Content
2020
- 1-10 An Empirical Analysis on Students’ Cheating Behavior and Personality Traits in the Context of Fraud Triangle Factors
In: Contemporary Issues in Audit Management and Forensic Accounting
by Ali Altug Bicer - 11-26 The Effects of Big Data on Forensic Accounting Practices and Education
In: Contemporary Issues in Audit Management and Forensic Accounting
by Burcu Isgüden Kiliç - 27-40 Forensic Accounting Education: An Evaluation of Perception of Students and Certified Public Accountants
In: Contemporary Issues in Audit Management and Forensic Accounting
by Emin Zeytinog?lu & Zafer Anadolu - 41-56 Financial Information Manipulation and Its Effects on Investor Demands: The Case of BIST Bank
In: Contemporary Issues in Audit Management and Forensic Accounting
by Esra Atabay & Engin Dinç - 57-75 The Current Situation and Prospects of the Profession of Judicial Advisory in Turkey: A Research on Lawyers
In: Contemporary Issues in Audit Management and Forensic Accounting
by Engin Dinç & Esra Atabay - 77-97 Insurance Fraud: The Case in Turkey
In: Contemporary Issues in Audit Management and Forensic Accounting
by Feride Hayirsever Bas¸türk - 99-110 Rationality in Decision-Making and Deterring Corporate Fraud
In: Contemporary Issues in Audit Management and Forensic Accounting
by Gokce Sinem Erbuga - 111-130 Explaining Heterogeneity in Risk Appetite and Tolerance: The Turkish Case: *: ,: †
In: Contemporary Issues in Audit Management and Forensic Accounting
by Joseph John Woods & Sharon Seychell & Ercan Ozen & Jonathan Spiteri & Robert Suban & Simon Grima - 131-153 An Analysis of Fraudulent Financial Reporting Using the Fraud Diamond Theory Perspective: An Empirical Study on the Manufacturing Sector Companies Listed on the Borsa Istanbul
In: Contemporary Issues in Audit Management and Forensic Accounting
by Hakan Ozcelik - 155-171 Detection of Accounting Frauds Using the Rule-Based Expert Systems within the Scope of Forensic Accounting
In: Contemporary Issues in Audit Management and Forensic Accounting
by Mahmut Sami Öztürk & Hayrettin Usul - 173-188 Financial Statement Manipulation: A Beneish Model Application
In: Contemporary Issues in Audit Management and Forensic Accounting
by Murat Erdogan & Eda Oruç Erdogan - 189-202 The Evaluation of the Criteria for the Selection and Change of the Independent Audit Firm Using the AHP Method
In: Contemporary Issues in Audit Management and Forensic Accounting
by Özlem Kuvat & Burcu Isgüden Kiliç - 203-218 The Forensic Accounting Profession and the Process of Its Development in the World
In: Contemporary Issues in Audit Management and Forensic Accounting
by Öznur Arslan - 219-244 Forensic Accounting and Fraud Audit in Turkey (2008–2018): An Academic Literature Review and Classification
In: Contemporary Issues in Audit Management and Forensic Accounting
by Seval Kardes Selimoglu & Mehtap Altunel - 245-264 The Views of Turkish Accounting Academics about the Skills of the Forensic Accountant
In: Contemporary Issues in Audit Management and Forensic Accounting
by Süleyman Uyar & Kürsad Çavusoglu - 265-272 Financial Crime: A Review of Literature
In: Contemporary Issues in Audit Management and Forensic Accounting
by Yüksel Akay Ünvan - 273-301 Social Auditing and Its Applicability to Maltese Co-Operatives:
In: Contemporary Issues in Audit Management and Forensic Accounting
by Peter J. Baldacchino & Shana Bugeja & Simon Grima - 303-324 Challenging the Adequacy of the Conventional ‘Three Lines of Defence’ Model: A Case Study on Maltese Credit Institutions:
In: Contemporary Issues in Audit Management and Forensic Accounting
by Glen Borg & Peter J. Baldacchino & Sandra Buttigieg & Engin Boztepe & Simon Grima
2019
- 1-12 Risk and Control in Consumer Behavior: A Discussion
In: Contemporary Issues in Behavioral Finance
by Erdogan Koç & Çagatan Taskin & Hakan Boz - 13-28 Using Artificial Intelligence Techniques for Economic Time Series Prediction
In: Contemporary Issues in Behavioral Finance
by Utku Kose - 29-43 Volatility Spillovers Between BIST100 Index and S&P500 Index
In: Contemporary Issues in Behavioral Finance
by Letife Özdemir & Serap Vurur - 45-52 Brand Reputation and its Influence on Consumers’ Behavior
In: Contemporary Issues in Behavioral Finance
by Marica Mazurek - 53-64 An Investigation of Augmented Reality Applications from the Perspectives of Brand Trust and Purchase Intentions of Customers
In: Contemporary Issues in Behavioral Finance
