Content
2024, Volume 14, Issue 2
- 143-169 Impact of country-level governance on entrepreneurial performance: a cross-country analysis
by Najib H.S. Farhan & Faozi A. Almaqtari & Waleed M. Al-Ahdal & Mohd Mohd Yasir Arafat - 143-169 Impact of country-level governance on entrepreneurial performance: a cross-country analysis
by Najib H.S. Farhan & Faozi A. Almaqtari & Waleed M. Al-Ahdal & Mohd Mohd Yasir Arafat - 170-191 Credit risk and bank performance: a Sub-Saharan African perspective
by Adamu Yahaya & Fauziah Mahat & Aliyu Mamman - 170-191 Credit risk and bank performance: a Sub-Saharan African perspective
by Adamu Yahaya & Fauziah Mahat & Aliyu Mamman - 192-228 Islamic religiosity and corporate capital structure: evidence from Malaysia
by Yee Peng Chow - 192-228 Islamic religiosity and corporate capital structure: evidence from Malaysia
by Yee Peng Chow - 229-245 Deposits and financial sustainability of deposit-taking microfinance institutions: evidence from low income Sub-Saharan Africa
by Zibusiso Moyo & Sophia Mukorera & Phocenah Nyatanga - 229-245 Deposits and financial sustainability of deposit-taking microfinance institutions: evidence from low income Sub-Saharan Africa
by Zibusiso Moyo & Sophia Mukorera & Phocenah Nyatanga - 246-280 Systemic risk, contagion and risk factors in the Tunisian banking system context: measures and determinants
by Mohamed Amin Chakroun & Mohamed Imen Gallali - 246-280 Systemic risk, contagion and risk factors in the Tunisian banking system context: measures and determinants
by Mohamed Amin Chakroun & Mohamed Imen Gallali - 281-296 The nexus between free cash flow, audit committee characteristics, and earnings management practices
by Dea'a Al-Deen Omar Al-Sraheen & Nofan Hamed Al-Olimat & Mohammad Naser Hamdan - 281-296 The nexus between free cash flow, audit committee characteristics, and earnings management practices
by Dea'a Al-Deen Omar Al-Sraheen & Nofan Hamed Al-Olimat & Mohammad Naser Hamdan - 297-316 Reported risk categories in the prospectus and IPO valuation in Indian stock market: an empirical investigation
by Krishan Lal Grover & Pritpal Singh Bhullar & Seshadev Sahoo - 297-316 Reported risk categories in the prospectus and IPO valuation in Indian stock market: an empirical investigation
by Krishan Lal Grover & Pritpal Singh Bhullar & Seshadev Sahoo
2024, Volume 14, Issue 1
- 1-21 Informational content of cash dividends and retained earnings: evidence from South Africa
by Atanas Sixpence & Olufemi Patrick Adeyeye & Rajendra Rajaram - 1-21 Informational content of cash dividends and retained earnings: evidence from South Africa
by Atanas Sixpence & Olufemi Patrick Adeyeye & Rajendra Rajaram - 22-42 Explanatory power of realised moments
by Seema Rehman & Saqib Sharif & Wali Ullah - 22-42 Explanatory power of realised moments
by Seema Rehman & Saqib Sharif & Wali Ullah - 43-82 Financial frictions and stabilisation policies
by Saira Tufail & Ather Maqsood Ahmed - 43-82 Financial frictions and stabilisation policies
by Saira Tufail & Ather Maqsood Ahmed - 83-99 The relationship between implied volatility and equity returns in South Africa
by Faeezah Peerbhai & Damien Kunjal & Delane D. Naidu & Camiel Singh & Fabian Moodley - 83-99 The relationship between implied volatility and equity returns in South Africa
by Faeezah Peerbhai & Damien Kunjal & Delane D. Naidu & Camiel Singh & Fabian Moodley - 100-114 The effect of corporate social responsibility disclosure on financial performance: evidence from Palestinian banks and insurance public listed companies
by Hanna'a Shehada & Mohammed Alashi & Hisham Madi & Maher Durgham - 100-114 The effect of corporate social responsibility disclosure on financial performance: evidence from Palestinian banks and insurance public listed companies
by Hanna'a Shehada & Mohammed Alashi & Hisham Madi & Maher Durgham - 115-141 Developing of an asset/liability allocation model for banks
by Mohsen Mohammadloo & Nasser Motahari Farimani & Mehdi Feizi & Mohammadali Pirayesh - 115-141 Developing of an asset/liability allocation model for banks
