Content
2023, Volume 13, Issue 7
- 431-462 The impact of GDP, human development, unemployment, and globalization on obesity
by Melina Dritsaki & Chaido Dritsaki - 463-477 Factors affecting customers' adoption of fintech in the gulf cooperation council countries
by Saleh Mohamed Shehata & Alaa Mohamed Abdeljawad & Loqman Abdelkader Mazouz & Lamia Yousif Khalaf Aldossary & Maryam Yousif Alsaeed & Mohamed Noureldin Sayed - 478-491 Measuring the response of the property price index to monetary policy shock: Evidence from emerging market economies
by Cep Jandi Anwar & Akhmadi & Kelvin Mardha Sofyan & Indra Suhendra & Pihri Buhaerah - 492-514 Medium and high-tech manufacturing development and the connections to macroeconomic factors: Insights from a fast-growing market
by Nguyen Tuan Anh & Nguyen Duc Hien & Dao Le Trang Anh - 515-532 Dynamics of capital flight components and domestic investment in Nigeria
by Ahmed Oluwatobi Adekunle & Adedeji Daniel Gbadebo & Joseph Olorunfemi Akande & Harada Yoshifumi & Muhammed Manzuma-Ndaaba Ndanusa
2023, Volume 13, Issue 6
- 365-378 Real estate development, human capital, and economic growth in Kenya
by Mutuku Rainard Munyao & Nyambuto Kennedy Ocharo & Ochenge Rogers Ondiba - 379-392 India's bilateral trade agreements and export competitiveness of agricultural commodities
by Krishnakumar Nanu Bandolkar & Sudarsan P K - 393-405 The effects of non-performing loans on bank stability and economic performance in Zimbabwe
by Blessing Katuka & Calvin Mudzingiri & Edson Vengesai - 406-415 Determinants of farm investment in Somalia: A var model application
by Abdulkadir Mohamed Nur - 416-430 Ownership concentration, sustainability practices, and cost of debt: Evidence from ASEAN countries
by Citra Sukmadilaga & Maria Ervina Permatasari Santoso & Erlane K Ghani
2023, Volume 13, Issue 5
- 293-307 Impacts of the COVID-19 pandemic on the relationship between the economic factors and stock prices of the transport sector in the stock exchange of Thailand
by Sukanya Sirimat & Tanawat Watchalaanun & Kitimaporn Choochote & Sakkarin Nonthapot - 308-319 Fintech’s game-changing opportunities for SMEs: A study on selected SMEs in Bangladesh
by Md. Ariful Hoque - 320-337 Islamic banks’ service quality in Somalia: Customer loyalty, satisfaction, and the role of trust as a mediator
by Galad Mohamed Barre & Abdimalik Ali Warsame & Hassan Abdikadir Hussein & Ismail Ibrahim Mohamed - 338-352 The effect of environmental, social and governance criteria on the corporate value of listed companies in Malaysia
by Nur Shahira Bte Shahrun & Suganthi Ramasamy & Yuen Yee Yen - 353-364 The impact of the customs environment on Vietnam’s exports
by Thanh Tuan Nguyen & Tinh Luong & Thi Thu Huong Trinh & Gia Khuong Nguyen & Thi Kim Thoa Dang
2023, Volume 13, Issue 4
- 228-240 An ARCH volatility analysis of real GDP, real gross capital formation, and foreign direct investment in Bangladesh
by Moumita Datta Gupta & Md Mahfuzur Rahman & Zinat Sultana & F M Arifur Rahman - 241-250 Determinants of the firm value of listed banks in Pakistan: A panel data approach
by Tahir Saeed Jagirani & Lim Chee Chee & Zunarni Binti Kosim - 251-268 Factors affecting investor satisfaction in the southeast economic zone of Nghe An province
by Le Vu Sao Mai & Dalasouk Kopsack & Nguyen Thi Tieng & Hoang Thi Huyen Trang & Tran Dang Khoa - 269-278 The impact of digitalization on the banking sector: Evidence from fintech countries
by Jihen Bousrih - 279-292 What was the impact of business performance on MSMEs during the COVID-19 pandemic?
by Hendra Achmadi & Oscar Jayanagara & Ahmad Hidayat Sutawijaya
2023, Volume 13, Issue 3
- 162-179 Estimation of stock market index volatility using the GARCH model: Causality between stock indices
by Doong Toong Lim & Khang Wen Goh & Yee Wai Sim & Khairunnisa Mokhtar & Sharmila Thinagar - 180-191 Evidence of COVID-19’s financial epidemiology on the ASEAN-5 stock indices
by Nuryasmin Wahida Binti Hamil & Ahmad Danial Bin Zainudin & Walton Wider - 192-201 The role of non-cognitive skills in the adoption of information and communication technology in Indonesia
by Rachman Hartono & Djoko Koestiono & Syafrial Syafrial & Hery Toiba & Mangku Purnonomo - 202-215 The effect of financial development on economic growth in high-income countries
by Akmil Ikhsan & Alpon Satrianto - 216-227 Does foreign direct investment affect poverty in BRICS?
