Content
2021, Volume 11, Issue 6
- 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 - 1147-1168 Structural Breaks, Hydroelectricity and Economic Growth: New Findings from Malaysia
by Farah Roslan & Esti Tri Widyastuti - 1169-1186 Robust Mean–Variance Portfolio Selection Using Cluster Analysis: A Comparison between Kamila and Weighted K-Mean Clustering
by La Gubu & Dedi Rosadi & Abdurakhman - 1187-1202 Customer Purchase Intentions toward Islamic Banking Products in Pakistan: A Study of Religiosity-Based Marketing
by Mirza Ashfaq Ahmed & Riffat Zulfiqar & Muhammad Anwar ul Haq & Noreena Kausar & Shaista Khalid - 1203-1219 Corporate Responsibility Reporting in Africa: The Effect of Macroeconomic Indicators and Political Regime
by Obiamaka A Nwobu & Collins C Ngwakwe
2020, Volume 10, Issue 9
- 956-969 Decoding Venture Capital Exit Patterns: An Indian Perspective
by James Dominic - 970-988 Triggers and Barriers of Financial Inclusion: A Country-Wise Analysis
by Shrabani Mukherjee & Keshav Sood - 989-998 Modeling Long-Term Relationships in Philippine Stock Market (PSE) Indices: A Cointegration Analysis
by William Sucuahi & Eugene Bije - 999-1011 Is the Relationship between Financial Technology and Credit Risk Monotonic? Evidence from the BRICS Economies
by Tochukwu Timothy Okoli - 1012-1027 Internal Audit Function Characteristics and the Quality of Internal Control Systems: Moderating the Effect of Enterprise Resource Planning System Maturity
by Hani Shaiti & Yahya Al-Matari - 1028-1036 The Impact of Financial Structure on Profitability: Empirical Evidence from Vietnam’s Construction Sector
by Pham Thi Nga & Tristan Nguyen - 1037-1050 The Impact of Corporate Social Responsibility on Performance in the Financial Industry
by Ting-Kun Liu - 1051-1061 The Contribution of Financial Inclusion in Reducing Poverty and Income Inequality in Developing Countries
by Ichraf Ouechtati
2020, Volume 10, Issue 8
- 895-905 A Non-Linear Autoreggresive Distributed Lag Analysis of the Triple Deficit Hypothesis in the Mena Region
by Engy Raouf - 906-919 A Simulation Study: Obtaining a Sufficient Sample Size of Discrete-Time Markov Chains of Investment in a Short Frequency of Time
by Wajeeh Mustafa Sarsour & Shamsul Rijal Muhammad Sabri - 920-935 Calendar Effect and Returns of Listed Companies on the Ghana Stock Exchange: A DOLS and GARCH Modelling
by Daniel Agyapong & Theophilus Sakyiamah Atuah & Anthony Asare- Adu Idun - 936-945 Financial Depth and the Real Estate Market: An Empirical Study of the Wealth Effect
by Toan Ngoc Bui - 946-955 FDI Inflows and Financial Development in Ecowas: Causality Analysis in the Frequency Domain
by Koffi Pokou
2020, Volume 10, Issue 7
- 744-757 R&D Spending and Stock Returns: Evidence from South Korea
by Young Sik Kim & Keun Jae Park - 758-777 Monetary Policy and Stock Market Returns: Evidence from ARDL Bounds Testing Approach for the Case of Vietnam
by Thuy Thu Nguyen & Hong Thi Mai & Tram Thi Minh Tran - 778-789 Risk Threshold for Sustainable Current Account Balance of Payments: An Indonesian Case
by Abdul Hakim & Jaka Sriyana - 790-807 Nexus between Economic Volatility, Trade Openness and FDI: An Application of ARDL, NARDL and Asymmetric Causality
by Md. Qamruzzaman & Salma Karim - 808-815 The Effect of Inflation Rates on Stock Market Returns in Sudan: The Linear Autoregressive Distributed Lag Model
by Faiza Omer Elmahgop & Omer Ahmed Sayed - 816-832 Corporate Governance and Cash Holdings in Hospitality Firms: Do Board Characteristics Matter?