by Mohsen Mohammadloo & Nasser Motahari Farimani & Mehdi Feizi & Mohammadali Pirayesh
2023, Volume 13, Issue 6
- 693-713 Predictive ability of operating cash flow and earnings on future cash flow of NSE-listed firms
by Mwila J. Mulenga & Meena Bhatia - 693-713 Predictive ability of operating cash flow and earnings on future cash flow of NSE-listed firms
by Mwila J. Mulenga & Meena Bhatia - 714-734 Use of information sources, annual reports and other corporate announcements: the case of large and small investors of India
by Meena Bhatia - 714-734 Use of information sources, annual reports and other corporate announcements: the case of large and small investors of India
by Meena Bhatia - 735-758 Auditor choice, audit partner busyness, and sustainability reporting quality
by Moses Elaigwu & Ayoib Che-Ahmad & Salau Olarinoye Abdulmalik - 735-758 Auditor choice, audit partner busyness, and sustainability reporting quality
by Moses Elaigwu & Ayoib Che-Ahmad & Salau Olarinoye Abdulmalik - 759-779 Factors affecting CEO compensation: an empirical investigation from emerging markets
by Gehan A. Mousa - 759-779 Factors affecting CEO compensation: an empirical investigation from emerging markets
by Gehan A. Mousa - 780-797 Internecine interrelations among liquidity risk, market risk and credit risk in Indian banking system
by Satya Krishna Sharma Raavinuthala & Girish Jain & Pratap Chandra Biswal - 780-797 Internecine interrelations among liquidity risk, market risk and credit risk in Indian banking system
by Satya Krishna Sharma Raavinuthala & Girish Jain & Pratap Chandra Biswal - 798-818 Cross-border merger impact on wealth of acquirers: evidence from emerging nation
by Sweta Agarwal & Anubhav Jain - 798-818 Cross-border merger impact on wealth of acquirers: evidence from emerging nation
by Sweta Agarwal & Anubhav Jain - 819-842 Forecasting volatility of Saudi stock market (TASI) and sectoral indices
by Sunitha Kumaran - 819-842 Forecasting volatility of Saudi stock market (TASI) and sectoral indices
by Sunitha Kumaran
2023, Volume 13, Issue 5
- 551-573 Extending theory of planned behaviour for predicting investment intention of millennials by including risk-taking propensity
by Shikha Bhatia & Nidhi Singh - 551-573 Extending theory of planned behaviour for predicting investment intention of millennials by including risk-taking propensity
by Shikha Bhatia & Nidhi Singh - 574-591 The long-run performance of initial public offerings: evidence from a transition economy
by Nguyen Van Tan & Ninh Thi Trang - 574-591 The long-run performance of initial public offerings: evidence from a transition economy
by Nguyen Van Tan & Ninh Thi Trang - 592-611 Investigating accrual and real earnings management of financially troubled Indian firms
by Sweta Tiwari & Chanchal Chatterjee - 592-611 Investigating accrual and real earnings management of financially troubled Indian firms
by Sweta Tiwari & Chanchal Chatterjee - 612-628 Branch banking variability and rural banks' performance: a GMM approach
by Haruna Maama & Emmanuel Okofo-Dartey - 612-628 Branch banking variability and rural banks' performance: a GMM approach
by Haruna Maama & Emmanuel Okofo-Dartey - 629-650 Modelling the real exchange rate misalignment in the presence of outliers for developing countries
by Ridha Ettbib & Mansour Eddaly - 629-650 Modelling the real exchange rate misalignment in the presence of outliers for developing countries
by Ridha Ettbib & Mansour Eddaly - 651-672 Volatility dynamics of Tunisian stock market before and during COVID-19 outbreak and diversification benefits of Bitcoin
by Marwa Ben Salem & Mohamed Fakhfekh & Ahmed Jeribi - 651-672 Volatility dynamics of Tunisian stock market before and during COVID-19 outbreak and diversification benefits of Bitcoin
by Marwa Ben Salem & Mohamed Fakhfekh & Ahmed Jeribi - 673-692 Do data mining techniques assist auditors in predicting high-risk accounts in MENA Region countries?