by Kunofiwa Tsaurai
2023, Volume 13, Issue 2
- 98-107 Sustainable entrepreneurship in Malaysian companies
by Cheah Wen Fong & Yuen Yee Yen & Suganthi Ramasamy - 108-126 Working capital management and profitability of listed manufacturing companies in selected African countries
by Raji Sadiq Ademola & Adenikinju Olayinka Omolara - 127-137 Determinants for successful loan credits for older people in Thailand
by Luechai Sringernyuang & Buraskorn Torut & Mark Stephan Felix & Saisuda Vongjinda & Ubonwan Chaimongkol - 138-147 Empirical analysis of internet and mobile banking in Malaysia
by Hway-Boon Ong & Nahariah Jaffar & Voon-Choong Yap & Mariati Norhashim - 148-161 The mediator role of knowledge management and innovative capability affecting firm performance among commercial banks in Thailand
by Piyakanit Chotivanich & Irada Phorncharoen
2023, Volume 13, Issue 1
- 1-17 Corporate governance and foreign ownership in the Islamic capital market of Kuwait
by Naser S Boresli & Razali Haron & Rusni Hassan - 18-48 The impact of quality dimensions of accounting information system success on the effectiveness of during-financial crisis management: The mediating role of system usage in a government sector context
by Mahmoud Hany M Dalloul & Zuraeda binti Ibrahim & Sharina Tajul Urus - 49-73 Benchmark beating and earnings manipulation in Nigerian firms
by Gbadebo Adedeji & Akande Joseph & Yoshifumi Harada & Orraya Suwanno & Adekunle Ahmed - 74-84 Waqf management and accountability: Waqf land financing models for economic wellbeing
by Unggul Priyadi & Siti Achiria & Mochamad Ali Imron & Gholam Reza Zandi - 85-97 Tawarruq as an alternative product for bai al-inah within the Islamic banking system: A case study of Somali Islamic banks
by Galad Mohamed Barre
2022, Volume 12, Issue 12
- 982-1001 Marketing Equity using a Five-Factor Asset Pricing Model in ASEAN Countries
by Shalini Pillay & Suganthi Ramasamy & Yuen Yee Yen - 1002-1026 An Assessment of Currency Exposure of Non-Financial Firms in ASEAN-4: Insights using the Stock Returns and Cash Flow Methodologies
by Hishamuddin Abdul Wahab & Obiyathulla Ismath Bacha & Norhazlina Ibrahim & Ahmad Monir Abdullah & Nurul Afaaf Mohd Nasir - 1027-1040 The Long-Term Performance of Capital Expenditure from a Fundamental Perspective: Evidence from Indonesia
by Hendri Kwistianus & Juniarti - 1041-1073 IFRS Adoption and Accrual-Based Managed Earnings in Nigeria
by Wole Muri Adedokun & Adedeji Daniel Gbadebo & Ahmed Oluwatobi Adekunle & Joseph Olorunfemi Akande - 1074-1093 Does Corporate Governance Constrain Earnings Management in an Unstable Economic and Political Environment?
by Yousef Hassan & Ahmed Abousamak & Rafiq Hijazi
2022, Volume 12, Issue 11
- 909-922 Financial Innovation, Financial Patents and Business Performance: An Empirical Study on the Banking Industry in Taiwan
by Ting-Kun Liu - 923-937 Worker Transition Across Formal and Informal Sectors: A Panel Data Analysis in Indonesia
by Lilik Sugiharti & Neny Aditina & Miguel Angel Esquivias - 938-949 Macroeconomic Determinants of Unemployment in Somalia: The Case of Okun’s Law and the Phillips Curve
by Abdimalik Ali Warsame & Abdullahi Osman Ali & Ali Yusuf Hassan & Mohamed Osman Mohamed - 950-968 Board Structure and Stock Market Liquidity: Evidence from Saudi's Banking Industry
by Abdulateif A Almulhim - 969-981 The Impact of Investment Decisions on Firm Financial Performance Moderated by Economic Policy Uncertainty: Evidence from the Manufacturing Sector of Pakistan
by Abdul Quddus & Drahomira Pavelkova & Sarfraz Hussain & Tien Phat Pham
2022, Volume 12, Issue 10
- 837-847 Investigating the Influence of Financial Indicators on Stock Returns in the Presence of the COVID-19 Pandemic
by Ammar Yaser Almansour & Elina F Hasan & Ghassan Ahmad Abu Matar & Yaser Mansour Almansour & Hossam Haddad - 848-863 Dividend Payout Policy and Global Financial Crisis: A Study on Asian Non-Financial Listed Companies
by Hooi-Laing Boo & Tze-Haw Chan - 864-885 An Investigation of the Impact of Financial Inclusion on Economic Growth: Evidence from African Countries
by Muri Wole ADEDOKUN & Ahmed Oluwatobi ADEKUNLE & Joseph Olorunfemi AKANDE - 886-897 Public Debt, Fiscal Space, and Industrial Sector Performance in Nigeria
by Henry Okodua & Moses Akpesiri Erhi & Olabanji Olukayode Ewetan - 898-908 Wagner’s Law vs. Keynesian Theory: The Case for GCC Countries
by Mohammad Alawin & Anwar Al-Shriaan & Ebrahim Merza
2022, Volume 12, Issue 9
- 751-765 The Influence of Sustainable Development on Stock Risk and Volatility in Thailand’s Stock Exchange during the COVID-19 Pandemic
by Marisa Laokulrach - 766-780 Linking Internal Migration, Flow of Remittances and Household Wellbeing
