Content
March 2017, Volume 9, Issue 3
- 168-176 Educational Gender Gap, Economic Growth and Income Distribution: An Empirical Study of the Interrelationship in Cameroon
by Dobdinga C. Fonchamnyo & Nubonyin Hilda Fokong - 177-183 Status effects of the German Excellence Initiative
by Kerstin Bruckmeier & Georg-Benedikt Fischer & Berthold U. Wigger - 184-193 Causal Nexus between Billing Efficiency and Economic Growth in India: An Analysis Using Vector Autoregression
by Asit Ranjan Mohanty & Devtosh Chaturvedi & Suresh Kumar Patra - 194-209 Convergence and Divergence under Global Trade
by David Mayer Foulkes - 210-219 Urbanization and Economic Growth in China¡ªAn Empirical Research Based on VAR Model
by Li Yang Zi - 220-232 The Classical Approaches to Testing the Unconditional CAPM: UK Evidence
by Mehnaz Roushan Laura & Nafiz Ul Fahad - 233-255 Equity Market Response to Form 20-F Disclosures for ADR Firms
by Michael H. Senteney & David L. Senteney & Mohammad S. Bazaz - 256-265 Liquidity Risk and Financial Performance of Commercial Banks in Kenya
by Jane Gathigia Muriithi & Kennedy Munyua Waweru - 266-274 Do Real Depreciations Reduce the Income Gap between the Rich and the Poor?
by Guangjun Qu - 275-282 It goes without saying that Africa needs a significant quantum of resources to address its development challenges. The World Bank estimates Africa¡¯s infrastructure needs at USD 93 billion per annum and we estimate the social sector development needs at USD 109 billion per annum. We also find that the major sources of development finance in Africa are exhibiting either a declining or a constant trend. This, therefore, calls for significant increases in the fiscal space in which non-traditional sources of development finance can be game changers. This study discusses five sources of financing that are currently used by a relatively small number of African countries in spite of their potential to increase their fiscal space. Diaspora bonds, carbon sequestration and trading, renewable energy and Islamic finance, as sources of development finance are not traditional to many African countries. Tourism is traditional to all African countries, but is not optimally leveraged as in other parts of the world. We argue that African countries are not looking at the full range of options that could be available to them to increase the development finance space. We therefore argue that African policy makers should embark on revenue diversification to include non-traditional sources that could be game changers in their development finance mix
by Abdoulie Sireh-Jallow
February 2017, Volume 9, Issue 2
- 1-14 Effects of Macroeconomic Volatility on Stock Prices in Kenya: A Cointegration Evidence from the Nairobi Securities Exchange (NSE)
by Muinde Patrick Mumo - 15-31 Forecasting Volatility Stock Return: Evidence from the Nordic Stock Exchanges
by Nikolaos Dritsakis & Georgios Savvas - 32-45 Currency Substitution and Monetary Policy Effects: The Case of Latin American Countries
by Hisao Kumamoto & Masao Kumamoto - 46-57 Numerical Methods for Differential Games: Capital Structure in an R&D Duopoly
by Robert Beach - 58-69 Investigating the Effects of Migrant Remittances on the Economic Growth of Cameroon
by Moses A. Ofeh & Ali T. Muandzevara - 70-80 Analysis on Efficiency and Its Influence Factors of Financial Support for Listed Companies of Guangdong New Energy Industry
by Jixiang Liu & Hongyan Liao - 81-88 The Effect of Promotion Strategy in the Jordanian Islamic Banks on a Number of Customers
