Content
January 2024, Volume 16, Issue 1
- 1-1 Exploring Fallacies and Environmental Responsibilities in the Socio-Environmental Reports of the Brazilian Company Vale S.A.: A Case Study on the Dam Disasters in Mariana and Brumadinho
by Lavoisiene R. Lima & Fátima S. Freire & Nilton O. Silva - 1-15 Micro and Macro Determinants of Non-Performing Loan (NPL) in Banking Sector of Bangladesh
by Mobasshir Anjum - 1-22 The Role of the Management Control System in Supporting ESG-Focused Transformation in Financial Intermediaries: A Case Study of an Italian Bank
by Valeria Vannoni & Federica Palazzi & Annalisa Sentuti & Francesca Sgrò - 1-33 Corruption in Brazil: Perceptions, Causes and Consequences
by Paulo R. A. Loureiro & Mario Jorge Mendonça & Tito Belchior S. Moreira - 1-42 On the Interest Rate Derivatives Pricing with Discrete Probability Distribution and Calibration with Genetic Algorithm
by Allan Jonathan da Silva & Leonardo Fagundes de Mello - 1-57 Public Policies and State and Market Failures Social Economy in the Context of Partnership with Civil Society Organizations
by José Antonio De França & Sérgio Ricardo Miranda Nazaré & Eduardo Tadeu Vieira & Clesia Camilo Pereira & Paulo César Melo Mendes - 1-68 New Institutionalism: Public Agents’ Choices Based on Individual Interests
by Jeremias Pereira da Silva Arraes & José Matias- Pereira - 1-73 Bank Credit Channel of Monetary Policy in the UEMOA Zone: A TVP-VAR Approach
by Prao Yao Séraphin & Anzara Xavier Fabrice Méa
December 2023, Volume 15, Issue 12
- 1-1 FDI and Economic Growth in Côte d’Ivoire: An Empirical Analysis Based on the Service Sector
by Jean Baptiste Tiémélé & Bi Goli Jean Jacques Iritié - 1-16 Fiscal Pedal: Fraud or Creative Accounting? A Theoretical Understanding of the Dangerous Fiscal Cycles that Affected the Brazilian Economy
by Jeremias Pereira da Silva Arraes & José Matias-Pereira & João Abreu Faria Bilhim - 1-25 The VIX Index and the Volatility of the Latin American and G7 Stock Exchanges before and during the COVID-19 Pandemic
by Pedro Raffy Vartanian & Roberto Simioni Neto - 1-39 Present Bias and Quality Reduction on Daily Deal Platforms
by Stefano Galavotti & Gioele Massaro - 1-53 Why is Technological Innovation Locally Concentrated? A Theoretical Review
by Bi Goli Jean Jacques Iritié - 1-68 Capital Structure and Macroeconomic Determinants in Emerging Country: A Panel Quantile Regression Approach
by Ibtissem Missaoui & Yaqoub Alduraywish - 1-77 Payment Market and Pricing: A Bibliometric Review
by Breno C. Sena & Flávio L. Carvalho & Andrei A. Albuquerque - 1-91 Enhancing Growth and Productivity Through Mobile Money Financial Technology Services: The Case of M-Pesa in Kenya
by Gladys Wachira & Angelica Njuguna - 106-106 Economic Freedom, Fiscal Rules on FDI Inflows: An Analysis of 24 Developing Countries
by Dimitra Mitsi - 118-118 Systematic Risk and Corporate Business Performance
by Marco A. Paganini - 160-160 Real Options Analysis for Investment Decisions in Geothermal Energy
by Michel Becker & Marcus Vinicius Andrade de Lima & Juliana Baldessar Weber - 171-171 Financial Determinants of Pharmaceutical Supply for SIS Insured in Pasco Region 2019-2021
by Raúl Lopez Seclén & Fernando Burgos Zavaleta
November 2023, Volume 15, Issue 11
- 1-1 Human Capital for Innovation Capacity in Middle-Income Economies
by Huong Thu Ngo - 1-20 Effect of Adult Attachment Style and Work-Family Conflict on Life Satisfaction of Working Women
by Jefri Heridiansyah & Theresia Susetyarsi & Wahyudi - & Teti Safari - 1-28 Policy Uncertainty and the Volatility of the S&P 500: Before and After the Launch of the S&P 500 ESG