by Bilsen Bilgili & Emrah Özkul & Erdogan Koç & Mehmet Oguz Ademoglu - 65-76 Women’s Cooperatives as a Tool of Employment Policy in Turkey
In: Contemporary Issues in Behavioral Finance
by Duygu Kizildag - 77-95 The Impact of Financial Literacy on Cognitive Biases of Individual Investors
In: Contemporary Issues in Behavioral Finance
by Ercan Özen & Gürsel Ersoy - 97-138 Retirement Planning: A Literature Review
In: Contemporary Issues in Behavioral Finance
by Sara Pavia & Simon Grima - 139-152 A Comparative Survey Over Time Between Cash and Cashless Payments in Poland
In: Contemporary Issues in Behavioral Finance
by Beata Swiecka - 153-162 Marketing Communications and Experiential Marketing in the Context of Augmented Reality
In: Contemporary Issues in Behavioral Finance
by Songül Bilgili Sülük & Kenan Aydin - 163-170 Exports, Imports, and the Exchange Rate: A Causality Analysis for Turkey (2004–2017)
In: Contemporary Issues in Behavioral Finance
by Erdogan Kotil - 171-185 Herd Behavior in the Borsa Istanbul
In: Contemporary Issues in Behavioral Finance
by Reyhan Can & Isin Dizdarlar - 187-203 Factors Affecting Internet Banking Preferences and Their Relation to Demographic Characteristics
In: Contemporary Issues in Behavioral Finance
by Eser Yesildag - 205-213 Who Wants to be a Millionaire?: A Behavioral Economy Analysis:
In: Contemporary Issues in Behavioral Finance
by Ekrem Tufan & Burcu Engin & Yonca Imer & Merve Aycan - 215-226 Herd Behavior and its Effects on the Purchasing Behavior of Investors
In: Contemporary Issues in Behavioral Finance
by Çagatay Basarir & Özer Yilmaz - 227-259 Retirement Planning by Maltese Nationals: A Study of Influential Factors
In: Contemporary Issues in Behavioral Finance
by Simon Grima & Sara Pavia - 261-281 How Does Governance Help World Stock Market Development?
In: Contemporary Issues in Behavioral Finance
by Tarek Eldomiaty & Rasha Hammam & Yasmeen Said & Alaa Safwat
2018
- 1-8 Green Economy: A Phenomenon of Progress and a Concept of Environmental Security
In: Contemporary Issues in Business and Financial Management in Eastern Europe
by A. U. Albekov & T. V. Parkhomenko & A. A. Polubotko - 9-17 Green Finance: Trends and Financial Regulation Prospects
In: Contemporary Issues in Business and Financial Management in Eastern Europe
by O. V. Andreeva & N. G. Vovchenko & O. B. Ivanova & E. D. Kostoglodova - 19-29 Information and Financial Technologies in a System of Russian Banks’ Digitalization: A Competency-Based Approach
In: Contemporary Issues in Business and Financial Management in Eastern Europe
by N. G. Vovchenko & L. Yu. Andreeva & V. S. Kokhanova & O. T. Dzhemaev - 31-40 Problems of Fund Raising for Projects on Accumulated Damage Repair: Experience from Russian Regions
In: Contemporary Issues in Business and Financial Management in Eastern Europe
by N. G. Kuznetsov & N. D. Rodionova & M. A. Ponomareva - 41-48 Justifying Companies’ Marketing Models for a Winning Business Strategy
In: Contemporary Issues in Business and Financial Management in Eastern Europe
by V. A. Bondarenko & E. V. Pisareva - 49-59 Competency-Based Management in a System of Sustainable Development of Banks, Financial and Technology Companies
In: Contemporary Issues in Business and Financial Management in Eastern Europe
by L. Yu. Andreeva & T. V. Epifanova & O. V. Andreeva & A. S. Orobinsky - 61-70 Economic Coenosis Stability: Methodology and Findings
In: Contemporary Issues in Business and Financial Management in Eastern Europe
by A. N. Kuzminov & N. G. Korostieva & V. M. Dzhukha & O. A. Ternovsky - 71-81 Development of Treasury Technologies: Russian and Foreign Experience
In: Contemporary Issues in Business and Financial Management in Eastern Europe
by T. F. Romanova & L. V. Bogoslavtseva & V. V. Terentjeva - 83-91 Analysis of Individual Entrepreneurship Activity Strategies
In: Contemporary Issues in Business and Financial Management in Eastern Europe
by Yu.G. Chernysheva & G. I. Shepelenko - 93-100 The Fiscal Mechanism in Russia: Development and Trends
In: Contemporary Issues in Business and Financial Management in Eastern Europe
by M. S. Basnukaev & Z. A. Klukovich & A. A. Mambetova & T. M. Dodokhyan - 101-109 The Global Nature of Interaction in the World Economy
In: Contemporary Issues in Business and Financial Management in Eastern Europe
by I. N. Efremenko & T. V. Panasenkova & V. A. Larionov - 111-119 The Economic Capital Model in Bank’s Capital Assessment
In: Contemporary Issues in Business and Financial Management in Eastern Europe