by Sohail Javed & Noman Saeed & Asghar Ali - 781-799 Economic Uncertainty and its Effects in Bolivia
by Roger Alejandro Banegas Rivero & Marco Alberto Nunez Ramirez & Irma Guadalupe Esparza Garcia & Altayra Geraldine Ozuna Beltran - 800-815 Tax Reforms, Digitalization and Government Revenue in Nigeria
by Ajetunmobi Opeyemi & Ojeka Stephen & Fakile Samuel & Felicia Olokoyo & Eluyela Damilola - 816-836 The Effect of Audit Committee Characteristics on Firm Performance: Evidence from Non-Financial Sectors in Oman
by Amanuddin Bin Shamsuddin & Ghazi Mohammed Alshahri
2022, Volume 12, Issue 8
- 593-603 Earnings Management: An Analysis of Corporate Strategy, Financial Performance, and Audit Quality
by Sri Wahyuni & Erna Handayani & Pujiharto - 604-626 Exploring Determinants of Saving and Financing Aspects in Islamic Banks: An Insight from Indonesia
by Armiadi MUSA & Bismi KHALIDIN & Hafas FURQANI & Azharsyah IBRAHIM & Nurrahmah IS - 627-635 Evaluating the Impact of Direct Taxes on Economic Growth: Empirical Evidence from Jordan
by Mazen Hasan Basha - 636-658 The Relationship between Environmental Uncertainty and Firm Performance in Chinese Listed Manufacturing Companies: The Mediating Role of Competitive Strategy
by Pu Zhao & Raman Noordin & Stephen Laison Sondoh Jr - 659-672 Non-Performing Loans: Endogenous Constraint on the Credit–Growth Nexus
by Idah Zuhroh & Mochamad Rofik & Muhammad Sri Wahyudi Suliswanto - 673-685 Understanding Structural Transformation from a Regional Linkage Perspective: Evidence from Vietnam
by Truong Cong Bac & Van Tran & Tran Thanh Long - 686-711 Risk Management and other Factors Preventing Fraudulent Financial Reporting by State-Owned Enterprises in Indonesia
by R Ait Novatiani & Nunuy Nur Afiah & Roebiandini Sumantri - 712-721 Buffer Model Determination of Systemic Strategic Risks for Borrowers in Force Majeure Circumstances
by Anna A Burdina & Anna V Bondarenko & Natalia V Moskvicheva - 722-730 Determinants of the Export Efficiency of Vietnam’s Textiles and Garments to EU Countries – A Stochastic Frontier Gravity Approach
by Dang Quang Vinh & Le Ha Phuong - 731-750 The Dynamic Volatilities and Correlations between German Stock Market Indices and Commodities: Evidence from Wavelet and MGARCH-DCC Approaches
by Ahmad Monir Abdullah & Maizatulakma Abdullah & Romlah Jaafar
2022, Volume 12, Issue 7
- 450-458 The Relationship Between Human Capital, Halalpreneurs’ Desire, and Halal Awareness: Empirical Evidence from Indonesia’s Micro-Entrepreneurs
by Dwi Nur’aini Ihsan & Reni Kristiana Ashuri & M Nur Rianto Al Arif & Zulpawati - 459-472 Causal Analysis of Stock Prices and Macroeconomic Variables: Evidence from Indian Stock Market
by Venugopala Rao Kuntamalla & Krishna Jyotreddy Maguluri - 473-493 COVID-19 and Stock Market Volatility in South Africa: A Cross-Sector Analysis
by Edson Vengesai - 494-503 Relation Management for Conflict Reduction in Industrial Business Sectors
by Chaweng Sawanglaptham & Sakrapee Worawattanaparinya & Thanin Silpcharu - 504-517 The Roles of Entrepreneurial Skills, Financial Literacy, and Digital Literacy in Maintaining MSMEs during the COVID-19 Pandemic
by Heri Yanto & Kiswanto & Niswah Baroroh & Ain Hajawiyah & Nurhazrina Mat Rahim - 518-536 A New Model for the Economic Rise of China
by Xiugang Yang - 537-548 Determinants of Financial Performance in the Banking Sector: A Case Study of Listed Kuwaiti Banks
by Majed Alharthi - 549-564 Integrating Zakat and Purification in a Modified Black–Litterman Model for Shariah-Compliant Stock Portfolios
by Retno Subekti & Abdurakhman & Dedi Rosadi & Haslifah M Hasim - 565-581 The Triangular Causal Relationship between Economic Growth, Tourism, and Foreign Direct Investment: A Case Study in Central Vietnam
by Phuong Nu Minh Le & Hang Thi Thuy Nguyen & Thanh Doan Thanh Tran - 582-592 The Effect of Trade and Foreign Ownership on the Technical Efficiency of Indonesia’s Textile Industry
by Rossanto Dwi Handoyo & Katarina Eriandika Dewayanti & Tamat Sarmidi & Kabiru Hannafi Ibrahim & Angga Erlando & Tri Haryanto
2022, Volume 12, Issue 6
- 368-379 What are the Determinants of Willingness to Transfer Out Large-Scale Land in Region X of China
by Hua Lin & Wen Zhang & Zhiping Huang - 380-396 Accounting Conservatism in the Perspective of Positive Accounting Theory: A Study of Islamic Banking in Indonesia
by Misnen Ardiansyah - 397-419 Performance Evaluation of Selected Islamic Banks in Bangladesh
by Tanbir Ahmed Chowdhury & Tanveer Kabir & Tahiya Ahmed Chowdhury - 420-437 Risk Disclosure, Corporate Governance and Firm Value in an Emerging Country
by Rohaida Abdul Latif & Kamarun Nisham Taufil Mohd & Hasnah Kamardin - 438-449 The Day-of-the-Week Effect: Does Ownership Matter?