by Bader Mustafa Al-Sharif & Amjad Qwader & Zaher Abdel Fattah Al-Slehat - 89-99 Effect of F Score on Stock Performance: Evidence from Indian Equity Market
by Trilochan Tripathy & Bijon Pani - 100-110 The Use of the VEC Model to Study the Impact of the Third Party Payment on the Interest Market in China
by Yaqian Pan & Shubing Li & Xinxin Chen & Shiqi Yu & Lijuan Yu - 111-121 Impact of Electronic Banking Services on Bank Transactions
by Najah Hassan Salamah - 122-132 Limits to Trade Growth: Decomposing Manufacturing Trade
by M. Ataman Aksoy & Francis Ng - 133-141 Research on Quantitative Trading Strategy Based on Neural Network Algorithm and Fisher Linear Discriminant
by Zi-Yu Li & Yuan-Biao Zhang & Jia-Yu Zhong & Xiao-Xu Yan & Xin-Guang Lv - 142-149 Designing a Portfolio Based On Risk and Return of Various Asset Classes
by Rashmi Soni - 150-158 The Operation Mechanism of Emission Right Trading and Analysis on the Operation Effect
by Ding Shanshan & Duan Jindong - 159-171 Economic Growth and Total Factor Productivity in Lebanon
by Wadad Saad - 172-179 Main Worldwide Cultural Obstacles on Adopting International Financial Reporting Standards (IFRS)
by Abulkasem Dowa & Abdulmonem M. Elgammi & Abdesalam Elhatab & Hassan A. Mutat - 180-188 The Bank Sector Performance and Macroeconomics Environment: Empirical Evidence in Togo
by Adama Combey & Apelete Togbenou - 189-195 Research on New Energy and Traditional Energy Based on SPSS
by Yue Liu & Jingqiu Wu - 196-204 Evaluation of Pre and Post Demerger-Merger Performance: Using ABN AMRO Bank as an Example
by Han Bao - 205-210 Devaluation as a Reason for Economical Growth or Crisis
by Shafag H. Abdullayeva
January 2017, Volume 9, Issue 1
- 1-9 Domestic Policies as Strategic Measures in Multinational Markets
by Ali Dadpay - 10-19 Socio-Economic, Demographic and Institutional Variables¡¯ Impact on the Development of Life Insurance in Sub-Saharan Africa and Madagascar
by Momar Sylla Dieng & Mouhamadou Fall - 20-31 Random Walk in Emerging Asian Stock Markets
by Muneer Shaik & S. Maheswaran - 32-46 Risk Aversion and Emotions in DoND
by Mehmet Burak Kahyaoglu & Ozgur Ican - 47-54 Antecedents of E-Banking Services by Customers for the Selected Commercial Banks in Sylhet, Bangladesh
by Mohammad Zahed Hossain - 55-63 The Impact of Sustainability on the Financial Performance of Jordanian Islamic Banks
by Ali Abdelfattah Hamdan Zyadat - 64-77 The Effects of Celebrity Endorsement on Customer¡¯s Attitude toward Brand and Purchase Intention
by Nguyen Minh Ha & Nguyen Hung Lam - 78-87 Improvement and Test of Stock Index Futures Trading Model Based on Bollinger Bands
by Xiao-Xu Yan & Yuan-Biao Zhang & Xin-Kun Lv & Zi-Yu Li - 88-95 The Effect of Trade Liberalization On Economic Growth: Selected MENA Countries
by Naeimeh Hozouri - 96-105 Seasoned Equity Offerings as Technical Market Anomalies: Long-Term Temporal Trading Functionalities
by Vasiliki A. Basdekidou - 106-118 Foreign Direct Investment and Economic Growth in the Arab Region: The Case of Knowledge Spillover Effects
by Nayef Al-Shammari & Huda Al-Rashid - 119-129 Harmonizing Teaching Tools with Cognitive Learning Outcomes in the Teaching of Economics
by Mohsen Edalati - 130-144 Survey of Free Market Principles for Encouraging Market: Participation of African American and the Economically Challenged
by Amaechi N. Nwaokoro - 145-161 Macroeconomic and Financial Shocks in African Franc Zone: Exploring the Nexus with Vector Autoregression
by Gerard Tchouassi & Ngwen Ngangue - 162-168 Rural Development in a Function of Local Economic Development: Case Study of Municipality of Krushevo