by Jing-Hui Kwan & Wee-Yeap Lau - 833-860 Improved Public Services and Tax Compliance of Small and Medium Scale Enterprises in Nigeria: A Generalised Ordered Logistic Regression
by Oluwafadekemi S Areo & Obindah Gershon & Evans Osabuohien - 861-874 Foreign Banks Acquisition Strategy and the Business Approach of Domestic Bank: A Case of Standard Chartered Bank
by Byung Wook Jun & Sung Man Yoon - 875-884 The Impact of the 4 Trillion Renminbi Stimulus Package on the Chinese Real Estate Market: A Regional Comparative Study
by Zijian Song & Jichang Dong & Xiuting Li & Zhi Dong - 885-894 The Effects of Organizational Culture on Human Resources Management: A Study on Vietnamese Publicly Listed Enterprises
by Quang Linh Huynh & Thanh Thuy Nguyen Thi & Tan Khuong Huynh & Tuyet Anh Duong Thi & Thuy Lan Le Thi
2020, Volume 10, Issue 6
- 590-603 The Correlation between Financial Literacy and Personal Saving Behavior in Vietnam
by Van Tuong Nguyen & Minh Duc Doan - 604-627 Early Warning Fraud Determinants in Banking Industries
by Wiwik Utami & Lucky Nugroho & Ratna Mappanyuki & Venny Yelvionita - 628-643 The Impact of Unconventional Monetary Policy Tools on Inflation Rates in the USA
by Benlaria Houcine & Abderrahmane Abdelkader & Oualid Lachi - 644-653 Testing Weak-Form Market Efficiency: The Case of Saudi Arabia
by H Khoj & H. Akeel - 654-669 A Panel Dynamic Analysis on Inward FDI and Institutional Quality in South Asia and South East Asia
by Frajana Layla & Shapan Chandra Majumder & Bismark Kusi Appiah & Anouba Acha Arnaud Martial & Kichiedou Geraud Randolphe & Obambi Chardel Cardorel - 670-679 Developing Small and Medium-Sized Enterprises in Islamic Developing Countries: Exploring the Influential Factors for Egypt
by Nancy Ahmed & Seung-Hwan Kim - 680-697 Determinants of Digital Banking Services in Vietnam: Applying UTAUT2 Model
by Thuy Thu Nguyen & Hien Thi Nguyen & Hong Thi Mai & Tram Thi Minh Tran - 698-713 Job Satisfaction, Employee Loyalty and Job Performance in the Hospitality Industry: A Moderated Model
by Tran Thi Kim Phuong & Tran Trung Vinh - 714-726 How do Inverse Exchange-Traded Funds Targeting Taiwan Shares Track their Underlying Indices?
by Jung-Chu Lin - 727-743 Firms Attributes, Corporate Social Responsibility Disclosure and the Financial Performance of Listed Companies in Nigeria
by E. Jeroh
2020, Volume 10, Issue 5
- 480-501 Impact of Corporate Governance on Firm Performance and Earnings Management a Study on Vietnamese Non-Financial Companies
by Binh Thi Thanh Dao & Hoang Anh Ngo - 502-515 Probability Approach in Estimating Value at Risk of Bond Portfolios for Effective Hedging
by Bavani Chandra Kumar & Ravindran Ramasamy & Zulkifflee Mohamed - 516-525 Impact on E-Commerce Adoption on Entrepreneurial Orientation and Market Orientation in Business Performance of SMEs
by Ade Octavia & Sigit Indrawijaya & Yayuk Sriayudha & Heriberta & Husni Hasbullah & Asrini - 526-535 Disclosure Practices Regarding Corporate Social Responsibility (CSR) of Some Listed Companies: Evidence from Chittagong Stock Exchange, Bangladesh
by Md. Musharof Hossain & Monir Ahmmed & Md. Kazi Golam Azam & Serajul Islam & Md.Faruk Bhuiyan & Md. Ahasanul Hoque - 536-546 Determination of Factors Affecting the Financial Literacy of University Students in Eastern Anatolia using Ordered Regression Models
by Ömer Alkan & Erkan Oktay & Şeyda Ünver & Esmer Gerni - 547-558 Impact of Free Cash Flows on Dividend Pay-Out in Jordanian Banks
by Fuad Suliman Al-Fasfus - 559-573 Study on Price Fluctuation of Industry Index in Chinas Stock Market Based on Empirical Mode Decomposition
by Fu Qiao - 574-589 The Impact of Corruption on Human Development in Egypt
by Amira Mohamed Emara
2020, Volume 10, Issue 4
- 367-379 The Consequences of Foreign Direct Investments in Redefining Bilateral Trade Flow in Nigeria: A Gravity Panel Approach
by Saidu D Muhammad & Kenneth O Diyoke & Nnanna P Azu - 380-398 Trade-Off Exploration and Exploitation as Moderators: How does Technological Heterogeneity among Cooperators Affect Firms Financial Performance?