by Wafaa Salah Mohamed & Lamiaa Fattouh Ibrahim & Moid Uddin Ahmad - 673-692 Do data mining techniques assist auditors in predicting high-risk accounts in MENA Region countries?
by Wafaa Salah Mohamed & Lamiaa Fattouh Ibrahim & Moid Uddin Ahmad
2023, Volume 13, Issue 4
- 415-433 Impact of cash conversion cycle on financial performance: an empirical study of listed companies in Botswana
by C.R. Sathyamoorthi & Christian John Mbekomize & Lame Bakwenabatsile - 415-433 Impact of cash conversion cycle on financial performance: an empirical study of listed companies in Botswana
by C.R. Sathyamoorthi & Christian John Mbekomize & Lame Bakwenabatsile - 434-451 The relationship between tax revenue and economic growth: an empirical study in Vietnam
by My-Linh Thi Nguyen & Nga Phan Thi Hang & Toan Ngoc Bui & Hoai Thu Ho & Tung Duy Thai - 434-451 The relationship between tax revenue and economic growth: an empirical study in Vietnam
by My-Linh Thi Nguyen & Nga Phan Thi Hang & Toan Ngoc Bui & Hoai Thu Ho & Tung Duy Thai - 452-466 Seasonality in Gulf Cooperation Council stock markets
by Turki Alshammari - 452-466 Seasonality in Gulf Cooperation Council stock markets
by Turki Alshammari - 467-477 Mean reversals and stock market overreactions: further evidence from India
by T.G. Saji - 467-477 Mean reversals and stock market overreactions: further evidence from India
by T.G. Saji - 478-501 Evaluating the sources of productivity of insurance firms in Arab gulf countries and Jordan: Malmquist productivity index
by Abderazak Bakhouche & Eman Zabalawi & Mohamed Lotfi Boulkeroua - 478-501 Evaluating the sources of productivity of insurance firms in Arab gulf countries and Jordan: Malmquist productivity index
by Abderazak Bakhouche & Eman Zabalawi & Mohamed Lotfi Boulkeroua - 502-527 Sentiment and stock returns: aggregate and cross-sectional analysis from Pakistan
by Sana Tauseef & Hira Suman - 502-527 Sentiment and stock returns: aggregate and cross-sectional analysis from Pakistan
by Sana Tauseef & Hira Suman - 528-549 Earnings management and ownership type in microfinance institutions: an international evidence
by Naima Lassoued - 528-549 Earnings management and ownership type in microfinance institutions: an international evidence
by Naima Lassoued
2023, Volume 13, Issue 3
- 277-304 Loan loss provision practices during economic crises: evidence from banks listed on the Damascus Securities Exchange
by Layla A. Ashoor & Linda Ismaiel & Zeina Al-Ahmad - 277-304 Loan loss provision practices during economic crises: evidence from banks listed on the Damascus Securities Exchange
by Layla A. Ashoor & Linda Ismaiel & Zeina Al-Ahmad - 305-319 Market reaction to the annual cash dividend changes in Pakistan
by Sana Tauseef - 305-319 Market reaction to the annual cash dividend changes in Pakistan
by Sana Tauseef - 320-339 Impact of institutional quality on firms' debt maturity in developing nations
by Bolaji Tunde Matemilola & A.N. Bany-Ariffin & Gbemisola Adeoye - 320-339 Impact of institutional quality on firms' debt maturity in developing nations
by Bolaji Tunde Matemilola & A.N. Bany-Ariffin & Gbemisola Adeoye - 340-368 How COVID-19 pandemic and oil prices drive the Saudi sectors over investment horizons: a wavelet sector-based view
by Chaker Aloui & Sharif Arshian & Noshaba Aziz - 340-368 How COVID-19 pandemic and oil prices drive the Saudi sectors over investment horizons: a wavelet sector-based view
by Chaker Aloui & Sharif Arshian & Noshaba Aziz - 369-398 Adherence level to materiality in stand-alone GRI sustainability reporting in Arab nations: does listing status matter?