by Nikolche Jankulovski & Emiliana Silva & Katerina Bojkovska & Angjelka Jankulovska - 169-179 An Appraisal of the Activities of Central Depository Bangladesh Limited (CDBL)
by Tanbir Ahmed Chowdhury & Farzana Huda - 180-189 The Extent of the Obligation for the Islamic Banks Working in Jordan in the Disclosure of the Social Responsibility Accounting in Their Financial Statements
by Hani Ali Aref Al-Rawashdeh & Atef Aqeel Al-Bawab - 190-193 New Criticism on the Competitiveness Concept: A Critical Review of the Concept at the Macroeconomic Level
by Abdelmajid Charrass - 194-201 The Determinants of Chinese Property Prices
by Ming Qi - 202-210 Bilateral Trades between Egypt and Malaysia: Issues and Opportunities for Further Development
by Muhamad Muda & Siti Nurazira Daud & Ibrahim Mohamed Ibrahim Eldeeb - 211-220 Financial Development and Poverty in Developing Countries: Evidence from Sub-Saharan Africa
by Pam Zahonogo
December 2016, Volume 8, Issue 12
- 1-9 Portfolio Investment Flows, GDP, and Investment in Brazil
by Roberto Meurer - 10-20 Modelling the Temporal Effect of Terrorism on Tourism in Kenya
by Brian K. Masinde & Steven Buigut & Joseph K. Mung¡¯atu - 21-36 Factors Influencing the Success of ERP System Implementation in the Public Sector in the Kingdom of Bahrain
by Omar Mohamed Bukamal & Rami Mohammad Abu Wadi - 37-43 Impact of Trading Activity on Price Volatility: Case of Tunisian Stock Market
by Mohamed Rafaa Chebbi & Sana Ayachi Jebnoun - 44-49 Modelling Discretionary: The Development of Automated Financial Service Industry
by Xiaomin Guo - 50-62 Characteristics of Top Tier Finance Journal Publications
by Ebenezer Asem & Vishaal Baulkaran - 63-76 Medium Risk Companies: The Probability of Notching-Up
by Marco Muscettola - 77-94 Empirical Analysis of Efficiency of Community Banks in Tanzania
by Lucas Mataba & Jehovaness Aikaeli - 95-105 Credit Card Rates and Consumer Switch: New Evidence
by Omar A. Abdelrahman - 106-112 The Impact of Austerity Measures on Government Borrowing in GIIPS
by Imre Ersoy & Talha Yanmaz - 113-119 Relationship between Economic Growth, Unemployment and Poverty: Analysis at Provincial Level in Vietnam
by Nguyen Hoang Quy - 120-131 An Empirical Analysis of the Relationship between Oil Prices and Stock Markets
by S. N. Markoulis & N. Neofytou - 132-142 An Empirical Analysis of Capital Adequacy Determinants in Nigerian Banking Sector
by Odunayo Magret Olarewaju & Joseph Olorunfemi Akande - 143-150 Determinants of Foreign Portfolio Investment and Its Effects on China
by Muhammad Afaq Haider & Muhammad Asif Khan & Elyas Abdulahi - 151-162 Determinants of Corporate Hedging: Evidence from Emerging Market
by Cigdem Vural-Yavas - 163-174 Can Impairment Recognition under IAS 36 Be Improved by Financial Performance?
by Mohammad Ebrahim Nawaiseh - 175-182 An Empirical Study on the Factors Affecting Savings Bank Loan Interest Rates
by Hyun Don Lee & Sang-Bum Park - 183-186 The Arithmetics of Par, Spot and Forward Curves
by Vahagn Melik-Parsadanyan - 187-201 Social Responsibility and Its Effect on the Companies¡¯ Success According to Users Opinions in Jordan
by Raed Kanakriyah - 202-215 Valuation of Interacting Time-to-Build and Growth Real Options in Infrastructure Investments
by Olubanjo Michael Adetunji & Akintola Amos Owolabi - 216-223 Foreign Direct Investment and Retailing in India: Opportunities and Challenges
by Desti Kannaiah & A. Vinayagamoorthy - 224-237 Should the Interest Rate Really Be the Unique Motive to Save in the Ramsey Model?