by Liu Li - 399-414 The Nexus of Chinese OFDI Innovation and Entrepreneurship in Europe: A True Fixed Effect Stochastic Analysis
by Tatsiana Dziavochka & Elyas Abdulahi Mohamued - 415-426 Analysing Product Utilization by Islamic Retail Banks: The Case of Bahrain Islamic Bank and Kuwait Finance House-Bahrain
by Ahmed Mansoor Alkhan - 427-438 The Shanghai- Hong Kong Stock Connect: An Application of the Semi-CGARCH and Semi-EGARCH
by Christian Peitz & Yuanhua Feng & Bernard M Gilroy & Nico Stoeckmann - 439-448 Calendar Anomalies in the Banking and it Index: The Indian Experience
by Shikta Singh & Chandrabhanu Das - 449-468 Impact of Global Low Interest Rates to the Capital Flows and Financial Vulnerability of Small Open Economies
by Qiao Wang & Haizhen Yang & Xiangjuan Cheng - 469-479 Internal Control Systems and Operating Performance: Evidence from Small and Medium Enterprises (SMEs) in Ondo State
by A. E Adegboyegun & E Ben-Caleb & A. O Ademola & E. O Oladutire & G. M Sodeinde
2020, Volume 10, Issue 3
- 249-265 Organizational Culture and Knowledge Management: Evidence from Bolivia and Mexico
by Marco Alberto Nunez Ramirez & Roger Alejandro Banegas Rivero & Cecilia Lorena Velarde Flores & Irma Guadalupe Esparza Garcia & Sacnicte Valdez del Rio & Maria Nelida Sanchez Banuelos & Altayra Geraldine Ozuna Beltran - 266-274 Dividend-Payout Policy and Share-Price Volatility in Islamic Banks: Evidence from Jordan
by Bader Mustafa Al-Sharif - 275-288 Analyzing the Practice of Mushāraka Mutanāqisa in the Islamic Banking Industry: The Kingdom of Bahrain as a Case Study
by Ahmed Mansoor Alkhan - 289-312 Government Bond Market Integration in ASEAN Countries
by Masao Kumamoto & Juanjuan Zhuo - 313-324 Trade Openness and Economic Growth: A Panel Data Analysis of Baltic Countries
by Melina Dritsaki & Chaido Dritsaki - 325-339 The Effectiveness of China’s Monetary Policy: Based on the Mixed-Frequency Data
by Deqing Wang & Yinqiu Song & Hongyan Zhang & Shengjie Pan - 340-351 The Dynamic Relationships between the Baltic Dry Index and the BRICS Stock Markets: A Wavelet Analysis
by Pao-Lan Kuo & Chien-Liang Chiu & Chan-Sheng Chen & Mei-Chih Wang - 352-366 Profitability on Corporation Banks in ASEAN - Focusing Overseas Characteristics
by Sang Soo CHAE & Jae Youn LEE & Choong Lyol LEE
2020, Volume 10, Issue 2
- 116-131 The Effect of Governance and Corporate Social Performance on Lending Judgment and Decision
by Aditi Shams - 132-145 Identifying Female Leadership and Performance in Small and Medium-Sized Enterprises in a Transition Economy: The Case Study of Vietnam
by Tien Quang Tran - 146-159 Stock Market Sensitivity to Macroeconomic Factors: Evidence from China and India
by Karthigai Prakasam Chellaswamy & Natchimuthu N & Muhammadriyaj Faniband - 160-188 Landlocked Countries, Institutions and Economic Dynamics
by Roger Alejandro Banegas Rivero & Marco Alberto Nunez Ramirez & Yesenia Clark Mendivil - 189-199 Rotating and Savings Credit Association (ROSCAs): A Veritable Tool for Enhancing the Performance of Micro and Small Enterprises in Nigeria
by Ademola Abimbola O & Ben-Caleb Egbide & Adegboyegun Adekunle E & Eluyela Damilola F & Falaye Adebanjo J & Ajayi Abiodun S - 200-217 Corporate Governance and Earnings Management: Evidence from Listed Firms at Palestine Exchange
by Naser Abdelkarim & Khaled Zuriqi - 218-228 Insurance Consumption and Economic Growth in the Post-Liberalized India: An Empirical Analysis
by Siddharth Kumar & Naresh Chandra Sahu & Pushp Kumar - 229-248 Household Debt, Financial Inclusion, and Economic Growth of India: Is it Alarming for India?