by Manel Mahjoubi & Jamel Eddine Henchiri - 1-40 The Relationship Between Stokvels and Banking Sector Efficiency: An ARDL Approach
by Lindiwe Ngcobo - 1-49 Analysis: Why Short-Term Financial Products Lack in Hong Kong
by Zecheng Lin - 1-54 Plural Forms of Governance: Evidence from a Poultry Cooperative in Southern Brazil
by Cleunice Zanella & Andre L. S. Leite & Nei A. Nunes & Sandro V. Soares & Ivone Junges - 1-64 Financial Inclusion in Rural and Urban Nigeria: A Quantitative and Qualitative Approach
by Taiwo O. Soetan & Omonigho S. Umukoro - 1-83 Effect of Psychological Factors on Investment Decisions of Millennial Investors in an Emerging Country
by Prabarani Palma Pramita & Tuning Rahayu & Chindira Kusvirgianie Diono & Evelyn Hendriana
October 2023, Volume 15, Issue 10
- 1-1 Research on the Influence of Board Informal Hierarchy on Corporate Financial Restatement Behavior
by Ning Wang & Xinzhuo Zhao & Huizhong Su & Puxin Zhang - 1-13 An Economic Analysis of Meat Demand in Indonesia
by Junaedi - & Muhammad Umar Burhan & Ghozali Maskie & Multifiah - - 1-23 Economic Sustainability: Meeting Needs without Compromising Future Generations
by Mahmoud Elsawy & Marwan Youssef - 1-32 Factors of FDI and their Impact on the Moroccan Economy: An Empirical Investigation Using the ARDL Approach
by Anass Arbia & Khalid Sobhi & Mohamed Karim - 1-44 The Contemporary Concept of Odious Debts: Iraq’s Debts as a Model
by Duraid K. Alshbib - 1-57 Fiscal Policy, Quality of Education, and Economic Growth in the Dominican Republic
by Luis Rene Caceres - 1-84 Do Fraud Triangle Components Motivate Financial Crimes in Somalia?
by Dayah Abdi Kulmie
September 2023, Volume 15, Issue 9
- 1-1 Factors Affecting Return on Assets (ROA) in the Banking Sector of Selected Arab Countries: Is There a Role for Financial Inclusion and Technology Indicators?
by Rami Obeid - 1-10 Foreign Aid Effectiveness in the Education Sector: A Dynamic Panel Analysis
by Bindeswar Prasad Lekhak - 1-30 Payroll Loans and Debt Among Public Servants in Brazil
by Guilherme Campos Gonçalves & Celso Vila Nova de Souza Junior & Andrea Felippe Cabello - 1-37 The Exchange Rate Volatility During Political Protests: Event Study and the Case of Belarus
by Kiryl Rudy - 1-53 Real Options in the Brazilian Power Generation Sector: Are Domestic Equity Research Analysts Blind-Sighted or Is It Just a Temporary Glitch?
by Marcio Santiago Gonçalves & Jefferson A. Colombo
August 2023, Volume 15, Issue 8
- 1-1 Evolving Nature of Financial Intermediation and Economic Growth: Insights from a Bayesian Vector-Autoregression Analysis
by Ujjal K. Chatterjee - 1-14 Smart Money in the NCAA Men’s Basketball Tournament
by George Chang & James Feigenbaum - 1-27 Variance Risk Premium Components in Japan for Predictability: Evidence from the COVID-19 Pandemic
by Masato Ubukata - 1-43 Corporate Board Gender Diversity and Financing Decision
by Yuan Chang & Mazurina Mohd Ali & Qing Wang & Shu-Hui Lin - 1-66 Carbon Risk and Corporate Capital Structure: The State of the Art
by Oscar Domenichelli - 1-73 The Inefficacy of Loose Monetary Policy
by Kenneth S. Choie - 1-80 The Channel of Female Employment in the Transmission of Monetary Policy in the Dominican Republic
by Luis Rene Caceres - 1-96 The Role and Impact of Institutional Distance on China’s Export Trade with Countries in Africa and Asia
by Zakariae Elattar & Mingque Ye
July 2023, Volume 15, Issue 7
- 1-1 Who Seeks Financial Advice from a Financial Planner?