by Atef Khelifi - 238-249 Climate Variability and Agricultural Loan Delinquency in the US
by Denis Nadolnyak & Valentina Hartarska & Xuan Shen
November 2016, Volume 8, Issue 11
- 1-1 The Impact of Political Connections on the Performance and Solvency of Canadian Financial Institutions
by Saidatou Dicko - 1-12 Choosing the Appropriate Amount of Mortgage Loan: Risk Based Decision Making
by Suleyman Gunay & Kasirga Yildirak - 1-30 The article has been withdrawn
by Michael Zhang - 1-48 An Analysis of the Relationship between Crude Oil Prices, Current Account Deficit and Exchange Rates: Turkish Experiment
by ?agatay Basarir & Mehmet Er?akar - 1-60 Firm Performance and Its Drivers: How Important Are the Industry and Firm-Level Factors?
by Olubanjo Adetunji & Akintola Owolabi - 1-78 Organic Agriculture, Greenhouse Gas Emissions and Environmental Efficiency: An Empirical Study on OECD Countries
by Mariarosaria Agostino - 1-96 Dynamic Analysis of Structural Shifts of Fiscal Revenue in Nigeria, 1999-2016
by Mustapha Akinkunmi - 111-111 The Corruption-Terrorism Nexus: A Panel Data Approach
by Nahil Boussiga & Malek Ghdamsi - 118-118 Dividend Smoothing and Signaling Under the Impact of the Global Financial Crisis: A Comparison of US and Southeast Asian Markets
by Xuan Nguyen & Quoc Trung Tran - 124-124 Research and Analysis on Market Value Management in China Based on Method of Rank-Sum Ratio and Principal Component Analysis
by Yaqian Pan & Wenxin Song & Yanjun Xv - 134-134 The Influence of Founder Status on Firm Performance: Empirical Evidence from Canadian IPO Firms
by Saif Ullah & Dan Zhang - 150-150 Is India Really Competing with China on a Macro Economic Base
by Desti Kannaiah & Uma T. - 155-155 An Empirical Review of Asset Pricing Models for the Japanese Share Market
by Brooke Maeda - 159-159 Predicting Financial Distress: Multi Scenarios Modeling Using Neural Network
by Mohamed Gameel & Khairy El-Geziry - 167-167 Factors Affecting ODA Project Performance: The Case of Urban Railway Projects in Vietnam
by Tran Dinh Nam & Dang Ngoc Duc & Nguyen Van Duy - 175-175 Qatar Emerging as the Most Attractive FDI Destination in the GCC
by Manuel Fernandez & Robinson Joseph - 193-193 Analysis of Indonesian Islamic and Conventional Banking Before and After 2008
by Arfianti Anwar - 200-200 Foreign Direct Investment, Economic Freedom and Economic Growth: Evidence from Developing Countries
by Md. Hossain
October 2016, Volume 8, Issue 10
- 1-13 Firm Growth and Technical Efficiency in Ethiopia: The Role of Firm Size and Finance
by Habtamu Tesfaye Edjigu - 14-22 The Effect of Fund Uniqueness on Fund Flow Sensitivity: An Empirical Study of Chinese Public Mutual Funds
by Qiaobo Zhang - 23-39 Dynamics of the Real Exchange Rate, Inflation, and Output Growth: The Case of Malawi
by Zelealem Yiheyis & Emmanuel Cleeve - 40-47 Analysis the Effect of Islamic Banks Performance on Depositor¡¯s Fund: Evidence from Indonesia
by Mohammed T. Abusharbeh - 48-59 Determinants of Market Liquidity: Evidence from the Jordanian Stock Market
by Mohammad Tayeh - 60-70 Financial Development and Economic Growth in the WAEMU Zone: A Causality Analysis according to Granger
by Zahore Gnoleba Martin - 71-81 Determinants of Swaziland¡¯s Sugar Export: A Gravity Model Approach
by Sotja G. Dlamini & Abdi-Khalil Edriss & Alexander R. Phiri & Micah B. Masuku - 82-91 The Impact of the Global Financial Crisis, Does It Sustain?