by Tarika Sikarwar & Anivesh Goyal & Harshita Mathur
2020, Volume 10, Issue 1
- 1-12 Impact of Earnings Quality on the Debt Maturity: The Case of Vietnam
by Vo Thi Van Khanh & Dang Ngoc Hung - 13-21 Can Crude Oil Price be a Predictor of Stock Index Return? Evidence from Vietnamese Stock Market
by Vu Ngoc Nguyen & Dat Thanh Nguyen - 22-34 The Different Structure of Sources of Growth between the Developed and the Developing Asia and the Pacific Countries
by Paitoon Kraipornsak - 35-53 Extended Exogenous Growth Model: Application and Investigation the Long-Term Growth Determinants of Bangladesh
by Imrul Hossain Chowdhury - 54-63 Impact of Corporate Governance on Financial Institutions’ Performance: A Board Composition Case
by Shamsi S Bawaneh - 64-77 Socio-Economic Factors Affecting Trust in the Military: Comparatives on Perspectives on China, Japan, and South Korea
by Sung Man Yoon - 78-93 Moderation Effects of Organisational Environment on the Relationship between Capital Structure and Financial Performance of Central Java Rural Banks, Indonesia
by Ngatno & Apriatni Endang P - 94-115 Management Accounting Practices among Vietnamese Small and Medium Enterprises
by Ngoc Thi Bui & Oanh Thi Tu Le & Phuong Thi Thanh Nguyen
2019, Volume 9, Issue 12
- 1306-1319 Capital Structure and Financial Performance of Malaysian Construction Firms
by Hapsah S Mohammad & Imbarine Bujang & Taufik Abd Hakim - 1320-1334 From Spring to Winter? An Analysis of "Arab Spring" Impacts on Turkey and Mena Region Foreign Trade with Gravity Approach
by Mustafa Kahveci - 1335-1345 Impact of Corporate Governance on Earnings Management: Large Sample Evidence from India
by Neeraj K Sehrawat & Amit Kumar & Nandita Lohia & Satvik Bansal & Tanya Agarwal - 1346-1357 Impact of Economic and Non-Economic Factors on Income Inequality in ASEAN Countries
by Makmun Syadullah & Benny Gunawan Adriansyah & Tri Wibowo - 1358-1367 The Risk-Taking Channel and Monetary Transmission Mechanisms in China
by Li Kang & Rong Guo & Mei Zhang - 1368-1382 Index of Financial Inclusion and the Determinants: An Investigation in Asia
by Anh L.N Ngo - 1383-1404 Determinants of Financial Inclusion in Egypt
by Mohamed Noureldin Sayed & Amir Shusha - 1405-1418 Economic Cycle and the Large-Scale Asset Allocation Strategy of Chinese National Social Security Fund
by Zijie Tang
2019, Volume 9, Issue 11
- 1211-1226 The Relationship between Risk and Return - An Empirical Evidence from Real Estate Stocks Listed in Vietnam
by Phan Tran Minh Hung & Tran Thi Trang Dai & Phan Nguyen Bao Quynh & Le Duc Toan & Vo Hoang Diem Trinh - 1227-1254 The Study of Audit Expectation Gap: The Auditor’s Responsibilities in a Financial Statement Audit in Vietnam
by Nguyen Ngoc Khanh Dung & Dang Anh Tuan - 1255-1265 Capital Structure and Financial Efficiency: Evidence from Ho Chi Minh Stock Exchange of Vietnam
by Vu Hiep Hoang & Manh Dung Tran & Van Hoa Hoang & Thi Thu Cuc Nguyen - 1266-1278 Innovation and Economic Growth: The Contribution of Institutional Quality and Foreign Direct Investment
by Tran Dinh Phung & Vo Thi Thuy Van & Trinh Thi Huyen Thuong & Nguyen Tran Thai Ha - 1279-1289 Corruption and Doing Business in Emerging Markets
by Nicholas A Lash & Bala Batavia - 1290-1305 China’s Manufacturing Strategy Choice: An Integrated Strategic Analysis Framework Combining SWOT and Logical Growth Models
by Qiguo Gong & Limin Rong & Hui Wang
2019, Volume 9, Issue 10
- 1107-1123 Determinants of Financial Inclusion: Comparative Study of Asian Countries
by Thanh Tam Le & Nguyen Dieu Linh Dang & Thi Dieu Thu Nguyen & Thanh Son Vu & Manh Dung Tran - 1124-1135 Military Spending and the Sino-US Arms Race: An Analysis Using Bootstrap ARDL
by Mei-Chih Wang & Tienwei Lou - 1136-1146 Are Islamic Banks Less Efficient than other Banks? Evidence from Bangladesh
by Md Reiazul Haque & Md Nurul Islam Sohel - 1147-1159 Assessing the Impact of Terrorism in Trade Development in the SADC Region: A Gravity Model Approach
by Stacy Julius & Nnanna P Azu & Maimuna Y Muhammad - 1160-1170 The Interactive and Causal Relationship between Productivity and Profitability of Vietnam’s Formal Microfinance Institutions
by Van Duong Ha - 1171-1183 The Identification of Indonesia and Malaysia Company Performance Based on Intellectual Capital
by Salawati Sahari & Santy Mayda Batubara - 1184-1199 Domestic Value Creation in the Involvement in Global Value Chains in Asian Economies: Role of Supporting Industries
by Taguchi Hiroyuki & Pham Son Duong - 1200-1210 How Livelihood Diversification and Institutional Credit Help to Improve Household Well-Being in India?