by Fan Liu - 1-10 Russian Drama: Inherited Development Underperformance and Eroding Global Dominance
by Solomon I. Cohen - 1-23 A Study on the Effect of Heterogeneous Equity Mix on the Performance of Mixed Ownership Firms
by Xuemei Liu & Rong Yang & Dongsheng Li - 1-35 What Contribute to the Growth of EV Automakers’ Valuation? The Case of Tesla and Nio
by Quang Nguyen Tran - 1-46 The Detection of Asset Price Bubbles in the Cryptocurrency Markets with an Application to Risk Management and the Measurement of Model Risk
by Michael Jacobs, Jr. - 1-68 Import and Export of Beef Products in Tajikistan and Its Impact on the Domestic Market
by Rishod Davlatov & Solomon Boamah & Mukut Sikder & Xuecheng Dou
June 2023, Volume 15, Issue 6
- 1-1 The Over-Valued Yen and the Low-Pressure Economy Repressed Productivity in Japan
by Koichi Hamada & Koji Nomura - 1-14 Speculation in Food and Commodities - A Research Report: A Critical Discussion of the Econometric Research Method and an Alternative Analysis
by Christian A. Conrad - 1-27 Financial Inclusion and the Role of Financial Literacy in the Philippines
by Jared Martin U. Desello & Mary Grace R. Agner - 1-44 CEO Compensation in Founder-Controlled Firms: A Comparison Between Family CEOs and Non-Family CEOs
by Yves Bozec & Jackie Di Vito - 1-54 Land Financing-Led Urbanization in China: Evolution, Scale and Lessons
by Minquan Liu & Yuming Cui - 1-66 IPSAS: Which Stage Is the Brazilian Public Sector Accounting In?
by Abimael de Jesus Barros Costa - 1-75 Sustainable Start-Up Ecosystems in Terms of Capital Investment and Other Business Opportunities for Corporate Involvement – A Comparative Analysis of Hong Kong and Shenzhen
by Sandi Vrabec & Krištof Zorko & Vito Bobek
May 2023, Volume 15, Issue 5
- 1-1 Financial Perspective Thought Experiment on Russian Cyber Threat Actors
by Zsolt Bederrna - 1-11 Interactions of Gross Domestic Product, External Debt and Government Expenditure: Evidence From International Development Association Countries [A Panel-VAR Approach]
by Krishna Hari Baral - 1-26 How Efficiently Can Infant Stock Markets Exhibit the Random Walk? Evidence From Malawi
by Joseph Paul Chunga & Yu Ping - 1-37 Interrelationships Between the Brazilian Financial Market and Foreign Financial Markets: New Evidence During and After the Subprime Crisis
by Edson Zambon Monte & Renzo Caliman Souza & Ricardo Ramalhe Moreira - 1-54 The Use of Information Technology in Environmental Management: The Case of Brazilian Amazon Forest
by Rodrigo M. Pereira & Celso Vila Nova de S. Júnior & Tito Belchior S. Moreira - 1-66 As Quantity Theory of Money Is Illogically Derived from Definition Instead Premises, Marx Illogically Constructed the Whole Book of Das Kapital on Inconsistent Premises
by Chao Chiung, Ting - 1-86 Measuring Volatility Persistence and Asymmetric Effects Around Index Rebalancing of Nifty Indices
by Eshan Ahluwalia & Trilochan Tripathy & Ajay Kumar Mishra - 100-100 Macroeconomics and Suicide in Mexico and Central America
by Luis Rene Caceres
April 2023, Volume 15, Issue 4
- 1-1 A Research on Stock Market Changes in China Caused by Covid-19 -- An Event Study Based Statistical Approach
by Li Cheng & Jermoe Kueh Swee Hui - 1-8 Sectoral and Regional Volatility Connectedness: The Case of CDS Spreads and Equities
by Christian Manicaro - 1-18 Financial Crimes in Somali Public Sector: Causes and Consequences
by Dayah Abdi Kulmie - 1-35 Transaction Costs in Voluntary Social Organisations
by Mads Roke Clausen - 1-47 A Bibliometric Study on the Nexus of Economic Growth and Renewable Energy in Brazil