by Krayyem Al-Hajaya - 369-398 Adherence level to materiality in stand-alone GRI sustainability reporting in Arab nations: does listing status matter?
by Krayyem Al-Hajaya - 399-414 Drivers of shareholder value: evidence from an emerging market
by Samuel Buertey - 399-414 Drivers of shareholder value: evidence from an emerging market
by Samuel Buertey
2023, Volume 13, Issue 2
- 147-173 Investment approach, predictability and mediating effect of the market profitability index on investor sentiment on the West African Regional Stock Exchange
by Pourakin Djarius Dieudonné Bama - 147-173 Investment approach, predictability and mediating effect of the market profitability index on investor sentiment on the West African Regional Stock Exchange
by Pourakin Djarius Dieudonné Bama - 174-191 Do earnings quality models affect different excess cash holdings models?
by Mohammed M. Yassin & Saja A. Al-Kasasbeh - 174-191 Do earnings quality models affect different excess cash holdings models?
by Mohammed M. Yassin & Saja A. Al-Kasasbeh - 192-209 Social performance reporting in the Indian banking sector - exploring linkage with financial performance
by Parul Munjal & P. Malarvizhi & Deergha Sharma - 192-209 Social performance reporting in the Indian banking sector - exploring linkage with financial performance
by Parul Munjal & P. Malarvizhi & Deergha Sharma - 210-224 Extreme value volatility estimators and realised volatility of stock prices in Amman Stock Exchange
by Dima Waleed Hanna Alrabadi & Duha Ali Al-Barakat - 210-224 Extreme value volatility estimators and realised volatility of stock prices in Amman Stock Exchange
by Dima Waleed Hanna Alrabadi & Duha Ali Al-Barakat - 225-252 The mediating effect of financial reporting quality on corporate governance effectiveness and cost of debt
by Muneer Rajab Amrah & Hafiza Aishah Hashim & Lutfi Hassen Ali Al-Ttaffi - 225-252 The mediating effect of financial reporting quality on corporate governance effectiveness and cost of debt
by Muneer Rajab Amrah & Hafiza Aishah Hashim & Lutfi Hassen Ali Al-Ttaffi - 253-276 Influencing factors for internal audit effectiveness in the Indian context
by Prem Lal Joshi & Govindan Marthandan - 253-276 Influencing factors for internal audit effectiveness in the Indian context
by Prem Lal Joshi & Govindan Marthandan
2023, Volume 13, Issue 1
- 1-21 Did the public company oversight board's restrictions on auditor-provided tax services reduce companies' tax avoidance?
by Mahmoud Ahmed - 1-21 Did the public company oversight board's restrictions on auditor-provided tax services reduce companies' tax avoidance?