by Zeeshan & Md. Riyazuddin Khan & Geetilaxmi Mohapatra & Arun Kumar Giri
2019, Volume 9, Issue 9
- 977-993 Managing Optimal Working Capital and Corporate Performance: Evidence from Vietnam
by Ha Thi Thuy Van & Dang Ngoc Hung & Vu Thi Thuy Van & Ngo Thanh Xuan - 994-1018 Are the Islamic Banks Really more Profitable than the Conventional Banks in a Financial Stable Period?
by Achraf Haddad & Anis El Ammari & Abdelfettah Bouri - 1019-1031 Commercial Diplomacy as a Part of National Transformation and its Impact on the Internationalization of SMEs: Evidence from Saudi Arabia
by Megbel Aleidan - 1032-1042 Modeling the Impact of Political Risk Components on Major Macroeconomic Variables
by Sahajdeep Kaur & Shah Krushali & C. G Accamma & Namitha K Cheriyan - 1043-1066 Rest Breaks Arrange Based on Empirical Studies of Productivity in Manufacturing Industry
by Feng Dong & Qiguo Gong & Hui Wang & Siyuan Yi & Yue Cai - 1067-1076 The Effect of Firm Growth on Brand Value: Evidence from Brand Finance Turkey-100
by Bilal Gerekan & Abdülkadir Pehlivan & Mahmut Koçan - 1077-1090 Relationship between Capital Requirement, Ownership Structure, and Financial Performance in Saudi Arabian Listed Companies
by Suha Alawi - 1091-1106 Non-Performing Loans of Commercial Banks in South Asian Countries: Adverse Selection and Moral Hazard Issues
by Md. Shahidul Islam & Shin-Ichi Nishiyama
2019, Volume 9, Issue 8
- 875-887 The Effect of Direct Foreign Investment on Stock Price Volatility in the Saudi Market
by Suha Alawi - 888-900 R&D Expenditure, Spillovers and Productivity-Empirical Study of Taiwanese Optoelectronic Industry
by Ting-Kun Liu - 901-912 The Impact of Banking Regulation on the Emergence of Crises in Emerging Countries
by Rim Mekki - 913-925 Revisiting Oil Prices, Producer Price Index (PPI), and the Purchasing Managers Index (PMI) Nexus: China and the USA
by Wang Mei-Chih & Tsangyao Chang - 926-935 Does Identity Theft Insurance Undermine Risk Perceptions and Increase Risky Behavioral Intentions?