by Maria Laura V. Marques & Daiane R. dos Santos - 1-60 Determinants of Board Size: A Longitudinal Analysis with 194 Firms Listed on the B3 S/A
by Mislene Maria da Costa & Flávia Lorenne Sampaio Barbosa & Fabiana Pinto de Almeida Bizarria & João Carlos Hipolito Bernardes do Nascimento & Rogeane Morais Ribeiro & Maria do Socorro Silva Mesquita
March 2023, Volume 15, Issue 3
- 1-1 The Role of Labor Productivity in Reducing Carbon Emission Utilizing the Method of Moments Quantile Regression: Evidence from Top 40 Emitter Countries
by Mohamed Khaled Al-Jafari & Hatem Hatef Abdulkadhim Altaee - 1-13 Impact of International Trade on Economic Growth in Kenya
by Dahir Mohamed Ali - 1-21 The Impact of Deregulation Trends on the Chinese Banks' Interest Margins
by Ming Qi & Ying Jiang & Xuan Liu - 1-27 The Dynamic Correlation of Stock Markets in the World’s Five Largest Economies—Based on DCC-GARCH Model
by Xiaochun Sun & Jiaqi Liu & Jihong Zhang & Chengjun Wang - 1-35 Ownership Structure, Board Characteristics and Firm Performance: Evidence from Bangladesh
by S. M. Kalbin Salema - 1-48 Reviewer Acknowledgements for International Journal of Economics and Finance, Vol. 15, No. 3
by Michael Zhang
February 2023, Volume 15, Issue 2
- 1-1 Internet Use and Risky Financial Market Participation: Evidence from China
by Xinxin Ma - 1-18 Parachute Effect of Dividends Paid in Times of Health Crisis: Case of Moroccan MSI 20 Companies
by Hajar Benjana - 1-26 Herd Behaviour of Pension Funds by Asset Class
by Ian Koetsier & Jacob A. Bikker - 1-44 Mandatory Disclosures and Market Reaction: Evidence from Qatar Stock Exchange
by Fouad Kessasra - 1-62 Threshold Effect Between Stock Market and Long-term Economic Growth in Côte d’Ivoire
by Oyibo Paul Vivien & Anzian Kouamé Marcel & Djeban Koffi Mouroufie Emmanuel & Brou Djandji Emmanuel
January 2023, Volume 15, Issue 1
- 1-1 Non-Fungible Token (NFT) Prices, Cryptocurrencies, Interest Rate and Gold: An Econometric Analysis (Jan. 2019-Aug. 2022)
by Pedro Raffy Vartanian & Ã lvaro Alves de Moura Jr & Joaquim Carlos Racy & Roberto Simioni Neto - 1-12 Public Debt Path and Long-Memory in Fiscal Data: An Analysis for a Developing Country
by Ricardo Ramalhete Moreira & Edson Zambon Monte - 1-24 How Volatility and Herding of the Stock Markets in the Oceania Region Influence Investors and Policymakers: A Sector-Wise Exploration in Pre and Post-COVID Period
by Swarnil Roy & Sk. Riad Arefin & Avijit Mallik - 1-55 The Role of the People's Bank of China and Financial Supervisory Authorities for Greening China's Financial System
by Pierre Bilivogui & Karfalla Diakite & Emmanuel Tonguino - 1-65 Determinants of Corn and Soybean Futures Prices Traded on the Brazilian Stock Exchange: An ARDL Approach
by Mathias Schneid Tessmann & Carlos Enrique Carrasco-Gutierrez & Alexandre Vasconcelos Lima
December 2022, Volume 14, Issue 12
- 1-1 Economic Impact of Energy Efficiency Policies: A Scenario Analysis
by Massimo Beccarello & Giacomo Di Foggia - 1-12 Contributions to Succession in a Family Business from the Perspective of Global University Entrepreneurial Spirit Students’ Survey (GUESSS)
by Fabiana Pinto de Almeida Bizarria & Flavia Lorenne Sampaio Barbosa & Fagner Martins Santana & Rogeane Morais Ribeiro & Maria do Socorro Silva Mesquita - 1-28 Economic Policy Uncertainty, Corporate Risk-Taking and Abnormal Audit Fees
by Jinfeng Wang & Ran Zhu - 1-40 Alignment Vetting of Bloomberg's ISS: QualityScore [GQSTM]: Frequency of Provision of ESG & Related Disclosure Scores
by Chuo-Hsuan Lee & Edward J. Lusk & Karen Naaman & Osamuyimen Omorogbe-Akpata - 1-55 The Effect of Structural Reforms: Do They Differ between GDP and Adjusted Household Disposable Income?