by Ohoud Abdel Hafiez Khasawneh
2022, Volume 12, Issue 5
- 296-316 Long-Run Stability of Money Demand and Monetary Policy: The Case of South Korea
by Melina Dritsaki & Chaido Dritsaki - 317-328 A Dynamic Analysis of Financial Interruption on a Small Open Economy: A Case Study on South Africa
by Ghada Gomaa A Mohamed & Manuchehr Irandoust - 329-340 The Impact of Stock Market Development and Credit Market Development on Technological Innovation: An Empirical Study Based on Cross-Country Panel Data
by Tong Chen & Changhong Nie - 341-353 Assessing the Consequences of Dividend Policy on Financial Performance of Domestic Systemically Important Banks in Nigeria
by Ibrahim S Rimintsiwa & Umar A Ibrahim & Faiza Maitala - 354-367 The Effect of Corporate Governance Mechanisms on Earnings Management in Malaysian Manufacturing Companies
by Murad Ali Ahmad Al-Zaqeba & Abdul Hamid S & Nehad Ibrahim Ineizeh & Obada Jebreen Hussein & Ala Hussein Albawwat
2022, Volume 12, Issue 4
- 227-243 Firm Value Response to Internal and External Corporate Governance in the Nigerian Stock Market
by Oluwatosin Mary Esan & Obiamaka Nwobu & Ibukunoluwa T Adeyanju & Jesutofunmi O Adeyemi - 244-257 Financial Friction, Domestic Credit and Income Inequality in Emerging Economies: Comparative IV-GMM and Threshold Analyses from Nigeria and South Africa
by Bosede Ngozi Adeleye & Evans Osabuohien & Lukman Shehu Adam - 258-266 Intra-Household Gender Wage Gap in China: Evidence from the China Health & Nutrition Survey
by Zixin Zhao & Ai Han & Shouyang Wang - 267-278 The Impact of COVID-19 on the Volatility of BRICS Stock Returns
by Hani Alkayed & Ibrahim Yousef & Ola Zalmout - 279-295 The Nexus Between Trade Liberalization and Poverty: A Disaggregated Analysis
by Jabbar Ul-Haq & Farwa Wajid & Hubert Visas & Ahmed Raza Cheema & Shujaat Abbas
2022, Volume 12, Issue 3
- 141-163 Evaluating the Effectiveness of Quantitative Easing Measures of the Federal Reserve and the European Central Bank
by Inda Mulaahmetovic - 164-182 Social Responsibility Accounting, Disclosure and Real Practice: Evidence from Jordan
by Yousef Shahwan & Mohydin Hamza & Faud Al-Fasfus & Nedal Al-Ramahi & Tareq Hammad Almubaydeen - 183-193 A Study of China’s Hybrid Monetary Policy on the Stock Market
by Pan Shengjie & Song Yinqiu & Zhang Hongyan - 194-211 International Fund Flows and Anomalies in Asian Stock Markets
by Aekkachai Nittayagasetwat & Jiroj Buranasiri - 212-226 Determinants of Energy Efficient Appliances among Malaysian Households: Roles of Theory of Planned Behavior, Social Interaction and Appliance Quality
by Siti Aminah Harun & Muhammad Ashraf Fauzi & Nur Muneerah Kasim & Walton Wider
2022, Volume 12, Issue 2
- 70-88 The Effect of Geographical Factors on Islamic Banking Sustainability Performance: An Instrumental Variable Quantile Regression Analysis
by Teguh Budiman & Erie Febrian & Yudi Azis - 89-98 The Determinants of Adding Non-Production Costs When Calculating Product Costs: Evidence from the Saudi Industrial Sector
by Abdulrahman Aljabr - 99-120 Investment Decisions in Emerging Market: Demographic Analysis of Individual Investor in Indonesia Stock Exchange
by David Nathanael Sutyanto & Noer Azam Achsani & Roy Sembel & Trias Andati - 121-131 Agricultural Exports and Performance of Agricultural Firms in India: An Empirical Analysis using System GMM
by Sandip Solanki & Seema Singh & Inumula Krishna Murthy - 132-140 Coronavirus and the Chinese Stock Market: Pandemic Versus Financial Crisis
by Maen F Nsour & Samer AM Al-Rjoub & Mohammad Tayeh
2022, Volume 12, Issue 1
- 1-14 Effects of Chinese Equity Ownership and Board Involvement on Firm Profitability: Evidence from Listed Companies in the Malaysian Construction Sector