by Mahmoud Ahmed - 22-40 Banking sector intermediation and economic growth: new evidence from CEMAC countries
by Pierre Axel Louembé & Man Wang & Dilesha Nawadali Rathnayake - 22-40 Banking sector intermediation and economic growth: new evidence from CEMAC countries
by Pierre Axel Louembé & Man Wang & Dilesha Nawadali Rathnayake - 41-53 The effect of credit rating announcements on stock returns of banks in India
by Silky Vigg Kushwah & C.A. Manav Vigg - 41-53 The effect of credit rating announcements on stock returns of banks in India
by Silky Vigg Kushwah & C.A. Manav Vigg - 54-67 Women participation in corporate boards: quantile regression approach
by Akshita Arora & Tarun Kumar Soni - 54-67 Women participation in corporate boards: quantile regression approach
by Akshita Arora & Tarun Kumar Soni - 68-84 Rational speculative bubbles in the stock market - the case of Amman Stock Exchange
by Usama Adnan Fendi & Bassam Mohammad Maali & Muhannad Ahamd Atmeh - 68-84 Rational speculative bubbles in the stock market - the case of Amman Stock Exchange
by Usama Adnan Fendi & Bassam Mohammad Maali & Muhannad Ahamd Atmeh - 85-124 Default prediction for audited and unaudited private firms under economic and financial stress: evidence from Zimbabwe
by Frank Ranganai Matenda & Mabutho Sibanda & Eriyoti Chikodza & Victor Gumbo - 85-124 Default prediction for audited and unaudited private firms under economic and financial stress: evidence from Zimbabwe
by Frank Ranganai Matenda & Mabutho Sibanda & Eriyoti Chikodza & Victor Gumbo - 125-145 A longitudinal investigation of IFRS-8 implementation: evidence from Qatar
by Ghassan H. Mardini & Amneh Alkurdi & Ahmed Hassan Ahmed - 125-145 A longitudinal investigation of IFRS-8 implementation: evidence from Qatar
by Ghassan H. Mardini & Amneh Alkurdi & Ahmed Hassan Ahmed
2022, Volume 12, Issue 6
- 679-690 Determinants of gold futures trading volume: a study of Thailand futures exchange
by Woradee Jongadsayakul - 691-711 Cointegration of 'MIBOR' with rupee-dollar and rupee-yen exchange rates: estimating volatility spill-overs and asymmetry
by Upendra Nath Shukla & Neelam Tandon & Deepak Tandon & Hemendra Gupta - 712-729 Financial reporting quality of private and public banks in India
by Vijyapu Prasanna Kumar & Sujata Kar - 730-760 The role of assets components in firm valuation
by Gee Jung Kwon - 761-789 The effect of corporate governance, dividend policy and informativeness of risk disclosure on the firm value: Egyptian evidence
by Tariq H. Ismail & Mohamed Samy El-Deeb - 790-803 The effect of audit committee on audit opinion through earnings management as mediation variable
by Juniarti & Fany & Devie
2022, Volume 12, Issue 5
- 551-573 Directors' interests, family control and firm performance: evidence from Hong Kong listed firms
by Ben K.F. Wong & Raymond Wong & Annie Ko & Raymond Kwong - 574-593 The effect of financial repression policy on bank liquidity risk (evidence from Central Bank of Iran)
by Seyed Ehsan Hosseinidoust & Armin Saatian - 594-606 Earnings deviation of interim and annual accounts: pre and post-MASB 26
by Saidatunur Fauzi Saidin & Mazrah Malek & Phua Lian Kee - 607-625 Asset pricing models: evidence from the Indian equity market
by Kapil Choudhary & Parveen Kumar & Sakshi Mehta - 626-647 Audit review and audit outcome of tax auditors in Thailand: moderating effects of professional skepticism and audit experience
by Kornchai Phornlaphatrachakorn & Khajit Na Kalasindhu - 648-677 Impact of cross-border mergers and acquisitions on short-term gain to shareholders of target firms in India – effect of the mode of payment and industry relatedness
by Manoj Panda & Mayank Joshipura
2022, Volume 12, Issue 4
- 413-426 Trade credit forecasting: empirical analysis using a ratio targeting approach
by Shame Mugova & Nicola Cucari - 427-454 Ownership concentration and firm valuation in a typical frontier market
by Nam Hoai Tran & Chi Dat Le - 455-478 Stock market efficiency: the Pakistan Stock Exchange merger
by Asad Ali & Saqib Sharif - 479-490 Investigation of stock return volatility using Shannon entropy - evidence from ASEAN stock markets
by Xuan Vinh Vo & Thi Tuan Anh Tran - 491-508 The equity market returns and volatility spillover from the US and Japanese markets to Asian frontier markets
by Thi Ngan Nguyen & Thi Kieu Hoa Phan & Nirav Parikh - 509-525 Does accounting quality predict corporate cash holdings?
