effects of Exchange Rate Arrangements on Trade Cooperation in BRICS Countries
by Bita Shaygani & Asghar Abolhasani Hastiani & Farhad Ghaffari & Mahdi Sadeghi shahdani & Mahdi Fadaee
2015, Volume 5, Issue 2
- 194-201 Bank Concentration and Enterprise Borrowing Cost Risk: Evidence from Asian Markets
by Ching-Chung Lin & Shou-Lin Yang & Huai-I Lee - 202-217 Privatization of Vietnamese Firms and Its Effects on Firm Performance
by Ngo My Tran & Walter Nonneman & Ann Jorissen - 218-228 Assessment of the Effects of Firms Characteristics on Earnings Management of Listed Firms in Nigeria
by Uwalomwa Uwuigbe & Uwuigbe Olubukunola Ranti & Okorie Bernard - 229-238 The Accessibility Determinants of Internet Financial Reporting of Manufacture Company Listed in Indonesia Stock Exchange
by Ade Kemala Jaya & Verawaty - 239-248 Impact of Government Spending on Private Consumption Using ARDL Approach
by Khalid Khan & Chen FEI & Muhammad Abdul Kamal & Badar Nadeem Ashraf - 249-263 Predictive Power of Financial Ratios With Regard To the Turkish Banking Industry: An Empirical Study on the Stock Market Index
by Mehmet Islamoglu - 264-278 Does Banking Sector Reform Buy Efficiency Of Banking Sector Operations? - Evidence from Recent Nigerias Banking Sector Reforms
by Martina Chinazom Okorie & David Onyinyechi Agu - 279-294 Does Institutional Quality Strengthen The Positive Influence of Offshore R&D Strategy on the Firm Productivity?
by Wen-Bin Chuang & Hui-lin Lin & Chien-Wei Wu - 295-304 The Impact of Macroeconomic Factors on the Herding Behaviour of Investors
by Yen-Hsien Lee & Ting-Huei Liao & Chih-Ming Hsu - 305-319 Cross Shareholding and Initiative Effects
by Yasuhiro Arikawa & Atsushi Kato - 320-325 Suggestion of Islamic Insurance Company Model
by Abdullah Ibrahim Nazal - 326-332 Determinants of the AUD/USD Exchange Rate and Policy Implications
by Yu Hsing - 333-339 Escaping the Dutch Disease: The Role of Public Investment in Niger
by Issoufou Soumaila - 340-355 Economic Sanctions, Speculative Attacks and Currency Crisis
by Farshid Pourshahabi & Nazar Dahmardeh - 356-370 Economic Growth of Selected South Asian Countries: Does Institution Matter?
by Jayanti Bhattacharjee & Sushil Kr Haldar
2015, Volume 5, Issue 1
- 1-11 The Capital Investment Increases and Stock Returns
by Jung Fang Liu & Nicholas Rueilin Lee & Yih-Bey Lin & Zang-Po Hong - 12-32 Koreas Inpayments and Outpayments with the Rest of the World: Is There Room for Currency Manipulation?
by Mohsen Bahmani-Oskooee & Ruixin Zhang - 33-45 Liquidity and Returns: Evidences from Stock Indexes around the World
by Kenas Revanda Hartian & Romora Edward Sitorus - 46-57 Qualified Audit Opinion, Accounting Earnings Management and Real Earnings Management: Evidence from Iran
by Akhgar M Omid - 58-72 What is About Wages in the Czech Education and Healthcare Sectors Before, during and after the Global Economic Recession?
by Diana Bílková - 73-87 Corruption and Political View Point of the Governments in Transition Countries EU Members
by Damir Piplica - 88-101 Evaluation of Particle Swarm Algorithm and Genetic Algorithms Performance at Optimal Portfolio Selection
by Mansour Zarranezhad & Reza Yousefi Hajiabad & Maryam Fakherinia - 102-109 Gender and Spatial Educational Attainment Gaps in Turkey
by Edward Nissan & Farhang Niroomand - 110-118 The Effect of Trade, Specialization and Financial Integration on Business Cycles Synchronization in Some Mediterranean Countries
by Nabil Alimi - 119-126 Public Debt and Economic Growth in Malaysia
by Siew-Peng Lee & Yan-Ling Ng