by Tee Peck-Ling & Khin Aye-Aye & Raymond Ling Leh-Bin & Lim Boon-Keong & Salizatul Aizah Ibrahim - 15-28 The Impact of Global Economic Policy Uncertainty and Volatility on Stock Markets: Evidence from Islamic Countries
by Norashikin Adam & Noor Zahirah Mohd Sidek & Arshian Sharif - 29-46 Concentration, Foreign Participation and Bank Performance: An Empirical Study of Asian Emerging Markets
by Ting-Kun Liu - 47-57 Implications of Human Capital Formation on Output and Employment: Evidence from Nigeria
by Joseph Olufemi Ogunjobi & Abiola John Asaleye & Olabisi Popoola & Abel A Awe & Iseolorunkanmi Joseph Ojo - 58-69 Foreign Direct Investment and Economic Growth Nexus: Empirical Insight from Guinea
by Oumar Keita & Yu Baorong
2021, Volume 11, Issue 12
- 938-949 The Nexus Between Attitude, Social Norms, Intention to Comply, Financial Performance, Mental Accounting and Tax Compliance Behavior
by Hikmah Hikmah & Priyo Hari Adi & Supramono Supramono & Theresia Woro Damayanti - 950-964 Changes of Strategic Pricing Policy of Logistics Service Providers in Financial Macroeconomic Instability
by Libor Simek & Vaclav Cempirek & Andrej David & Andrea Galierikova - 965-984 Factors Influencing the Extent of Corporate Compliance with International Financial Reporting Standards in South Africa
by Unity Maqeda Putsai & Msizi Mkhize
2021, Volume 11, Issue 11
- 860-872 Stock Returns During Religious Holidays: The Role of Culture and Belief
by Chandrarini Pramardya Utami & Arie Pratama - 873-893 Implementation of Internal Capital Adequacy and Assessment Process in Vietnamese Commercial Banks
by Duong Thuy Nguyen & Hang Thu Do & Trang Thi Thu Nguyen & Ngan Bich Nguyen - 894-907 Exploring the Impact of Inflation and External Debt on Economic Growth in Morocco: An Empirical Investigation with an ARDL Approach
by Sara EL ABOUDI & Imad KHANCHAOUI - 908-922 The Moderating Effect of Holding Shareholders on Corporate Performance in Institute Spin-Offs from the Perspective of Institutional Logics
by Liang Wang & Shuang Ge & Peipei Yang - 923-937 Analysis of Indonesia's Exports & Imports in the Asian Region: Before and During the Covid-19 Pandemic
by Ngatno & Apriatni Endang Prihatiningsih
2021, Volume 11, Issue 10
- 781-793 Does the Market React to the Reputation of Capital Expenditure?
by Juniarti & Agus Arianto Toly - 794-804 Dysfunctional Association Between Public Expenditure Growth and National Consumption Cost: A Vector Error Correction Approach
by Joseph Ugochukwu Madugba & Tony Uche Agburuga & Ben-Caleb Egbide & Fadoju, Samuel Oludaro & Joseph Falaye - 805-815 The Stabilization Effects of Fiscal Policy on Banking System Stability in Nigeria
by Agatha Nkem AMADI & Kehinde Adekunle ADETILOYE & Alexander Ehimare OMANKHANLEN & Idimmachi Pius AMADI & Pascal NWODIMMAH - 816-828 Research & Development Premium in the Indian Equity Market: An Empirical Study
by Bhumiswor Sharma & Srikanth P - 829-859 Volatility Forecasting Performance of Smooth Transition Exponential Smoothing Method: Evidence from Mutual Fund Indices in Malaysia
by Wan Cheong Kin & Choo Wei Chong & Annuar Md Nassir & Muzafar Shah Habibullah & Zulkornain Yusop
2021, Volume 11, Issue 9
- 693-709 The Impact of Firm Characteristics on Firm Performance During the Covid-19 Pandemic: Evidence from Saudi Arabia
by Helmi A Boshnak & Abdullatif M Basheikh & Mazen S Basaif - 710-723 Management of Receivables, Financial Distress, and Profitability in Bangladesh
by Sharif N Ahkam & Nazmun Nahar & Shabnin Rahman Shorna - 724-744 Bank Liquidity Risk: Significance of Financial Disclosure and Governance Practice
by Niluthpaul Sarker & Probir Kumar Bhowmik - 745-761 Fiscal Decentralization and Gender Equality in Developing Economies: Dynamics of Income Groups in Economies and Corruption
by Sidra Naeem & Rana Ejaz Ali Khan - 762-780 Access to Finance and Legal Framework in Female Entrepreneurship Development in Bangladesh: The Mediating Role of Self-Leadership