by Rajesh Pathak & Ranajee Ranajee & Ranjan Das Gupta - 526-550 Bank growth, competition, and small business financing in Nigeria
by Cosmas Ikechukwu Asogwa & Nonye Azih & Godwin Keres Okoro Okereke & Hyginus Osita Omeje & Christiana Ukamaka Nwachukwu & Joseph Ndozianyichukwu Chukwuma & Honesta Chidiebere Anorue & Favour Amarachi Moghalu & Godwin Emeka Eze & Anthonia Uju Uzuagu
2022, Volume 12, Issue 3
- 279-290 Martingale effect of conventional vs. Islamic stock indices: evidence from the UAE
by Hazem Marashdeh & Sania Ashraf - 291-311 Bank capital and liquidity creation: evidence from Islamic and conventional MENA banks
by Ahmad Sahyouni & Man Wang - 312-344 Corporate governance, transparency and performance: empirical evidence from UAE
by Mostafa Kamal Hassan & Cristina Florio & Bassam Abu Abbas - 345-365 Herding behaviours and trading volume: evidence from Amman Stock Exchange
by Buthiena Kharabsheh & Mohammad Al-Gharaibeh - 366-377 Owner risk and firm valuation: evidence from Korean business group
by Haksoon Kim - 378-398 The value relevance of research and development expenditures: a comparative analysis of Korean, Japanese, Chinese, and US manufacturers
by Gee Jung Kwon - 399-412 The long-term performance of post-merger and acquisition: evidence from Indonesia's stock market
by Josua Tarigan & Jacqueline Evania & Devie Devie & Saarce Elsye Hatane
2022, Volume 12, Issue 2
- 143-164 The mitigation of agency problem by using corporate governance in emerging markets: evidence from Vietnam
by Duy Thanh Nguyen & Thanh Hai Huyen Truong - 165-177 The moderating effect of audit quality on the relationship between information asymmetry and earnings management: evidence from Jordan
by Mohammed Hassan Makhlouf & Mohammed Zakaria Soda & Yazan Oroud & Abdulhadi H. Ramadan - 178-201 Determinants of corporate governance disclosures of Islamic banks in Sudan: implications for Shariah governance
by Saed Ahmed Sulub & Zalailah Salleh & Hafiza Aishah Hashim - 202-215 Performance of conventional banks vs. Islamic banks: evidence from Indonesia
by Nevi Danila & Yousef Shahwan & Adeastri Aulia - 216-231 Trade credit in an emerging market: evidence from Kuwaiti firms
by Yomna Abdulla - 232-253 Causal relation and dynamic volatility spillover between commodity market and stock market: empirical evidence from India
by Ruchika Kaura & Nawal Kishor & Namita Rajput - 254-277 Are banks profitable and efficient? A case of Pakistan
by Muhammad Ali & Chin Hong Puah
2022, Volume 12, Issue 1
- 1-27 Modelling the recovery of Indian banks under prompt corrective action framework: TOPSIS methodology
by K.C. Arora & L. Ramani - 28-61 How price informativeness affects the sensitivity of investment-to-stock price in Vietnamese listed firms
by Quynh Trang Phan & Poomthan Rangkakulnuwat - 62-81 Market anomalies and investor behaviour
by Aditya Sharma & Arya Kumar & Arun Kumar Vaish - 82-104 Impact of audit committee attributes on financial reporting quality and timeliness: an empirical study
by Ben Kwame Agyei-Mensah - 105-128 The effect of cash flow information asymmetry criteria on conservatism in Iran
by Mahdi Salehi & Horta Azimi - 129-142 Home bias and return chasing by foreign portfolio investors: evidence from selected Sub-Saharan African markets
by Rihanat I. Abdulkadir
2021, Volume 11, Issue 5
- 647-671 Fiscal budget deficit and the emerging capital markets in West African countries
by Samson Edo & Henry Okodua - 672-690 Dividend policy and stock price: evidence from Vietnam
by Dinh Bao Ngoc & Nguyen Chi Cuong - 691-717 How debt maturity reacts to the interactions of internal corporate governance mechanisms
by Hanan Alhussayen & Ridha Shabou & Imed Medhioub - 718-739 Adjusting the consumption-based capital asset pricing model by the estimate bid-ask spreads based on daily highest and lowest prices in Iran
by Sedighe Alizadeh & Mohammad Nabi Shahiki Tash & Reza Roshan - 740-754 Idiosyncratic volatility and average stock returns: evidence from Sri Lanka
by H.A.P.K. Perera & Tharindu Chamara Ediriwickrama - 755-771 Loan loss provisions, earnings management, capital management, and signalling: the case of Vietnamese banks
by Tu D.Q. Le & Liem T. Nguyen & Son H. Tran - 772-786 Indian government bonds sensitivity to macroeconomic and non-macroeconomic factors: a quantile regression approach