by Jarmila Botev & Balazs Egert & David Turner - 1-68 The Absence of a Sunk Cost Effect in a Long Shot Gamble and Scams
by Sam Y. Yu - 1-72 A Systematic Review of Sustainable Investment Approaches
by Charney S. Akala & Taryn Neuhaus & Indrani O' Leary-Govender - 1-84 The Readiness of Malaysia Digital Economy: A Study of Three Government Policies from 1991 to 2020
by Bahrulmazi Edrak & Zaamah Mohd Nor & Abdul Rahman Shaik
November 2022, Volume 14, Issue 11
- 1-1 Value Investing: Evidence From Listed Companies in China’s Banking Industry During the COVID-19 Epidemic
by Xi Qin & Tao Zhu - 1-8 The Role of the Audit Firm Governance in Enhancing Audit Market Stability
by Antonella Russo & Lorenzo Neri - 1-21 Informality, Trade Facilitation, and Trade Flows: Evidence from Guinea-Bissau
by Julio Vicente Cateia & Luc Savard & Edivo Oliveira de Almeida & William Barbosa - 1-32 The Impact of FDI Inflows on Poverty Reduction: Empirical Evidence from Egypt
by Rasha M. Elakkad & Asmaa M. Hussein - 1-46 Political Parties and Hate Crimes: Empirical Evidence from the United States
by Matheus A. S. Souza & Paulo R. A. Loureiro & Geovana L. Bertussi & George H. M. Cunha & Tito B. S. Moreira - 1-60 Regulatory Capital Requirements and Risk Taking Behaviour: Evidence from the Malawi Banking System
by Onelie B. Nkuna & Marrium Mustapher - 1-74 The Determinants of National Savings in West African Countries: A Time Series and Dynamic Panel Data Analysis
by N'guessan Tchétché & Beunon Pallaye - 1-90 Financial Inclusion of Rural and Urban Households and the Dodd-Frank Act
by Kumuditha D Hikkaduwa Epa Liyanage & Denis Nadolnyak & Valentina Hartarska
October 2022, Volume 14, Issue 10
- 1-1 Determinants of the Systematic Risk of the Cement Industry of Bangladesh
by Avijit Mallik & Tanveer Ahmed Khan & Nazirul Azam Biswas - 1-13 Minimum Income Required to Purchase a Property: Conceptual Framework and Application to Malta
by Brian Micallef - 1-23 The Influence of Mayors’ Characteristics and Elections on the Composition of Brazilian Municipalities’ Expenditures
by Jonatan Lautenschlage - 1-37 Influence of Intellectual Property Policies on China’s International Service Trade
by Guihang Guo & Ning Liao & Chuyao Guo - 1-46 History Repeats Itself: Too Big to Fail as a Pedagogical Tool
by Ronald L. Moy & Therese E. Pactwa & Ralph A. Terregrossa - 1-56 Reflections on Learning from Observational Data
by Caleb Piche-Larocque & Joseph Findlay & Akhter Faroque - 1-63 The Effect of the Principal Component Index for Housing Quality Satisfaction on Housing Price: Urban vs. Rural Analysis
by Nan-Yu Wang & Jen-Yu Lee & Chih-Jen Huang - 1-78 Patterns of Deindustrialization: Are Countries Converging?
by Fabrizio Ferretti & Michele Mariani & Elena Sarti - 1-87 Influence of Capital Structure on Growth in Wealth of Investment Groups in Kenya
by Monicah Nderitu & Agnes Njeru & Esther Waiganjo
September 2022, Volume 14, Issue 9
- 1-1 Pollution, Production Efficiency and Economic Growth: A Synthesis
by Chao Chiung Ting - 1-9 Does Working Capital Financing Structure Affect Firm Value? --- An Empirical Research Based on Data of China’s A-Share Listed Companies
by Minghu Wang & Hongjing Zhou - 1-25 Cost Estimation and Health Benefits Determinants of Medical Innovations Across Canadian Provinces
by Joseph Findlay & Caleb Piche-Larocque & Akhter Faroque - 1-38 Impact of Monetary Policy Shocks on the Output Gap in Nigeria
by Igoni Pedro & Ganiyat Adejoke Adesina-Uthman - 1-51 Structural Breaks, Asymmetry and Persistence of Stock Market Volatility: Evidence from Post-Revolution Tunisia
by Wafa Souffargi & Adel Boubaker - 1-65 Are There Differences between Estimate (Theoretical) and Actual MACC Approaches of Emission Reduction?