by Zhu Yingjun & Sharmin Jahan & Md Qamruzzaman
2021, Volume 11, Issue 8
- 591-602 Exploring Manufacturing Firms’ Absorption Capacity of Imported Technology in Pakistan
by Mirajul Haq & Asghar Ali & Iftikhar Ahmad - 603-617 Financial Inclusion: Implication on Per Capita Income in Nigeria
by Abiola Ayopo BABAJIDE & Funso Abiodun OKUNLOLA & Adedoyin Isola LAWAL & Victoria Bosede AKINJARE & Bukola Bose LAWAL-ADEDOYIN - 618-631 Work Interruption: The Moderate Effect of Workload and Queue Length in the Manufacturing Industry
by Limin Rong & Feng Dong & Qiguo Gong - 632-643 Minimum Wages and Poverty: A Cross-Country Analysis
by Atif Khan Jadoon & Abeera Tanveer & Maria Faiq Javed & Ambreen Sarwar - 644-657 The Internal and External Determinants of the Performance of Jordanian Islamic Banks: A Panel Data Analysis
by Ghaith N Al-Eitan & Ayman M Alkhazaleh & Ahmad S Alkazali & Bassam Al-Own - 658-671 The Asymmetric Indirect Impact of Real Exchange Rate on Economic Growth through Foreign Trade: An Asymmetric ARDL Panel Model
by Achouak Barguellil - 672-681 The Nexus Between Economic Growth, Financial Development, Financial Inclusion and Financial Innovation in Africa
by Adegbola Olubukola Otekunrin & Tough Chinoda & Kudzanai Matowanyika - 682-692 Development of Effective Internal Shariah Audit Framework using Islamic Agency Theory
by Azam Abdelhakeem Khalid & Mohd Yahya Mohd Hussin & Adel Sarea & Ahmad Zakirullah bin Mohamed Shaarani
2021, Volume 11, Issue 7
- 524-533 An Assessment of Gold as a Hedge or Safe Haven: Evidence from Major Gold Producing Countries
by Jambotkar Mrunali Manohar & Guntur Anjana Raju - 534-544 Quality Assurance Accreditation Standards and the Forensic Accounting Profession in Nigeria
by Adegbola Olubukola Otekunrin & Damilola Gabriel Fagboro - 545-562 Inflation, External Debt, and Fiscal Mobilization in Morocco: The Transmission Channels of Devaluation and the Inflationary Past
by Salah Eddine Salhi & Sara El Aboudi - 563-574 Investigating the Impact of Managerial Entrenchment on Corporate Financial Structure: Evidence from Nigeria
by Benjamin Ighodalo EHIKIOYA & Alexander Ehimare OMANKHANLEN & Cordelia Onyinyechi OMODERO & Ada MAC-OZIGBO - 575-590 The Relationship Between Fiscal Deficit and Current Account Deficit in the Case of the West African Monetary Zone: A Bivariate DSEM/RDSEM Approach
by Edmund Ayesu & John O Olaomi
2021, Volume 11, Issue 6
- 418-428 Working Capital Management and Performance of Six Deposit Money Banks in Nigeria
by Ochei Ailemen Ikpefan & Godswill Osagie Osuma & Tersoo Ahire & Grace Evbuomwan & Bayo Oyero Kazeem & Peace Chimezie - 429-445 Measuring Firms Intrinsic Values in an Emerging Economy: Evidence from Bangladesh
by Leo Vashkor Dewri & Md. Rashidul Islam & Fatema Tuz-Johra & M Mizanur Rahman - 446-456 Conservative Business Strategy as Moderator of Board Independence and Corporate Performance Nexus in Nigerian Financial Companies
by Henry Osahon Osazevbaru - 457-470 Examining the Financial Development–Economic Growth Nexus from an Institutional Approach: Evidence from Non-Oil Arab Countries
by Abdelkarim Yahyaoui & Kaies Samet & Amina Amirat - 471-487 Do Good Institutions and Economic Uncertainty Matter to Foreign Direct Investment?
by Ramesh Bommadevara & Akshay Sakharkar - 488-500 Liquidity Synchronization and Asset Valuation in Selected Emerging Asian Economies
by Syeda Hina Zaidi & Nousheen Tariq Bhutta - 501-511 Illiquidity Premium in the Indian Stock Market: An Empirical Study
by Shweta Kundlia & Divya Verma - 512-523 The Effects of Financial Market Shocks on Revenue-Expense Matching: The Case of Chinese Companies
by Sung Man Yoon & En Lu Jiang
2021, Volume 11, Issue 5
- 347-364 A Cross-Country Analysis on Capital Flows Cycle: Stylized Facts and Regional Synchronization