by Muhammadriyaj Faniband
2021, Volume 11, Issue 4
- 471-489 Does earnings management impact firm performance? Empirical evidence from India
by Sunil Kumar & Nikhil Kaushik & Ashutosh Verma - 490-517 International financial reporting standards adoption and accounting quality: evidence from Ghanaian listed firms
by Benjamin Yeboah & Cláudio Pais - 518-536 Financial restructuring of firms under weak bankruptcy laws - an Indian experience
by Smita Mazumdar & Anupam Rastogi - 537-560 Asymmetric nonlinear analyses of banking sector behaviour, markets and interest rate risks in Africa's frontier economy
by Augustine C. Arize & Ebere Ume Kalu & John Malindretos & Asli Ogunc - 561-582 Do demand curves for stocks slope down? - new evidence from a unique event in India
by Srikanth Parthasarathy - 583-606 Determinants of intellectual capital performance in banks: empirical insights from an emerging market
by King Carl Tornam Duho & Joseph Mensah Onumah - 607-633 An analysis of pricing efficiency of exchange traded funds in India using ARDL bounds test approach
by Buvanesh Chandrasekaran & Rajesh H. Acharya - 634-646 Does fund managers' timing ability depend on market conditions? Evidence from Turkish variable funds
by Hale Yalcin & Sema Dube
2021, Volume 11, Issue 3
- 309-336 Corporate governance and economic growth in Sub-Saharan Africa
by Alexander Maune - 337-352 Impact of corporate governance on dividend policy in India
by Pankaj Chaudhary & Narain Chandra - 353-375 The influence of foreign currency earnings and foreign capital on earnings management
by Kameshwar Rao V.S. Modekurti & K. Lubza Nihar - 376-391 Macro determinants of stock market volatility: evidence from Middle East region
by Mahmoud Abdelaziz Touny & Mostafa Ahmed Radwan & Mahmoud M. Hussein Alayis - 392-422 On the impact of sentiment on stock returns: the case of Dhaka Stock Exchange
by Shah Saeed Hassan Chowdhury & Rashida Sharmin & M. Arifur Rahman - 423-446 Corporate board monitoring, political connection and real earnings management practice in Nigeria
by Armaya'u Alhaji Sani & Rohaida Abdul Latif & Redhwan Al-Dhamari - 447-469 Enhancing internal auditors' risk assessment through governance and cognition: an Egyptian perspective
by Sara Hussein Sabry & Ismail Ibrahim Gomaa
2021, Volume 11, Issue 2
- 167-197 Audit committee and financial reporting quality: the mediating effect of audit price in Nigeria
by Hussaini Bala & Noor Afza Amran & Hasnah Shaari - 198-221 The effect of financial leverage on banks' performance: empirical evidence from a frontier market - the Amman Stock Exchange
by Ahmad Abu-Alkheil & Mohammad Alomari & Balkis Set-Abouha - 222-236 Managerial entrenchment hypothesis and dividend payout policy
by Raheel Gohar & Ayesha Rashid - 237-265 Factors influencing the application of fair value of Vietnamese enterprises: an extension study of the theory of planned behaviour
by Nguyen Ngoc Lan & Vu Thi Kim Anh & Nguyen Thi Thanh Phuong - 266-289 The effect of tax and economic freedom on capital investment and foreign direct investment: empirical evidence from a panel of countries around the world
by Rana Albahsh - 290-308 Impact of crude oil price shocks on industrial output, inflation and exchange rate: evidence from five emerging Asian economies
by Shekhar Mishra & Naliniprava Tripathy & Sathya Swaroop Debasish
2021, Volume 11, Issue 1
- 1-19 What explains the investment decision-making behaviour? The role of financial literacy and financial risk tolerance
by Zaheer Ahmed & Umara Noreen & Suresh A.L. Ramakrishnan & Dewi Fariha Binti Abdullah - 20-34 Infrastructure-FDI nexus in Nigeria: insights from nonlinear threshold regression model
by Md. Mahmudul Haque & Mohammad Ashraful Ferdous Chowdhury & Mohammad Hassan Shakil & Mansur Masih - 35-63 Certification role of transparency and anchor investors in Indian IPOs
by Sweta Agarwal - 64-80 On the robustness of the Fama-French three-factor and the Carhart four-factor models on the Amman Stock Exchange
by Mohammad Q.M. Momani - 81-103 The nexus between reducing audit report lags and divining integrated financial report governance disclosures: should ASE directives be more conspicuous?