by Fan Liu - 936-945 Investigating Impact of Expansionary Fiscal Policy on Output in Bangladesh Economy: An Econometric Study
by Binata Rani Sen & Shamim Alam & Md. Maznur Rahman & Mohammad Iqbal Hossain - 946-963 Relationship between Experts and Enterprises Viewed via the IFRS Application: An Empirical Study in Vietnam
by Tu Chuc Anh & Ngoc Bùi Thị & Oanh Lê Thị Tú - 964-976 Relationship between Financial Income Tax Reform and Implicit Tax: Case of South Korean Bond Market
by Sang-Yeob Lee & SungMan Yoon
2019, Volume 9, Issue 7
- 743-751 Effect of Board Diversity on Financial Performance of the Vietnamese Listed Firms
by My Tran Ngo & Thi Hong Van Pham & Thi Thai Tam Luu - 752-765 Performance of Malaysian Financial Firms: An Intellectual Capital Perspective Using MVAIC Model
by Hapsah S Mohammad & Imbarine Bujang - 766-777 Financial Sector Reforms, Monetary and Output Uncertainties and the Behavior of Money Demand in Kenya: The Divisia Index Approach
by Hussin Abdullah & Shehu El-Rasheed - 778-788 Market Illiquidity Premium on Stock Returns: An Empirical Study of Taiwan Stock Markets
by Chia-Cheng Chen & Chia-Li Tai & Yi-Chun Cho - 789-806 Gender Inequality and its Implication for Inclusive Growth in Nigeria from 1980 to 2018
by Olukemi I Lawanson & Dominic I Umar - 807-823 The Role of Adaptive Ability in Firm Performance: Moderating Effect of Firm Size and Age
by Ngatno & Reni Shinta Dewi - 824-835 A Comparison of the Economic Volatility Spillover Effect of Hong Kong with China and USA
by Eric M.T Wong - 836-850 Fractional Integration in Corporate Social Responsibility Indices: A FIGARCH and HYGARCH Approach
by Quynh-Trang Nguyen & John Francis Diaz & Jo-Hui Chen & Ming-Yen Lee - 851-863 How Large is the Border Effect between the United States and China?
by Di Wang & Zhimin Wang & Yuying Xie - 864-874 The Effects of Financing Risk on the Value of Firm and Profitability: Evidence from Nigerian Commercial Banks
by Olalere Oluwaseyi Ebenezer & Md Aminul Islam & Mohd Zukime Mat Junoh & Wan Sallha Yusoff
2019, Volume 9, Issue 6
- 654-664 Risk Management, Capital Adequacy and Audit Quality for Financial Stability: Assessment from Commercial Banks of Pakistan
by Hafiz Waqas Kamran & Abdelnaser Omran & Shamsul Bahrain Mohamed-Arshad - 665-679 Systemic Risk in the Chinese Stock Market Under Different Regimes: A Sector-Level Perspective
by Haizhen Yang & Xiangjuan Cheng & Qiubin Huang & Qiao Wang - 680-690 Real Exchange Rate and Economic Growth: An Empirical Assessment for Vietnam
by DO Thi My Huong - 691-701 Growth Accounting for Saudi Arabia
by Mohammad Imdadul Haque - 702-711 Money and Inflation Nexus in Bangladesh
by Md. Nezum Uddin & Mohammed Jashim Uddin & Monir Ahmmed - 712-723 Internet Plus Strategy and Transformation and Upgrading of Traditional Enterprises
by Bin Li & Litao Duan & Geng Peng & Benfu Lv - 724-742 Economic Growth and Environmental Quality: Stylist Facts and Environmental Kuznets Curve : Case of Tunisia
by Jihène Sbaouelgi
2019, Volume 9, Issue 5
- 559-580 A Comparative Study of Operational Efficiency of Pakistani and Malaysian Islamic Banks: Data Envelopment Analysis Approach
by Muhammad Afaq Haider & Qasim Raza & Soniya Jameel & Khansa Pervaiz - 581-603 The Impact of Aid and Macroeconomic Policy on Growth in Nigeria: A Bounds Testing Approach
by Nuruddeen USMAN & Martins O APINRAN - 604-616 Macroeconomic Determinants of Credit Spreads: An Empirical Comparison between Chinese and American Corporate Bonds
by Rong-Xi Zhou & Ya-Hui Xiong & Tian-Hao Liu & Jing Li - 617-629 The Impact of Income Inequality on Economic Growth in Vietnam: An Empirical Analysis
by Quoc Hoi Le & Hoai Nam Nguyen - 630-641 Institutional Quality and Foreign Direct Investment Inflows: The Case of Vietnam
by Cao Hong Minh - 642-653 A Study of Interaction Effects of Political Influences and Earnings Management on Organisational Performance
by Muhammad Sadiq & Zaleha Othman & Ooi Chee Keong
2019, Volume 9, Issue 4
- 419-431 Impact of Bank Regulatory Change and Bank Specific Factors Upon Off-Balance-Sheet Activities Across Commercial Banks in South Asia
by Muhammad Farhan Basheer & Mohamad Helmi Hidthiir & Waeibrorheem Waemustafa - 432-449 Life Cycle Theory of the Capital Structure: Evidence from Tunisian SMEs
by Youssef Walid - 450-460 Reassessing the Efficacy of Foreign Aid and Grants in Poverty Reduction in Nigeria
by Tersoo Shimonkabir SHITILE & Abubakar SULE