by Yang Yang & Haizhen Yang & Mengting Zhang - 365-383 Ownership Structure and CEO Compensation: Evidence from Jordan
by Jebreel Mohammad Al-Al-Msiedeen & Fawzi A Al Sawalqa - 384-395 Is the Stock Market Efficient? Evidence from Nonlinear Unit Root Tests for Nigeria
by Adedoyin Isola LAWAL & Ezekiel OSENI & Abiola John ASALEYE & Bukola LAWAL-ADEDOYIN & Rachael OJEKA-JOHN - 396-405 Relationship Between Central Bank Independence and Foreign Direct Investment Inflows
by Oscar Mukhametov - 406-417 Asymmetric Impact of Exchange Rate Fluctuations on Money Demand in Sudan
by Tomader Elhassan
2021, Volume 11, Issue 4
- 278-291 Relationship Between Outward Foreign Direct Investment and Domestic Investment: Evidence from GCC Countries
by Farah Durani & Waqar Ameer & Muhammad Saeed Meo & Maizaitulaidawati Md Husin - 292-307 The Impact of Quality of Accounting Information on Cost of Capital: Insight from an Emerging Economy
by Aysha Sami Latif & Attaullah Shah - 308-321 Money Demand in Nigeria: Application of Autoregressive Distributed Lag Approach
by Charles O Manasseh & Ifeoma C Nwakoby & Felicia C Abada & Felix C Alio & Ogochukwu Okanya - 322-336 Risk Analysis of China Stock Market During Economic Downturns–Based on GARCH-VaR and Wavelet Transformation Approaches
by Yiwen Cui & Lei Li & Zijie Tang - 337-346 Dynamic Spending and Risk-Based Simulation in Retirement Planning
by Kamphol Panyagometh
2021, Volume 11, Issue 3
- 191-204 The Impact of Covid-19 Pandemic on Stock Market Return Volatility: Evidence from Malaysia and Singapore
by Jordan Ngu Chuan Yong & Sayyed Mahdi Ziaei & Kenneth R Szulczyk - 205-218 Monetary Policy Channels and Agricultural Performance: Evidence from Nigeria
by Abiola John Asaleye & Rotdelmwa Filibus Maimako & Adedoyin Isola Lawal & Henry Inegbedion & Olabisi Popoola - 219-235 Impact of Financial Sector Opacity on the Capital Structure Choice of Asian Banks
by Khalil Ullah Mohammad & Shin-Ichi Nishiyama - 236-251 Does Working Capital Management Affect Profitability? Empirical Evidence from Indonesia Listed Firms
by Abdul Basyith & Abid Djazuli & Fitriya Fauzi - 252-262 India VIX and Forecasting Ability of Symmetric and Asymmetric GARCH Models
by Maithili S Naik & Y.V Reddy - 263-277 Digitalization and Innovation in Nigerian Firms
by Isaiah Olurinola & Romanus Osabohien & Bosede Ngozi Adeleye & Ifeoluwa Ogunrinola & Jacob Isaac Omosimua & Tyrone De Alwis
2021, Volume 11, Issue 2
- 104-117 Audit Committee Quality and Financial Reporting in Deposit Money Banks in Nigeria
by Joseph U Madugba & Kerry E Howell & Tony Ikechukwu Nwanji & Sainey Faye & Ben-Caleb Egbide & Damilola Felix Eluyela - 118-128 Saving Practices and Economic Performance: A Zimbabwean Case 1980–2015
by Otekunrin Adegbola Olubukola & Matowanyika Kudzanai & Makurumidze Shepard & Bhebhe Thomas & Sifile Obert - 129-140 The Macroeconomic Determinants of Cross-Country FDI Flows: A Comparative Analysis through the Driscoll–Kraay, 2SLS and GMM Models
by Sujan Chandra Paul & Md Harun Or Rosid & Zhao Xuefeng & Mohammad Rakibul Islam - 141-159 Islamic Bank Sustainability: An Econometric Approach
by Teguh Budiman & Yayan Satyakti & Erie Febrian - 160-172 Financial Sector Reform and Economic Development in Nigeria
by Abiola Ayopo Babajide & Lawal Adedoyin Ishola & Adetiloye Kehinde Adekunle & Bede Uzoma Achugamonu & Akinjare Victoria Bosede - 173-190 Determinants of Private Investment in the Informal Sector of Urban Areas in Nigeria
by Oluwasegun ESEYIN & Barnabas O OBASAJU & Damilola ELUYELA & Ademola A ONABOTE & Joseph FALAYE
2021, Volume 11, Issue 1
- 1-16 Hedging Stocks in Crises and Market Downturns with Gold and Bonds: Industry Analysis
by Anirut Pisedtasalasai - 17-29 An Analysis of the Effect of Human Capital Investment on Economic Development in Nigeria: Does a New Indicator Alter Existing Evidence?