by Bashar Al-Zu¡¯bi & Hussein Salameh & Qasim Mousa Abu-Eid - 92-102 The Effects of Corporate Social Responsibility on Equity Fund Returns: Evidence from China
by Ming-Chuan Chen & Chen-Fu Lee & Chien-Ming Huang - 103-109 A Nonlinear Empirical Test on the Stochastic Convergence of Economic Growth: A Case Study of East Asian Economic Community
by Wang Kun & An Na - 110-120 The Impact of Board Size on Firm-Level Capital Investment Efficiency
by Amy E. Ji - 121-129 You Can Do Better than ¡°Sell in May¡±It Is not Halloween, but It May Be Passover and Hanukah
by Zvika Afik & Yaron Lahav & Efi Sayar & Rami Yosef - 130-139 The Impact of Liquidity on the Capital Structure: Evidence from Malaysia
by Maziar Ghasemi & Nazrul Hisyam Ab Razak - 140-158 Asset Price Volatility, Credit Rationing and Rational Lending Discrimination
by David Nickerson - 159-166 Payment Persistence of Participants in Turkish Private Pension Scheme and Gender Differences
by Yilmaz Yildiz & Ozgur Arslan-Ayaydin & Mehmet Baha Karan - 167-175 A Study Regarding the Advances of Political Stability and Economic Development Experienced in Turkey during the Periods of 1980-2015
by Mahmut Yardimcioglu & Ahmet Ilhan - 176-183 The Influence of Leadership Styles and Motivation of Employees Job Satisfaction
by Mustaqim - 184-191 An Analytical Study on Investors¡¯ Preference towards Mutual Fund Investment: A Study in Dhaka City, Bangladesh
by Noor Nahar Begum & Sarabia Rahman - 192-205 Corporate Governance and Financial Statement Disclosure Quality in Jordanian Commercial Banks
by Mohammad Khalid Al Attar - 206-219 The Determinants of Banks¡¯ Profitability under Basel Regulations: Evidence from Lebanon
by Iktimal Abdel Reda & Husam Rjoub & Ahmad Abu Alrub - 220-230 The Relationship between Accounting Education & Accounting Practice
by Ahmed Yousif Adam Ismael & Musa Eisa Mohammed Babiker
September 2016, Volume 8, Issue 9
- 1-10 Fertility, Union Wage Setting and Social Security System
by Leran Wang - 11-25 Awareness Level of Professional Independence Requirements, through Assimilation of Fundamental Principles of Professional Ethics, by Jordanian CPA Auditors, in Auditing Process: Field Study
by Raed Jameel Jaber & Marwan Mohammad Abu Fadda - 26-33 An Empirical Analysis of the Impact of Energy Consumption on the Financial Development of the Emerging Economies: A Moderating Role of Oil Prices
by Faisal Mahmood & Maria Saleem - 34-40 Relating Company Size and Financial Performance in Agricultural Firms Listed in the Nairobi Securities Exchange in Kenya
by Samuel Kanga Odalo & George Achoki & Amos Njuguna - 41-49 Development and Implementation of E-Business Strategies Managed and Applied by Kuwait Airways
by Ahmad Al-Fadly - 50-68 Equity Capital as a Safety Cushion in the US Banking Sector
by Raymond A. K. Cox & Randall K. Kimmel & Grace W. Y. Wang - 69-77 The Risk Management of Commercial Banks¡ª¡ªCredit-Risk Assessment of Enterprises
by Na Luo & Jiayi Yang & Yuanfeng Zhu & Yu Zhang - 78-90 Importance of Pricing for Hospitals¡¯ Expenses from Financial and Social Perspectives
by Kemal Yaman & Kemal Er & Emine Ozlem Koroglu - 91-103 The Impact of Corruption on Economic Growth in OIC Countries
by Basem Elmukhtar Ertimi & Abulkasem Dowa & Elham Mohamed Albisht & Basim Aboubaker Oqab - 104-116 Valuation of Economic Utilization of Fish Processing Waste Patin (Pangasius Hypopthalmus) as an Added Value for Fish Processing Industry Players in the District Kampar, Riau
by Marnis & Syahrul & Fitri & Mardayulis - 117-126 Empirical Analysis of ¡°Volatility Surprise¡± between Dollar Exchange Rate and CRB Commodity Future Markets