by Madher E. Hamdallah & Anan F. Srouji & Suzan R. Abed - 104-130 Risk governance and firm value: exploring the hierarchical regression method
by Olayinka Erin & Foluso Aribaba - 131-150 Active trading strategies based on momentum and term structure signals in commodity futures market: evidence from India
by Ritika Jaiswal - 151-165 Tax incentives and industrial productivity: evidence from Nigeria
by Folarin Alayande
2020, Volume 10, Issue 4
- 447-463 The effect of audit committee characteristics on earnings management: the case of Indonesia
by Doddy Setiawan & Lian Kee Phua & Hong Kok Chee & Irwan Trinugroho - 464-479 Relationship between debt maturity and IPO: the case of Indonesian firms
by Sarah Aulia Andriana & Yunieta Anny Nainggolan - 480-493 Investigation on leveraging effect of women directors on board to R%D investment and firms' financial performance in the context of developing countries: evidence from Indonesia
by Sita Deliyana Firmialy & Akbar Adhiutama - 494-513 Should Indonesia adopt a basket currency regime?
by Ahmad Danu Prasetyo & Camelia Magdalena & Brian Charvia & Mandra Lazuardi Kitri - 514-536 Macroprudential policy and financing behaviour in emerging markets: bank-level evidence from Indonesian dual banking
by Muhamed Zulkhibri & Muhammad Rizky Prima Sakti - 537-553 Day of the week effect anomaly in Dhaka Stock Exchange post crisis period: evidence from Bangladesh capital market
by Md Arafat Hossain & Vahid Biglari - 554-568 Analysing the stability of bankruptcy prediction models
by Rohani Md-Rus & Kamarun Nisham Taufil Mohd & Rohaida Abdul Latif - 569-583 The effect of dividend payouts on future earnings
by Gizelle D. Willows & Lawrence W.K. Ho & Darron West - 584-605 Operating performance and earnings management in Egypt
by Wael Mostafa
2020, Volume 10, Issue 3
- 295-319 Value relevance of reported financials of NSE listed companies
by Mwila J. Mulenga & Meena Bhatia - 320-340 The impacts of public investment on return and economic growth by economic industry in Vietnam
by Nguyen Thi Canh & Nguyen Thi Thuy Lien - 341-363 Board attributes and voluntary disclosure in an emerging economy: evidence from Nigeria
by Robert W. Odewale - 364-379 The stability of money demand in India in the post reform period: an empirical analysis
by Mohammad Asif & Rana Afreen - 380-408 Factors that drive dividend payout decisions: an investigation in the context of Bangladesh
by Afrin Rifat & Anika Bushra & Nabila Nisha - 409-429 Volatility interdependency: a quantile regression analysis in Asian stock markets
by Neha Seth & Laxmidhar Panda - 430-444 Capital structure and profitability in a tax-free country: evidence from the UAE
by Imen Tebourbi & Irene Wei Kiong Ting & Qian Long Kweh & Harith Ali Hamood Al Huseini
2020, Volume 10, Issue 2
- 131-150 An approach to corporate capital structure of Southeast Asian countries
by Tri M. Hoang & An Thai - 151-167 New evidence for the determinants of foreign investment in an Asian market
by Ben Le