by Ali Ahmed Ali Almihoub & Joseph M. Mula & Mohammad Mafizur Rahman - 1-89 Deindustrialization, Domestic Savings, and Labor, in Mexico and Central America
by Luis René Cáceres
August 2022, Volume 14, Issue 8
- 1-1 Foreign Institutional Investments (FIIs) and the Saudi Stock Market: What Drives Foreign Institutions to Invest?
by Hanan Mohammed Alhussayen - 1-11 The Nexus between Institutional Quality & Foreign Direct Investment (FDI) in Sub-Saharan Africa
by Abdikarim Bashir Jama & Sabri Nayan - 1-23 The Impacts of Fiscal and Macroeconomic Factors on Vietnam Government Bond Yield
by Hoang Le Trang Nguyen & Phuong Anh Nguyen - 1-36 A Literature Review of Privatization Models, Theoretical Framework for Nigerian Railway Corporation Privatization
by Oye Abioye - 1-56 Stock Market Volatility and Persistence: Evidence from High-Income and Middle-Income Economies
by Abayomi Oredegbe & Oye Abioye
July 2022, Volume 14, Issue 7
- 1-1 Influence of Macro-Economic Factors on Financial Performance of Commercial Banks in Tanzania
by Ally R. Ally - 1-18 The Transition of E-Commerce Industry in Bangladesh: Added Concerns & Ways of Recovery
by Md Shahnur Azad Chowdhury & Mohammad Arafat Uddin Bappi & Mohammad Nahid Imtiaz & Sayema Hoque & Serajul Islam & Md. Shariful Haque - 1-28 Is There a Relationship between CO2 Emissions by Sources, Electricity Consumption and Economic Growth in Côte d’Ivoire? Evidence from an ARDL Investigation
by Felix Fofana N’Zué - 1-44 Do Dutch SMEs Manage Financial Risk Rationally? Implications from an Empirical Study
by R. P. M. (René-Pascal) van den Boom - 1-55 Forecasting Oil Prices: A Comparative Study
by Jihad El Hokayem & Joseph Gemayel & Dany Mezher
June 2022, Volume 14, Issue 6
- 1-1 Spillovers of US Unconventional Monetary Policy to Emerging Markets: Evidence from Egypt
by Ahmed Ashour Abdullah & Ahmed Mohamed Hassanien - 1-14 The Economics of Abatement Based on Explicit Technologies for Output Reduction and Control
by Siddhartha Mitra & Vanshika Agarwal - 1-22 Evaluating the Relationship Between Taxation and Economic Growth in Zambia
by Evans Mubanga - 1-36 What Determines Cash Holding of Listed Deposit Money Banks? Evidence from Nigeria
by Nwokoye Anwuli Gladys - 1-44 The Determinants of CEO Cash Compensation in Non-Financial Listed Firms: Evidence from Jordan
by Yahia M. Al-Mughrabi - 1-62 Exchange Rate and Trade Balances in Brazil: A Disaggregated Analysis by Major Economic Categories
by Elano Ferreira Arruda & Antônio Clécio de Brito & Pablo Urano de Carvalho Castelar - 1-77 The Impact of the Capital Structure on Financial Performance: An Applied Study on the Saudi Basic Materials Companies
by Mwafag Mohammad Rabab'ah
May 2022, Volume 14, Issue 5
- 1-1 Cooperativism and the Democratization of Capitalism: Performance of the Business Segments Credit Unions and Banks in Brazil
by José Antonio de França & Gina Oka Prado & Sérgio Ricardo Miranda Nazaré & Eduardo Tadeu Vieira & Clesia Camilo Pereira & Paulo César de Melo Mendes - 1-14 Characterization of Islamic Investments Funds: A Systematic Literature Review
by Mohammad Hariri - 1-26 Monetary Policy, Product Market Competition, and Firm Innovation: Evidence from Chinese Listed Companies
by Tingxi Wang & Xiaowei Yang - 1-37 Acceptance of Advergames Design: A Critical Analysis from Cross-Cultural Aspect