by E. A. Posnaya & E. V. Dobrolezha & I. G. Vorobyova & G. P. Chubarova - 121-130 Corporate Reporting Formation at Commercial Organizations
In: Contemporary Issues in Business and Financial Management in Eastern Europe
by N. T. Labyntsev & I. V. Alekseeva & E. M. Evstafjeva & R. G. Osipova - 131-139 Scientific Projections of K. Marx’s “Concept of Alienation”
In: Contemporary Issues in Business and Financial Management in Eastern Europe
by S. S. Galazova
2016
- 1-19 Impact of Financial Literacy on Domestic Economic Activity in the Baltic States
In: Contemporary Issues in Finance: Current Challenges from Across Europe
by Margarita Dunska & Kaspars Kravinskis - 1-35 Active versus Passive Investing: An Empirical Study on The US and European Mutual Funds and ETFs
In: Contemporary Issues in Bank Financial Management
by Desmond Pace & Jana Hili & Simon Grima - 21-35 Banking and Fintech: A Challenge or Opportunity?
In: Contemporary Issues in Finance: Current Challenges from Across Europe
by Inna Romanova & Marina Kudinska - 37-48 Analysis of Crowdfunding in European Union: Performance and Perspectives
In: Contemporary Issues in Finance: Current Challenges from Across Europe
by Alina Dibrova - 37-71 FX Hedging Using Forwards and ‘Premium-Free’ Options
In: Contemporary Issues in Bank Financial Management
by John Mark Caruana - 49-62 Misuse of Derivatives: Considerations for Internal Control
In: Contemporary Issues in Finance: Current Challenges from Across Europe
by Simon Grima & Frank Bezzina & Inna Romanova - 63-76 Profiles of SMEs as Borrowers: Case of Latvia
In: Contemporary Issues in Finance: Current Challenges from Across Europe
by Ramona Rupeika-Apoga & Irina Solovjova - 73-92 Director Trading in Malta: An Analysis of Returns
In: Contemporary Issues in Bank Financial Management
by Yanica Caruana - 77-94 Avoiding Bankruptcy in Italy: Preventive Arrangement with Creditors
In: Contemporary Issues in Finance: Current Challenges from Across Europe
by Alessandro Danovi & Patrizia Riva & Marina Azzola - 93-132 Equity Mutual Fund Performance Evaluation: An Emerging Market Perspective
In: Contemporary Issues in Bank Financial Management
by Jana Hili & Desmond Pace & Simon Grima - 95-110 Mergers and Acquisitions: Examples of Best Practice in Europe and Latvia
In: Contemporary Issues in Finance: Current Challenges from Across Europe
by Svetlana Saksonova & Irena Kantane - 111-134 Critical Factors of Pre-Acquisition Due Diligence in Cross-Border Acquisitions
In: Contemporary Issues in Finance: Current Challenges from Across Europe
by Alen Sacek - 133-156 Recent Annual Report Weaknesses by a Supreme Audit Institution: An Analysis
In: Contemporary Issues in Bank Financial Management
by Peter J. Baldacchino & Daniel Pule & Norbert Tabone & Justine Agius - 135-159 The FDI Inflow to Special Economic Zones in Poland
In: Contemporary Issues in Finance: Current Challenges from Across Europe
by Tomasz Dorozynski & Janusz Swierkocki & Wojciech Urbaniak - 157-198 Analysis of Risk Parity Approach for Sovereign Fixed-Income Portfolios in Eurozone Countries
In: Contemporary Issues in Bank Financial Management
by Noel Cassar & Simon Grima - 161-182 An Analysis of Audit Report Lags in Maltese Companies
In: Contemporary Issues in Finance: Current Challenges from Across Europe
by Peter J. Baldacchino & Loraine Grech & Konrad Farrugia & Norbert Tabone - 199-225 The Evolution of the Retail Payment Market – A Focus on Malta
In: Contemporary Issues in Bank Financial Management
by Sharon Marya Cilia Tortell
2014
- 3-13 Introduction to Risk Management Post Financial Crisis: A Period of Monetary Easing
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Jonathan A. Batten & Niklas F. Wagner - 3-30 Central Banks’ Role in Shaping the Future of Islamic Banking
In: The Developing Role of Islamic Banking and Finance: From Local to Global Perspectives
by Fouad H. Beseiso - 15-40 Complexity Analysis and Risk Management in Finance
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Charilaos Mertzanis - 31-44 Shari’ah: Governance Applicable to Islamic Banks in Malaysia: Effect of Islamic Financial Services Act 2013
In: The Developing Role of Islamic Banking and Finance: From Local to Global Perspectives
by Aishath Muneeza - 41-56 The Effects of Macroeconomic News Announcements during the Global Financial Crisis
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Pilar Abad & Helena Chuliá - 45-69 The Impact of the International Financial Crisis on the Performance of Islamic Banks in MENA Countries