by Adeyemi A Ogundipe & Olasinde Mobolaji & Oluwatomisin M Ogundipe - 30-42 A Nexus among Institutions, Education and Economic Growth: An Analysis of Developing Countries
by Adeeba Sarwar & Muhammad Azmat Hayat - 43-56 Customers’ Perceptions and their Responses to Objectives of Islamic Banks – A Three-Wave Investigation
by Ishfaq Ahmed & Waqas Farooq & Tariq Iqbal Khan - 57-77 Internal and External Shocks and Economic Policy Innovations in Bolivia: A General Approach
by Roger Alejandro Banegas Rivero & Marco Alberto Nunez Ramirez & Jorge Salas Vargas & Luis Fernando Escobar Caba & Irma Guadalupe Esparza Garcia - 78-89 The Short and Long Run Dynamics of Monetary Policy, Oil Price Volatility and Economic Growth in the CEMAC Region
by Ebenezer G Olamide & Andrew Maredza - 90-103 The Association between Audit Partner Busyness, Audit Partner Tenure, and Audit Efficiency
by Nahla Abdulrahman Mohammed Raweh & Hasnah Kamardin & Mazrah Malik @ Malek & Abdulwahid Ahmed Hashed Abdullah
2020, Volume 10, Issue 12
- 1356-1365 Firm Level Characteristics and Stock Returns: Evidence from Selected Insurance Companies Listed on the Dhaka Stock Exchange
by Senjuti Barua - 1366-1383 The Effect of Planned Breaks on Worker Productivity and the Moderate Role of Workload in a Manufacturing Environment
by Siyuan Yi & Qiguo Gong & Feng Dong & Hui Wang - 1384-1395 Capital and Labour Productivity: A Comparative Study of Nigeria and South Africa
by Favour O Olarewaju & Oluwafadekemi S Areo & Adeyemi A Ogundipe & Toun Y Ogunbiyi & Abiola J Asaleye - 1396-1409 The Asymmetric Impact of Trade Openness on Inflation in Sudan
by Tomader Gaber Elbasheer Elhassan - 1410-1429 A Study on the Influencing Factors of Rural Womens Poverty in Northeast China
by Changhong Nie & Huangang Wang - 1430-1452 Role of Microfinance in Poverty Alleviation in the Least Developed Area of Pakistan
by Atta Ullah & Chen Pinglu & Saif Ullah & Noman Aslam & Mubasher Zaman - 1453-1465 The Doubled-Edge Sword of Raising the Minimum Wage: The Case of Indonesia
by Fitriya & Abdul Basyith & Rabin Ibnu Zainal - 1466-1479 The Impact of Fair Value Accounting on Earnings Predictability: Evidence from Jordan
by Osama Samih Shaban & Atala M Alqtish & Adel M Qatawneh - 1480-1495 How Pakistani Industries Respond to Local and World Business Cycles
by Mirza Aqeel Baig & Shahida Wizarat & Javed Iqbal - 1496-1508 Determinants of Profitability: A Study on Manufacturing Companies Listed on the Dhaka Stock Exchange
by Tarik Hossain
2020, Volume 10, Issue 11
- 1220-1231 The Promotion Effect of the Belt and Road Initiative on China’s Foreign Direct Investment: An Empirical Analysis Based on Firm Level
by Chaonan Lu & Litao Duan & Geng Peng & Benfu Lv - 1232-1247 The Impact of Economic Events on Stock Market Returns: Evidence from India
by Narayan Parab & Ramashanti Naik & Y. V Reddy - 1248-1258 Multiple Mediating Effects on the Quality of and Loyalty to Banking Services
by Nusrat Jahan & Md. Alamgir Hossain & Yuantao Fang - 1259-1268 Firm-Specific Factors and Stock Returns: Evidence from Selected Private Commercial Banks Listed on the Dhaka Stock Exchange
by Jannatul Ferdaous & Senjuti Barua - 1269-1279 The Economic Empowerment of Saudi Women in the Light of Saudi Vision 2030
by Maleeha Mohammed Zaaf Al-Qahtani & Tarek Tawfik Yousef Alkhateeb & Manal Abdalla Zahed Abdalla & Sahar Abdo Mohamed Elsayed & Eman Mohammed Mohammed Ibrahim & Ghada Shihata Ebrahim Mawad - 1280-1298 Role of Corporate Social Responsibility in Sustaining Earning Value: Insights from an Emerging Country
by Atta Ullah & Chen Pinglu & Saif Ullah & Asif Ali Safeer & Shumaila Meer Perhiar - 1299-1308 The Effect of Operating Expenses on Growth and Performance: An Empirical Analysis of the Petroleum and Chemistry Industry in Turkey
by Abdulkadir Pehlivan & Bilal Gerekan & Mahmut Kocan - 1309-1320 Understanding the Economic Linkages among Small and Medium Enterprises, Economic Growth, and Employees in Malaysia
by Mazmira Adan & Saiful Izzuan Hussain & Humaida Banu Samsudin - 1321-1341 A Demand-Oriented Industry-Specific Volatility Spillover Network Analysis of China’s Stock Market around the Outbreak of COVID-19
by Fu Qiao & Yan Yan - 1342-1355 An Empirical Assessment of Probability Rates for Financial Technology Adoption among African Economies: A Multiple Logistic Regression Approach
by Tochukwu Timothy Okoli & Devi Datt Tewari
2020, Volume 10, Issue 10
- 1062-1076 Poverty Conditions and Patterns of Consumption: An Engel Function Analysis in East Java and Bali, Indonesia
by Mohtar Rasyid & Anita Kristina & Sutikno & Sunaryati & Tutik Yuliani - 1077-1087 The Impact of the Geographical Diversification of Saudi Exports: An Intensive and Extensive Margin Approach
by Oubeid Rahmouni - 1088-1099 The Impact of Unemployment, Minimum Wage, and Real Gross Regional Domestic Product on Poverty Reduction in Provinces of Indonesia
by Nur Feriyanto & Dityawarman El Aiyubbi & Achmad Nurdany - 1100-1114 Renewable Vs Non-Renewable Energy Consumption as a Driver of Government Deficit in Net Energy Importing Countries
by Can Tansel Tugcu & Angeliki N Menegaki & Ilhan Ozturk - 1115-1130 Adoption of Integrated Reporting in Emerging Economies: Evidence from Bahrain
by Salwa M. A Hameed & Noora A. R Rahman Ahmed - 1131-1146 Overconfident Management and the Audit Fee Demand-Side Perspective
by Kusharyanti Kusharyanti & Indra Wijaya Kusuma