by Ching-Chun Wei - 127-139 The Bid-Ask Spread in the Danish Stock Market: Evidence from the 1990s
by Torben Voetmann - 140-147 An Estimation of the Informal Economy in Morocco
by Bourhaba Othmane & Hamimida Mama - 148-155 The Impact of Jordan¡¯s Conventional and Islamic Banking Development Factors on Economic Growth
by Nafith Fayez AL-Hersh - 156-172 The Impact of Computerized Information Systems on the Compliance of Internal Control Requirements According to ISA (315) in Jordanian Companies from the Perspectives of Their Employees
by Loay S Al-Rahamneh - 173-180 Impact of Environmental and Social Costs on Performance of Nigerian Manufacturing Companies
by Agbiogwu A. A. & Ihendinihu J. U. & Okafor M. C. - 181-198 Money Management by Practitioners: A Saudi Arabian View
by Ibrahim Alramady & Augustine C. Arize & Krishna M. Kasibhatla & John Malindretos & Moschos Scoullis - 199-207 Effect of Synergy on Financial Performance of Merged Financial Institutions in Kenya
by Agnes Ogada & Amos Njuguna & George Achoki - 208-214 Impact of Engineering Financial Market and Using Financial Derivatives on Financial Analysts Interest: Empirical Study from Amman Stock Exchange ¨CJordan
by Mohammad Khalid Al Attar - 215-225 The Impact of Compliance with Codes of Corporate Governance on Quality of Disclosure: Comparative Study between Palestine and Jordan
by Naser-Abdelkareem & Mohammed T. Abusharbeh - 226-233 Is Abnormally Large Volume a Clue?
by Tsung-Hsun Lu & Jun-De Lee - 234-248 The Visual ¡°Big Picture¡± of Intermediate Macroeconomics: A Pedagogical Tool to Teach Intermediate Macroeconomics
by Seyyed Ali Zeytoon Nejad Moosavian - 249-257 Impact of Capital Structure on Stock Prices: Evidence from Oman
by Udayakumari Vidhyasagara Menon
August 2016, Volume 8, Issue 8
- 1-1 The Impact of Financing on Economic Growth in Saudi Arabia
by Mohammed AL Mahish - 1-11 Enterprise Valuation Analysis Based on Grey Prediction Model and Index Selection—A Case Study of Huayi Brothers Media Group
by Na Luo & Jiangrui Chen & Lingyi Kong & Yuanfeng Zhu - 1-23 Credit Rating Changes and Stock Market Reaction in the Kingdom of Bahrain
by Marwan Abdeldayem & Ramzi Nekhili - 1-33 Regulations in Scheduled Intercity Coach Transport Sector in Turkey
by Ali Solak - 1-43 A Longitudinal Assessment of Tax Reforms and National Income in Nigeria: 1971-2014
by Innocent Nwaorgu & Wilson Herbert & Francis Onyilo - 1-53 Enhancing Marketing Efficiency of the Saudi Dates at the National and International Markets
by Al-Abdulkader Ahmed M. & Al-Kahtani Safar H. & Ismaiel, Sobhy M. & Elhendi Ahmed M. & Saad Ali I. & Alamri Yosef A. & Al-Dakhil Abdullah I. - 1-71 Extreme Value Volatility Estimators and Realized Volatility of Istanbul Stock Exchange: Evidence from Emerging Market
by Hakki Ozturk & Umit Erol & Asli Yuksel - 1-84 ARDL Bounds Testing Approach to Cointegration: Relationship International Trade Policy Reform and Foreign Trade in Vietnam
by Do Thi Thao & Zhang Jian Hua - 1-95 Finance and R&D Investment: A Panel Study of Italian Manufacturing Firms
by Marianna Succurro & Giuseppina Costanzo - 111-111 The Impact of Variable Interactions on Lebanese Banks Fragility
by Ali Awdeh - 124-124 The Negative Impacts of Commercial Concealment on the Performance of Small Businesses in Jeddah Province in Saudi Arabia
by Nayef Al-Ghamri - 143-143 Exchange Rate Regime, Inflation Targeting and Macroeconomic Performance
by Houda Jendoubi El Achnab - 156-156 Independent Director, Executives Compensation and Corporate Performance-Correcting Self-Selection Bias by Matching Methods