by Alaa Hanbazazah & Carlton Reeve - 1-42 Examining the Effect of Stock liquidity on the Relationship between Stock Split and Stock Market Performance
by Ahmed EzzElDin & Hayam Wahba - 1-49 Does COV-19 Affect the Level of Resilience in Systemic Banking? A Sample Pressure of COV-19 on (5) Banks from France, Denmark, Japan, Netherlands, India
by Eman Adel & Rasha ELHaddad & Hossam Hamada
April 2022, Volume 14, Issue 4
- 1-1 Economic Growth Analysis and Total Factor Productivity: A Case Study of Morocco, 1999-2019
by Ahmed Oulad El Fakir - 1-11 Regional Economic Environment, Compensation Marketization and Financing Platform Performance—An Empirical Analysis Based on Data of China
by Minghu Wang & Ruoxue Wu - 1-28 Capital Structure and Share Liquidity in Latin America: A Panel Data Approach
by Patrick da Silva & Flávio Leonel de Carvalho & Andreza Aparecida Palma - 1-44 Evaluating the Trend of Trade between the Same Categories in the Human Development Index (HDI)
by Eman Adel Eid Hassan - 1-51 Evaluation of the Future Price of Brazilian Commodities as a Predictor of the Price of the Spot Market
by Alexandre Vasconcelos Lima & Rogério Boueri Miranda & Mathias Schneid Tessmann - 1-65 Socially Responsible Investment During the COVID-19 Pandemic: Evidence from Morocco, Egypt and Turkey
by Mouncif Harabida & Bouchra Radi & Jean-Pierre Gueyie - 1-75 Borrower Level Models for Stress Testing Corporate Probability of Default and the Quantification of Model Risk
by Michael Jacobs Jr.
February 2022, Volume 14, Issue 3
- 1-1 Correlates of Stock Market Development and Economic Growth: A Confirmatory Study from Ghana
by Edward Alabie Borteye & Williams Kwasi Peprah - 1-19 A BVAR Analysis on Channels of Monetary Policy Transmission in Brazil
by Francisco J. S. Rocha & Marcos R. V. Magalhaes & Ã tila Amaral Brilhante - 1-33 The Shrinkage After the Enlargement? The Effect of Financial Crises and Enlargement on Stock Market Integration in the Euro Area
by Maela Giofré & Oleksandra Sokolenko - 1-66 Preventive Maintenance for Mortgage Loans of Low-Income Borrowers
by Feng Xu & Dazhong Wu & Jian Hua & Tih Koon Tan - 1-76 Market Structure and Optimal Payout Policy
by Robert Beach - 1-84 The Budget Deficit Financing Impact on the Real Exchange Rate in Egypt (1975-2020)
by Mohamed A. Eldepcy - 100-100 The Stock Price Performance and Return Style of the Pan-Infrastructure Reits Corporation: Evidence from U.S. and Japan Market
by Wei-Shen Li - 115-115 The Marginal Propensity to Consume of 2020 COVID-19 Stimulus Payments in Peru
by Stephen L. Crozier & Fernando Burgos Zavaleta
February 2022, Volume 14, Issue 2
- 1-1 Does Board Collective Suitability Affect Performance and Risk? Evidence from European Banks
by Maria Luisa Di Battista & Laura Nieri & Marina Resta & Alessandra Tanda - 1-23 A Robust Measure of Core Inflation in Saudi Arabia: Empirically Investigating the Trimmed Mean and the Median CPI
by Soleman Alsabban & Bander Alghamdi & Saud Altamimi - 1-32 The Integration of Big Data and Artificial Neural Networks for Enhancing Credit Risk Scoring in Emerging Markets: Evidence from Egypt
by Osama Wagdi & Yasmeen Tarek - 1-44 What Do We Learn from Daily Leaders and Laggards in Stock Investment? Do They Help Outperform the Market Average?