In: The Developing Role of Islamic Banking and Finance: From Local to Global Perspectives
by Hajer Zarrouk - 59-81 The Pro-Cyclical Impact of Basel III Regulatory Capital on Bank Capital Risk
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Guoxiang Song - 73-87 Approach to the Integration of Takaful Insurance in the Algerian Market
In: The Developing Role of Islamic Banking and Finance: From Local to Global Perspectives
by Nesrine Bouzaher & Okba Necira & Sabrina Kerdoudi - 83-95 Nonparametric Expectile Regression for Conditional Autoregressive Expected Shortfall Estimation
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Marcelo Brutti Righi & Yi Yang & Paulo Sergio Ceretta - 89-112 Challenges and Opportunities for Development of Islamic Stockbroking in Malaysia
In: The Developing Role of Islamic Banking and Finance: From Local to Global Perspectives
by Mohammad Mahbubi Ali - 97-151 The Impact of External Shocks on Stock Prices in the East Asian Domestic Banking Sector
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Masahiro Inoguchi - 103-116 The Opportunity for Implementing Islamic Project Financing to the Indonesian Infrastructure Development
In: The Developing Role of Islamic Banking and Finance: From Local to Global Perspectives
by Ayomi Dita Rarasati & Bambang Trigunarsyah & Eric Too - 119-140 Islamic Banks’ Mergers and Acquisitions – Impacts on Performance and Financial Crisis in the United Kingdom
In: The Developing Role of Islamic Banking and Finance: From Local to Global Perspectives
by Tarek Kandil & Dababrata Chowdhury - 141-162 Attitude of Muslims and Non-Muslims towards Islamic Banking – An Exploratory Study in India
In: The Developing Role of Islamic Banking and Finance: From Local to Global Perspectives
by Mohammad Faisal & Asif Akhtar & Asad Rehman - 153-178 Measuring Financial Integration: Evidence from Ten Industries in a “US-Emerging World”
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Michael Donadelli - 163-180 Strategic Requirements to Implement the Privatization Program in Iran
In: The Developing Role of Islamic Banking and Finance: From Local to Global Perspectives
by Mohammad Dolatabadi & Lotfollah Forouzandeh - 181-192 Will Quantitative Easing Enhance or Drain the Availability of Funds to Financial Markets?
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Yasushi Suzuki - 193-210 Money Demand Causality for Ten Asian Countries: Evidence from Linear and Nonlinear Causality Tests
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Ahdi Noomen Ajmi & Nicholas Apergis - 211-219 Product Market Competition and Inflation Persistence
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Amr Sadek Hosny - 221-252 Unlocking Credit
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Ike Mathur & Isaac Marcelin - 255-276 Monetary Policy and Bank Liquidity in China
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Nan Shi & Xin Sun & Fan Zhang - 277-290 Monetary Policy and Bank Credit Risk in Vietnam Pre and Post Global Financial Crisis
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Xuan Vinh Vo & Phuc Canh Nguyen - 291-315 Analysis of Factors Influencing and Controlling Excess Cash and Short-Term Bank Loans in Taiwan
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Ma-Ju Wang & Yi-Ting Chang - 317-339 Bank Competition, Managerial Efficiency and the Interest Rate Pass-Through in India
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Jugnu Ansari & Ashima Goyal - 341-364 Financial Architecture and Monetary Policy Transmission Mechanism in Kenya
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Roseline Nyakerario Misati & Alfred Shem Ouma & Kethi Ngoka-Kisinguh - 367-388 The Dim Sum Bond Market in Hong Kong
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Ike Mathur & Soumen De - 389-400 Sentiment and Beta Herding in the Borsa Istanbul (BIST)
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Nazmi Demir & Syed F. Mahmud & M. Nihat Solakoglu - 401-416 Testing for Rational Speculative Bubbles in the Brazilian Residential Real-Estate Market
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Marcelo M. de Oliveira & Alexandre C. L. Almeida - 417-437 Challenges in the Application of Extreme Value Theory in Emerging Markets: A Case Study of Pakistan
In: Risk Management Post Financial Crisis: A Period of Monetary Easing
by Jamshed Y. Uppal & Syeda Rabab Mudakkar