by Yuan Chang & Pang-Tien Lieu - 180-180 An Analysis of the Financial Performance of Selected Savings and Credit Co-Operative Societies in Botswana
by C Sathyamoorthi & Christian Mbekomize & Ishmael Radikoko & Lillian Wally-Dima - 194-194 Impact of Macroeconomic and Demographic Variables on the Stock Market: Evidence from Tunisian Crisis
by Sirine Ben Yaâla & Jamel Henchiri - 205-205 Optimal Bonus-Malus System Design in Motor Third-Party Liability Insurance in Turkey: Negative Binomial Model
by Serpil Bülbül & Kemal Baykal - 212-212 Corporate Governance and Firms’Financial Performance of Listed Company in the West African Monetary Union (Wamu) Regional Financial Exchange
by Aboudou Maman Tachiwou - 222-222 Effect of Equity Incentive on Inefficient Investment in Chinese State-owned Enterprises
by Liu Yan - 229-229 Assessing Growers’ Perceptions of Effective Extension Methods and Information Communication Technologies for Training Vegetable Growers in Jordan
by Ahmad Al-Rimawi & Mohammad Tabieh & Hussein Al-Qudah - 237-237 Trade Openness and Real Investment: Is there Asymmetric Cointegration Relationship? Evidence from Jordan
by Alaaeddin Al-Tarawneh - 242-242 Challenges Hindering the Accessibility of Tanzania’s Health Service: A Literature Review
by Kelvin Swere
July 2016, Volume 8, Issue 7
- 1-1 Measuring the Hedge Ratio: A GCC Perspective
by Ahmad Bash & Abdullah M. Al-Awadhi & Fouad Jamaani - 1-21 The Determinants of Corporate Liquidity in Real Estate Industry: Evidence from Vietnam
by Truong Trinh & Phan Thi Thuy Mai - 1-31 More than a Fair Share? Principal-Principal Conflicts in Emerging Markets: Evidence from India
by Radha Ladkani & Ashok Banerjee - 1-47 Investigating the Effect of Dividend Policy on the Wealth of Stockholders of Listed Companies on the Ghana Stock Exchange
by Evans Nkuah & Hadrat Yusif - 1-55 Modeling and Analyzing the Mean and Volatility Relationship between Electricity Price Returns and Fuel Market Returns
by Ching-Chun Wei - 1-71 Monetary Policy and Output Growth Forecasting in a SVAR Perspective
by Adebayo Kutu & Gbenga Akinola & Ntokozo Nzimande - 1-94 Political Risks and Their Economic Effects: Evidence from Egypt
by Ashraf Helmy & Osama Wagdi - 123-123 FDI-Local Investment Nexus: Evidence from MENA Region
by Nadia Selmi - 132-132 Impacts of Monetary Policy and Information Shock on Stock Market: Case Study in Vietnam
by Trung Thanh Nguyen & Thi Linh Do & Van Duy Nguyen - 140-140 Competitiveness Determinants of Moroccan Exports: Quantity-Based Analysis
by Bilal Lotfi & Mohamed Karim - 149-149 Do External and Internal Crises Affect Foreign Portfolio Inflows? The Case of China and India
by Fayyaz Ahmad & Muhammad Umar Draz & Su-Chang Yang - 159-159 Assessing the Impact of S&P SL20 Index Construction on Listed Companies in Colombo Stock Exchange (CSE)
by Upeksha Perera & Rohana Dissanayake & Mangalika Jayasundara - 178-178 Stock Selection Based on Fundamental Analysis Approach by Grey Relational Analysis: A Case of Turkey
by Mehmet Bayramoglu & Coskun Hamzacebi - 185-185 The Effect of Bank Specific Factors on Loan Performance of HFC Bank in Ghana
by Grace Ofori-Abebrese & Robert Becker Pickson & Eric Opare - 193-193 Relationship between Foreign Exchange Rate and Stock Price of Commercial Joint Stock Banks: Evidence from Vietnam
by Tran Mong Uyen Ngan - 201-201 Investigating the Financial Awareness and Behaviors of Veterinary Medical Students
by Amy Snyder & Kenneth Royal - 207-207 Dividend Announcement and Ex-Dividend Effects on Stock Return