by Doh-Khul Kim & Sung-Min Kim - 1-51 Does External Debt Service Devalue Local Currency in the Long Run? Empirical Evidence from Egypt
by Emad Omar Elhendawy - 1-61 Fiscal Policy and Optimal Taxation in Sierra Leone: Testing for Tax Smoothing Hypothesis
by Samuel Bonzu - 1-75 An Empirical Analysis of the Impact of Agency Banking on Financial Inclusion in Benue State, Nigeria: Implications for Economic Activities
by David Terfa Akighir & Tyagher Margaret & Jacob Terungwa Tyagher & Tordue Emmanuel Kpoghul - 1-87 The Convergence of Financial Decision, Business Strategy Through Organisational Competitiveness to Sustainable Competitive Advantage: A Conceptual Analysis
by Williams Kwasi Peprah & Mensah Morris Ayaa - 1-97 Analysis of the Evolution of Income Disparities Among WAEMU Member Countries
by Coulibaly Niénéyéri Mamadou
January 2022, Volume 14, Issue 1
- 1-1 Risk and Uncertainty Revisited: A Clarification of Theory and Application
by M. J. Alhabeeb - 1-16 New Concepts about DOL-DFL Nexus: The Relationships with Market Sensitivities, Firm-Specific Risk and Other Issues
by Marco A. Paganini - 1-46 Access to Microfinance Institutions and Official Banks and the Impact on Small Business in Togo
by Koffi Sodokin - 1-58 Broadband Market Sizing in Brazil
by Mário Jorge Mendonça & Paulo RA Loureiro & Antônio Nascimento Jr & Roberto Ellery Jr - 1-68 Local and International Factors Affecting Participation of Tanzanian Small and Medium Enterprises in Market Opportunity Brought by the African Growth and Opportunity Act (AGOA)
by Edward Simon & Emmanuel Munishi & Dickson Pastory - 1-79 Predicting Size and Length of Apple at Harvest
by Abdulrazag Mohamed Etelawi - 1-91 How Singapore’s Sovereign Debt Risk Has Changed from 2016 to 2021
by Tara Kou - 1-98 Idle Youth and Macroeconomics in Latin America
by Luis Rene Caceres - 115-115 Value Creation by Dynamic Pricing through Digitization and Industry-Wide Perspective
by Wolfgang Neussner & Daniel Ebner & Maximilian Lackner
December 2021, Volume 13, Issue 12
- 1-1 Institutional Investors’ Shareholding, Control Transfer and Corporate Performance
by Qiuju Zhao & Huiming Wang & Dongsheng Li & Wei Li - 1-14 Announcement of Retraction
by Michael Zhang - 1-24 Women Entrepreneurs and Bankruptcy: An Empirical Analysis in Italy
by Ferdinando Giglio - 1-33 The Effect of Official Development Assistance on Domestic Savings and Economic Growth in Egypt
by Rasha M. Elakkad & Asmaa M. Hussein - 1-42 Tax Revenue Productivity of Tax Reforms in Kenya
by James Murunga & Nelson W. Wawire & Moses K. Muriithi - 1-55 The Effects of Consumers’ Buying Behavior on E-Commerce Pricing in the Highly Developed Emerging Market: The Case of Singapore
by Jia Yun Moerth-Teo & Vito Bobek & Tatjana Horvat & Franko Milost - 1-67 Generational Socioemotional Wealth and Debt Maturity: Evidence from Private Family Firms of GIPSI Countries
by Oscar Domenichelli & Giulia Bettin - 1-82 The Effects of Cross-Border E-Commerce on International Trade and Economic Growth: A Case of China
by Ho Thi Hang Suri Ho & Togo Adjouro - 1-90 Nafta and Mexico’s Economic Growth from a Gender Perspective
by Luis Rene Caceres - 118-118 Does Foreign Direct Investment Affect Employment in Guinea: Empirical Assessment
by Oumar Keita & Yu Baorong
November 2021, Volume 13, Issue 11
- 1-1 Inequality Dynamics in Malta: Cracks, Blips and Long-Term Trends
by Melchior Vella & Gilmour Camilleri - 1-21 Women Entrepreneurs and Business Angel: A Difficult Relationship
by Ferdinando Giglio - 1-30 International Economic Integration: Comparing Exports and FDI Networks in the New Millennium
by Adelaide Baronchelli & Teodora Erika Uberti - 1-42 Announcement of Retraction
by Michael Zhang - 1-53 Knowledge Economy in Brazil: Analysis of Sectoral Concentration and Production by Region
by JoseÌ Antonio de França & Wilfredo Sosa Sandoval - 1-66 Announcement of Retraction
by Michael Zhang - 1-77 Monetary and Fiscal Policies Interaction in a Large Emerging Economy: Which Is the Leader Policy?
by Ricardo Ramalhete Moreira & Edson Zambon Monte - 1-88 COVID-19, Oil Price, Bitcoin, and US Economic Policy Uncertainty: Evidence from ARDL Model
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