by Dinh Ngoc & Nguyen Chi Cuong - 216-216 Are Family Firms Different in Choosing and Adjusting Their Capital Structure? An Empirical Analysis through the Lens of Agency Theory
by Ottorino Morresi & Alessia Naccarato - 233-233 Profitability of Banks in Lebanon: Some Theoretical and Empirical Results
by Samih Azar & Ali Bolbol & Alexandre Mouradian - 244-244 Monetary Policy and Financial Stability: A CEMAC Zone Case Study
by Antoine Ngakosso - 258-258 A Study of the Determinants of Cost and Revenue Efficiency in the Context of Islamic and Conventional Banks: The Case of Malaysia from 2006 to 2012
by Mohamed Ghroubi & Ezzeddine Abaoub - 275-275 Adjusting Time for Uncertain Project Assessment
by Salvador Cruz Rambaud & Ana MarÃa Sánchez Pérez - 284-284 The Econometric Estimation of Macroeconomic Effect of Financial Development on Economic Growth in Cote d’Ivoire: A Long and Short Run Analysis, 1970-2014
by Drama Bédi Guy Hervé - 294-294 Analysis on the Input-Output Relevancy between China’s Financial Industry and Three Major Industries
by Jia-li Cai - 304-304 Performance Assessment of Real Estate Investment Trusts (REIT) Listed in BIST Via Different Multi Criteria Decision Making Methods
by Namik Erdogan & Serpil Altinirmak & Caglar Karamasa - 322-322 Abnormal Return, Market Reaction around Rating Announcement in Tunisian Stock Market
by Wissem Daadaa - 330-330 A Review of the Relationship between Corporate Financial Performance and the Level of Related Party Transactions among Listed Companies on Tehran Stock Exchange
by Ali Basalighe & Ehsan Khansalar - 344-344 Economic Effects of Tax Evasion on Jordanian Economy
by Taha Barakat AL-Shawawreh & Belal Yousef AL-Smirat - 349-349 Reviewer Acknowledgements for International Journal of Economics and Finance, Vol. 8, No. 7
by Michael Zhang
June 2016, Volume 8, Issue 6
- 1-1 Effects of Multiple Risks on Farm Income and Willingness to Pay for Agricultural Insurance: A Case Study of the Greater Accra Region in Ghana
by Frederick Quaye - 1-13 Identify and Ranking the Factors Affecting Recruitment and Retention of Corporate Customers within Banking System
by Majid Esmaeilpour & Hadis Azargoon - 1-24 Fiscal Policy in a Floating Exchange Rate Regime with Consumption Home Bias
by Chung-Fu Lai & Wen-Fang Wang - 1-37 An Investigation of Corporate Sustainability Value to Investors Before and After the Financial Crisis
by Rudolf Baas & Georgios Georgakopoulos & Konstantinos Vasileiou & Ioannis Sotiropoulos - 1-49 The Impact of Working Capital Management on Profitability of Petroleum Retail Firms: Empirical Evidence from Ghana
by Joseph Mbawuni & Mercy Mbawuni & Simon Nimako - 1-63 Dividend Policy Decision across African Countries
by Joseph Yensu & Charles Adusei - 1-78 Investigating the Motivations of VC Syndication in China --- Do Chinese Leading VC Firms Make a Difference in Terms of Syndication Decisions
by Yi Tan & Xiaoli Wang - 1-89 A Review of the Relationship between Ownership Structure and Economic Performance Criteria in Companies Listed on Tehran Stock Exchange
by Ali Yaghoobi & Ehsan Khansalar - 100-100 International Portfolio Diversification - Role of Emerging Economies-US Integration and Dynamic Linkages: An Empirical Study
by Ranjan Dasgupta - 118-118 The Japan Municipal Bond Yield Curve: 2002 to the Present
by Takahiro Hattori & Hiroki Miyake - 129-129 External Debt & Economic Growth: Case of Tunisia
by Zaghdoudi Khemais & Mezni Mohamed & Djebali Nesrine - 141-141 Internal Control Quality and Underinvestment under the Perspective of Corporate Life Cycle
by Yan Liu